1. Plant was purchased 4 years ago for $300,000. Depreciation is calculated 15% and 25% straight-line for accounting purposes and tax purposes respectively. Calculate the Carrying Amount (?) , Tax Base (?) and TTD/DTD (?) for this situation.
2. With reference to your calculations in Question 1, explain why there is a difference between the Carrying Amount and the Tax Base? What effect does the TTD/DTD have on next year's income tax payable?

Answers

Answer 1

1. - Carrying amount: The plant's value after subtracting accumulated depreciation using the accounting depreciation rate.

- Tax base: The plant's value for tax purposes after subtracting accumulated tax depreciation using the tax depreciation rate.

2. - Temporary difference (TTD): The difference between the carrying amount and the tax base.

- TTD/DTD impact: The TTD influences next year's income tax payable, resulting in either a higher or lower tax liability depending on the direction of the difference.

1. To calculate the carrying amount, tax base, and TTD/DTD, we need to understand the concept of depreciation and its impact on financial and tax reporting.

Depreciation is the systematic allocation of the cost of an asset over its useful life. In this case, the plant was purchased 4 years ago for $300,000.

For accounting purposes, the depreciation is calculated using the straight-line method at a rate of 15%. This means that each year, the plant's value decreases by 15% of its initial cost.

To calculate the carrying amount, we subtract the accumulated depreciation from the initial cost. After 4 years, the accumulated depreciation would be 4 x 15% x $300,000 = $180,000. Therefore, the carrying amount would be $300,000 - $180,000 = $120,000.

For tax purposes, the depreciation is calculated using the straight-line method at a rate of 25%. This means that each year, the plant's value decreases by 25% of its initial cost.

The tax base is the value of an asset for tax purposes. It is calculated by subtracting the accumulated tax depreciation from the initial cost. After 4 years, the accumulated tax depreciation would be 4 x 25% x $300,000 = $300,000. Therefore, the tax base would be $300,000 - $300,000 = $0.

2. The difference between the carrying amount and the tax base arises due to the different depreciation rates used for accounting and tax purposes.

Accounting depreciation is based on the estimated useful life of the asset and is used to allocate the cost evenly over that period. It is aimed at providing a more accurate representation of the asset's value on the company's financial statements.

Tax depreciation, on the other hand, is determined by tax regulations and aims to provide tax deductions for the asset's wear and tear. The tax depreciation rate may differ from the accounting depreciation rate to encourage businesses to invest in assets.

The difference between the carrying amount and the tax base creates a temporary difference (TTD). TTD refers to the difference between the carrying amount and the tax base that is expected to reverse in the future.

The TTD/DTD has an impact on next year's income tax payable because it affects the tax liability. When the TTD reverses, either due to the asset being sold or through future depreciation, it will result in a tax difference (DTD). DTD refers to the difference between the tax expense calculated based on the tax base and the tax payable based on the carrying amount.

If the TTD is positive, it means that the carrying amount is higher than the tax base. In the future, when the asset is sold or further depreciation occurs, the tax expense will be higher than the tax payable, resulting in a higher income tax payable.

If the TTD is negative, it means that the tax base is higher than the carrying amount. In the future, when the asset is sold or further depreciation occurs, the tax expense will be lower than the tax payable, resulting in a lower income tax payable.

In summary, the difference between the carrying amount and the tax base is due to different depreciation rates used for accounting and tax purposes. The TTD/DTD represents the temporary difference between the carrying amount and the tax base, which will impact next year's income tax payable. The TTD/DTD can either increase or decrease the income tax payable depending on the direction of the difference.

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Related Questions

Arthur Anderson, one of the world’s top five accounting forms, prided itself on the quality and originality of its work. But it went dramatically out of the business following a number of audit failures, including Waste Management, Worldcom, and Enron. Memorably at client company Enron, Arthur Anderson was accused of shredding papers sought by an SEC investigation, and appeared before a grand jury on charges of obstructing justice.

Clients quickly distanced themselves and many Anderson partners around the world smartly joined one of the remaining big four global audit firms. The confidence of the accounting profession, which traditionally had relied on professional self-regulation, was threatened when it realized that the market was really in control.

Subsequent concerns have been expressed about the loss of competitiveness in the audit market with a potential oligopoly of just four firms, competing for the business of the major global corporations. In the United States the Sarbanes-Oxley Act introduced new controls on the audit profession.

Question:

1) Based on the case, critically analyze the following solution that has been suggested to the problem of auditors becoming too close to their client companies: Requiring the staff leading the audit of a client company to rotate periodically.

Answers

Based on the case, requiring the staff leading the audit of a client company to rotate periodically is an effective solution to the problem of auditors becoming too close to their client companies.

Periodic rotation ensures that there is a new audit partner, audit manager, and audit staff are in place, and there is a fresh perspective on the audit process. This is important in preventing the phenomenon of the auditor’s being too close to the client company as they work for many years auditing the same client company and become part of the client’s culture. The auditor's independence is vital for a fair and unbiased audit process.

When auditors are too close to their client companies, they may lose their independence, and the audit process may no longer be objective. Thus, the suggested solution can help mitigate the conflict of interest that may arise from an auditor's close relationship with their client. This will help restore public trust in the accounting profession and ensure accountability for businesses. Therefore, the periodic rotation of staff leading the audit of a client company is an effective solution to the problem of auditors becoming too close to their client companies.

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Let's say you're the CFO of a company and you want to invest in two different projects. When evaluating the projects, you will use a cost of capital of 15%. You can only choose one of these projects because the company has very limited capital. Project A needs an initial investment of 100,000 TL at the start. Project B needs an initial investment of 10,000 TL, which must be paid off in 11 equal payments. Starting in Year 3, Project A will bring in 30,000 TL every year for 7 years. Starting in Year 4, Project B will give back 40,000 TL each year for 6 years. Starting in Year 1, both projects have yearly maintenance costs of 25,000TL. Project A makes $117,500 every year starting in year 10 and Project B makes $86,500 every year starting in year 10. a)What are net present values of the projects A and B? b)Which project should be chosen, and why?

Answers

After calculating the NPVs for both projects, you can compare them and choose the project with the higher NPV. The project with a higher NPV is generally more financially attractive as it indicates greater profitability and value creation for the company.

a) To calculate the net present value (NPV) of each project, we need to discount the cash flows using the cost of capital of 15%. The formula for calculating NPV is:

NPV = ∑(Cash Flow / (1 + Cost of Capital)^n) - Initial Investment

For Project A:

- Initial Investment: -100,000 TL

- Year 1 Cash Flow: -25,000 TL

- Year 3-9 Cash Flows: 30,000 TL each year

- Year 10+ Cash Flow: 117,500 TL each year

For Project B:

- Initial Investment: -10,000 TL

- Year 1 Cash Flow: -25,000 TL

- Year 4-9 Cash Flows: 40,000 TL each year

- Year 10+ Cash Flow: 86,500 TL each year

By discounting the cash flows and summing them up, we can calculate the NPV for each project.

b) To determine which project should be chosen, we compare the NPVs of Project A and Project B. The project with the higher NPV would be preferred because it indicates a higher potential return on investment.

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Question 6 (11 points) Lewis and Clark operate a partnership. They share profit and losses in a ratio of 4:6 respectively. On December 31 , the records show the following account balances: Required: Prepare the journal entries to record the liquidation of the partnership assuming the equipment is sold for $15,000 on December 31. Any deficiencies are paid by the partners with the deficiencies.

Answers

The journal entries are used to record the liquidation of the partnership assuming that equipment is sold for $15,000 on December 31. The deficiency is paid by the partners in accordance with their sharing ratio. The debit and credit account balances are determined and adjusted accordingly in order to record the liquidation process.

The partners' sharing ratio is 4:6, meaning that for every $4 of profit or loss shared by Lewis, Clark receives $6. If the equipment is sold for $15,000 on December 31, the book value of equipment, accumulated depreciation, and gain or loss on sale should be considered when calculating the amount of cash to be paid to the partners. The gain or loss on the sale is the difference between the sales price and the book value of the asset, which is the equipment's cost less its accumulated depreciation. According to the problem, the deficiency is paid by the partners according to their sharing ratio. The following are the journal entries needed to record the liquidation process: Equipment is sold for $15,000 on December 31st. Accounts Debit Credit Cash $15,000Accumulated Depreciation - Equipment $3,000Equipment $25,000Gain on Sale of Equipment $13,000To record the sale of equipment and gain on sale of equipment. Liquidation of partnership journal entries Accounts Debit Credit Accounts Payable - Lewis $8,500Accounts Payable - Clark $12,500Lewis, Capital $11,600Clark, Capital $17,400Cash $30,500To record the liquidation of the partnership and the payment of deficiencies to partners in their profit and loss sharing ratio.

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a) Evaluate the extent to which borrowing would be seen as effective solution to the corporate agency problem. Would there be attendant material monitoring costs associated with borrowing as a solution to the agency problem? Fully explain. ( 7 marks) b) Discuss any three major difficulties that corporate managers would face if financial markets were not informationally efficient.

Answers

a) Borrowing can be seen as an effective solution to the corporate agency problem as it aligns the interests of shareholders and managers. However, there are attendant material monitoring costs associated with borrowing, which can impact the overall effectiveness of this solution.

b) If financial markets were not informationally efficient, corporate managers would face difficulties in terms of accessing capital at fair prices, making informed investment decisions, and accurately valuing their company's securities.

a) Borrowing can be effective in mitigating the agency problem by imposing discipline on managers and aligning their interests with shareholders through debt obligations. However, borrowing comes with monitoring costs, such as financial reporting requirements and potential conflicts of interest, which can reduce its effectiveness in addressing the agency problem.

b) In an inefficient financial market, managers would face challenges in raising capital at fair prices, as market inefficiencies can lead to mispricing and limited access to funds. Additionally, managers would struggle to make informed investment decisions due to unreliable information and asymmetric market knowledge.

Finally, the inaccurate valuation of securities in an inefficient market can hinder corporate managers from accurately assessing their firm's worth and making strategic decisions.

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LO.8 Give the Circular 230 position concerning each of the following situations sometimes encountered in the tax profession.
4. Not keeping up with changes in the tax law.
5. Charging $4,500 to complete a simple Form 1040 with no supporting schedules.
6. When representing a taxpayer in a Federal income tax audit, charging a fee equal to one-third of the reduction of the tax proposed by the IRS agent.
7. Representing both spouses when negotiating tax matters pertinent to their divorce.
8. Advertising on the Web for new tax clients and including Se habla español in the text of the ads.

Answers

4. Not keeping up with changes in the tax law.

5. Charging $4,500 to complete a simple Form 1040 with no supporting schedules.

6. When representing a taxpayer in a Federal income tax audit, charging a fee equal to one-third of the reduction of the tax proposed by the IRS agent.

7. Representing both spouses when negotiating tax matters pertinent to their divorce.

8. Advertising on the Web for new tax clients and including Se habla español in the text of the ads.

According to Circular 230, the positions concerning the following situations sometimes encountered in the tax profession are:

4. Not keeping up with changes in the tax law. Taxpayers deserve accurate advice that reflects current developments in the tax law, hence it is the duty of tax professionals to maintain their knowledge through continuing education and constant review of current publications, government publications, and official releases of the IRS.

5. Charging $4,500 to complete a simple Form 1040 with no supporting schedules. The fee charged by a tax professional should be reasonable based on the complexity of the services performed. Charging an excessive fee is in violation of Circular 230, which requires a practitioner to charge only fair and reasonable fees.

6. When representing a taxpayer in a Federal income tax audit, charging a fee equal to one-third of the reduction of the tax proposed by the IRS agent. This is not an acceptable practice as per Circular 230. Charging an excessive fee is a violation of Circular 230, which requires a practitioner to charge only fair and reasonable fees.

7. Representing both spouses when negotiating tax matters pertinent to their divorce. A conflict of interest may arise in this situation, and tax professionals should decline to represent both spouses in tax matters related to divorce.

8. Advertising on the Web for new tax clients and including Se habla español in the text of the ads. As long as the information is truthful and not misleading, a tax professional can use ads to advertise his or her services, including the use of non-English languages. However, the tax professional must maintain the same level of competence as any other taxpayer and must provide services consistent with Circular 230.

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State whether each of the following statements is TRUE or FALSE. 1. Informal groups exist primarily to fulfil personal rather than organisational needs. 2. During the forming stage, the team develops its first real sense of cohesion as roles are established and a consensus forms around group objectives. 3. The knowledge function of attitudes enable individuals to indicate to others the values that they hold and thus to express their self-concept and adopt or internalise the values of a group. 4. Individual differences are the physical, personality, attitudinal, and emotional attributes that vary from one person to another. 5. Hackman and Oldham believed that critical psychological states determine the extent to which characteristics of the task enhance employee responses to that task. 6. Distress is a positive side of stress, which refers to the healthy, positive, constructive outcome. 7. In Organisational Development, team-building involves gathering, analysing and summarising data, and returning them to employees and groups for discussion and to identify and solve problems. 8. The field of organisational behaviour applies mainly to Seople who hold management

Answers

The statements are as follows : 1. True2. False3. True4. True5. True6. False7. True8. False.  Some of these statements are:  Informal groups exist primarily to fulfil personal rather than organisational needs is true.

1. True - Informal groups exist primarily to fulfil personal rather than organisational needs.

2. False - During the forming stage, the team is relatively undefined, and there is often little agreement on the team's objectives, although some members may have strong preferences.

3. True - The knowledge function of attitudes enables individuals to indicate to others the values that they hold and thus to express their self-concept and adopt or internalize the values of a group.

4. True - Individual differences are the physical, personality, attitudinal, and emotional attributes that vary from one person to another.

5. True - Hackman and Oldham believed that critical psychological states determine the extent to which characteristics of the task enhance employee responses to that task.

6. False - Eustress refers to the healthy, positive, constructive outcome. Distress is a negative side of stress.

7. True - In Organisational Development, team-building involves gathering, analysing and summarising data, and returning them to employees and groups for discussion and to identify and solve problems.

8. False - The field of organisational behaviour applies to all people who are involved in organizations, whether or not they are managers.

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What is the present value of a stream of payments in the amount of 992 to be received 7 times per year for 4 years if you require a return of 16% ? (Enter the absolute value of your response to 2 decimal places ex: 123.45 NOT -123.45)

Answers

Using a financial calculator or spreadsheet, the present value of the stream of payments is approximately $11,988.34.

The present value of a stream of payments can be calculated using the formula for the present value of an annuity. In this case, the stream of payments is $992, received 7 times per year for 4 years, and the required return is 16%.

To calculate the present value, we can use the formula:

PV = PMT * (1 - (1 + r)^(-n)) / r
Where:
PV = Present Value
PMT = Payment per period
r = Required rate of return
n = Number of periods

Let's plug in the values:
PMT = $992
r = 16% = 0.16
n = 7 * 4 = 28

PV = 992 * (1 - (1 + 0.16)^(-28)) / 0.16

Therefore, the present value of the stream of payments is $11,988.34 to the nearest cent.

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Wild Swings, Inc.'s stock has a beta of 2.5. If the risk-free rate is 6.0% and the market risk premium is 7.0%, what is an estimate of Wild Swings' cost of equity? Wild Swings, Inc.'s cost of equity capital is \%. (Round to one decimal place.)

Answers

"An estimate of Wild Swings, Inc.'s cost of equity is 23.5%.

To calculate Wild Swings, Inc.'s cost of equity, we can use the Capital Asset Pricing Model (CAPM). The formula for the CAPM is:

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium

Given that Wild Swings, Inc.'s stock has a beta of 2.5, the risk-free rate is 6.0%, and the market risk premium is 7.0%, we can substitute these values into the formula.

Cost of Equity = 6.0% + 2.5 * 7.0%

First, let's calculate 2.5 * 7.0%:

2.5 * 7.0% = 17.5%

Now, let's add this to the risk-free rate of 6.0%:

6.0% + 17.5% = 23.5%

Therefore, an estimate of Wild Swings, Inc.'s cost of equity is 23.5%.

Please note that the cost of equity is an estimate and may not be an exact value. It represents the return required by investors for holding the stock of Wild Swings, Inc. and compensates them for the risk associated with the company's stock.

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True or False 10.The key figure "return on equity" must always be positive. 11.Taking out loans can impair independence, as the company can no longer freely dispose of the assets that are provided as

Answers

The statements in question pertain to the concept of "return on equity" and the potential effect of taking out loans on a company's financial independence. Each statement is examined for its veracity.

Statement 10: False. The Return on Equity (ROE) can be negative. ROE is a measure of financial performance calculated by dividing net income by shareholders' equity (Brigham & Ehrhardt, 2013). If a company has a net loss, the ROE will be negative, as net income is the numerator in the ROE calculation.

Statement 11: True. Taking out loans can impair a company's independence. When a company takes on debt, especially secured debt, the assets used as collateral are typically subject to restrictions and cannot be freely used by the company (Ross, Westerfield, & Jordan, 2009). The company must adhere to the loan agreement's conditions, limiting the company's financial flexibility and independence.

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6)
If the FOMC decides to "increase the Federal Funds Target Rate", then which effect is likely to occur on our graph first? SRAS shifts left. AD shifts right AD shifts left. SRAS shifts right LRAS shift

Answers

If the FOMC decides to increase the Federal Funds Target Rate, then AD shifts left is likely to occur on our graph first. If the FOMC decides to increase the Federal Funds Target Rate then, this means the cost of borrowing for banks has increased. Banks now have to pay more interest to the government to borrow money.

So the cost of borrowing increases, which means that borrowing and investing will decrease, the demand for money will decrease, and banks will hold more money in their reserve accounts. This means that the available money supply in the market decreases, the interest rate increases and the aggregate demand decreases.

When there is a decrease in aggregate demand, the AD curve shifts to the left. Therefore, AD shifts left is likely to occur on our graph first if the FOMC decides to increase the Federal Funds Target Rate.

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3. (10 points) Explain why the market supply curve should be expected to slope up in W/N space even though workers' individual labour supply curves may have upward sloping and backward bending parts.

4. (10 points) Explain why fast food restaurants may have more monopsony power during recessions than during normal economic times.

Answers

The market supply curve should be expected to slope up in W/N space even though workers' individual labor supply curves may have upward sloping and backward bending parts because the supply curve of individual workers is affected by many factors.

However, as the wage offered increases, more and more workers are willing to work longer hours, and people who were previously uninterested in working in the labor market are now willing to work. Furthermore, the market supply curve is influenced by the number of workers in the economy, and as the number of workers increases, the supply curve shifts rightward.

During a recession, fast-food restaurants may have more monopsony power than during normal economic times because the demand for fast food is inelastic. As a result, fast-food restaurants are less concerned with losing consumers if they raise their prices and pay their workers less. Fast-food restaurants can pay lower wages, resulting in higher profits. Additionally, during a recession, there may be a larger pool of workers looking for work, making it easier for fast-food restaurants to find people willing to work for lower wages.

This gives fast-food restaurants more bargaining power over workers, which they can exploit to pay them lower wages.

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a flexible budget performance report compares the differences between:

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A flexible budget performance report compares the differences between actual results and flexible budget amounts, allowing for variations in sales volume, production, and other costs.

A flexible budget is a financial plan that can be adjusted according to changes in production levels, sales volumes, and other variables that impact revenue and costs. Unlike static budgets, which are created for a single level of activity, a flexible budget allows for various levels of activity by estimating revenues and costs at a range of output levels.A flexible budget performance report is used to compare actual results to the flexible budget, allowing managers to see how well the company performed in terms of revenue and costs. The report highlights the differences between the actual results and the flexible budget amounts and explains the reasons for any deviations.

Unlike static budgets, which are created for a single level of activity, a flexible budget allows for various levels of activity by estimating revenues and costs at a range of output levels.The flexible budget performance report is used to compare actual results to the flexible budget, allowing managers to see how well the company performed in terms of revenue and costs. The report highlights the differences between the actual results and the flexible budget amounts and explains the reasons for any deviations. Overall, a flexible budget performance report is a valuable tool for managers, as it allows them to monitor the financial health of their organization and make informed decisions based on actual results.

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Question 10.1
Management
Answer Correctly for a
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Growth need strength is the personality variable that describes the extent to which people have a high need for personal growth and development on the job. True False

Answers

True. Growth need strength is indeed a personality variable that reflects the extent to which individuals have a strong desire for personal growth and development in their job roles. It is a concept derived from Maslow's hierarchy of needs theory, specifically focusing on the self-actualization need.

Individuals with high growth need strength seek opportunities to enhance their skills, knowledge, and capabilities, and they are motivated by challenging tasks, learning experiences, and career advancement. They are driven by a sense of personal fulfillment and continuous improvement.

In the context of management, understanding employees' growth need strength is important for creating a work environment that fosters development and supports their aspirations. By providing growth opportunities, such as training programs, mentorship, and career planning, organizations can engage and retain employees who value personal growth.

Recognizing and catering to growth need strength can lead to higher job satisfaction, increased motivation, and improved performance among employees. It aligns with the idea that individuals are not solely motivated by extrinsic factors like salary and benefits but also by intrinsic factors related to their personal and professional growth.

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What's the effective annual rate (EAR) of a credit card that charges an annual interest rate of \( 18 \% \) compounded monthly? Answer in percent, rounded to one decimal place.

Answers

Given:Annual interest rate \(i = 18\%\) and compounded monthly.Since the interest is compounded monthly, the frequency of compounding is monthly.So, Number of times interest compounded per year = 12Therefore, the effective annual rate (EAR) formula.

given by:\[\mathrm{EAR} = \left( {1 + \frac{i}{n}} \right)^n - 1\]Where,\[i = 18\%\]And compounding frequency is monthly, so,\[n = 12\]Putting these values in the EAR formula, we get\[\begin{aligned}&\mathrm{EAR} = \left( {1 + \frac{i}{n}} \right)^n - 1 \\\Rightarrow & \mathrm{EAR} = \left( {1 + \frac{{18\%}}{{12}}} \right)^{12} - 1 \\\Rightarrow & \mathrm{EAR} = \left( {1 + \frac{3}{50}} \right)^{12} - 1 \\\

Rightarrow & \mathrm{EAR} = \left( {\frac{53}{{50}}} \right)^{12} - 1 \\ \Rightarrow & \mathrm{EAR} \approx 0.2134\end{aligned}\]Therefore, the effective annual rate (EAR) of a credit card that charges an annual interest rate of 18% compounded monthly is approximately 21.3% per annum.

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In the income-expenditure model, contractionary monetary policy leads to _____ interest rates, a(n) _____ in planned investment spending, and a(n) _____ in equilibrium GDP.

Select one:
a. lower; increase; increase
b. lower; decrease; decrease
c. higher; decrease; decrease
d. higher; increase; increase

Answers

In the income-expenditure model, contractionary monetary policy leads to lower interest rates, a decrease in planned investment spending, and a decrease in equilibrium GDP. So, the correct option is B.

Let us try to understand why this is so; Explanation: Contractionary monetary policy is a monetary policy where a central bank raises interest rates and decreases the money supply to reduce inflationary pressures. Hence, it is a type of policy used by the central bank to reduce the rate of economic growth.

A decrease in the supply of money means that people will not have as much money to spend. This will lead to a decrease in the demand for goods and services and a decrease in the equilibrium GDP. In the case of contractionary monetary policy, the central bank aims to reduce the rate of inflation by reducing the supply of money.

Since there is less money in the economy, the demand for goods and services will fall, and businesses will cut back on investment. This will lead to a decrease in planned investment spending and, ultimately, a decrease in equilibrium GDP.

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What are some reasons why you might choose to use filters when creating a dashboard view? Select all that apply.
To highlight individual data points
To put the data in chronological order.
To zero in on what's important to your stakeholders
To remove outliers that don't conform to your hypothesis.

Answers

To highlight individual data points To put the data in chronological order.To zero in on what's important to your stakeholders.To remove outliers that don't conform to your hypothesis.

Creating a dashboard view for data is a way to simplify the way you communicate data to others. There are many reasons why you might choose to use filters when creating a dashboard view. Some of the reasons are highlighted below:

1. To Highlight individual data pointsUsing filters in your dashboard view can be useful for focusing on individual data points, such as the top 10 customers or highest-performing regions. It also makes it easier for stakeholders to quickly see important data points.

2. To Put the data in chronological orderData can often be difficult to read and understand if it isn't organized properly.

Using filters to arrange your data chronologically can help you show how data has changed over time.

3. To Zero in on what's important to your stakeholders

Filtering data is also useful when you want to focus on specific data points that are important to your stakeholders.

For example, if you are looking at customer satisfaction rates, filtering data to show only low satisfaction rates can help you understand what you need to do to improve satisfaction levels

.4. To Remove outliers that don't conform to your hypothesis.

Filters can also be used to remove data points that don't conform to your hypothesis. By filtering out outliers, you can get a more accurate understanding of the data and make better decisions based on that information.

Filters are a powerful tool for creating dashboard views that communicate data effectively. By using filters in your dashboard, you can highlight important data points, organize data chronologically, focus on what's important to stakeholders, and remove outliers that don't conform to your hypothesis.

Answer: To highlight individual data pointsTo put the data in chronological order.To zero in on what's important to your stakeholders.To remove outliers that don't conform to your hypothesis.

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Your good friend Sarah has just approached you about an exciting business opportunity. She plans to open a pet grooming business in her community.

Based on what you had studied in this module: a) How would you help her evaluate the opportunity?

b) What would be your advice to Sarah to make her business unique?

Answers

To help evaluate the opportunity of opening a pet grooming business, you can consider the following steps:

Market Research: Conduct thorough research to understand the demand for pet grooming services in Sarah's community. Identify the target market, competition, and potential customer base. This can be done through surveys, interviews, or analyzing existing data. Financial Analysis: Evaluate the costs involved in setting up and running a pet grooming business. Consider expenses such as rent, equipment, supplies, marketing, and staff salaries. Compare these costs with the potential revenue to assess the profitability of the venture.


Exceptional Customer Service: Emphasize excellent customer service by training staff to be friendly, knowledgeable, and attentive. Promptly address customer concerns and feedback, ensuring a positive experience for both pets and their owners. Word-of-mouth recommendations can be powerful for business growth. Online Presence: Establish an online presence through a website and social media platforms. Showcase the business's unique services, share customer testimonials, and regularly update content. Engage with the online community and participate in pet-related events or sponsorships to increase brand visibility and attract new customers.
Remember, these are just some suggestions. Sarah can also think creatively to find other ways to make her pet grooming business stand out in the market.

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Which of the following statements is true?

The collection of a loan made to a supplier would be treated as an investing activity on a statement of cash flows.

Paying taxes to governmental bodies is considered a cash outflow in the operating activities section on the statement of cash flows.

Multiple Choice

Only statement I is true.

Both statements are true.

Only statement II is true.

Neither statement is true

Answers

Only statement II is true. Paying taxes to governmental bodies is considered a cash outflow in the operating activities section on the statement of cash flows.

The statement I is false. The collection of a loan made to a supplier would not be treated as an investing activity on the statement of cash flows. The collection of a loan would be considered a cash inflow and would typically be classified as an operating activity since it relates to the company's normal business operations.

However, statement II is true. Paying taxes to governmental bodies is considered a cash outflow in the operating activities section on the statement of cash flows. Taxes paid to governmental bodies are considered operating expenses and are deducted from the company's net income to arrive at the operating cash flow. These cash outflows are included in the operating activities section of the statement of cash flows because they are directly related to the company's day-to-day operations.

In summary, only statement II is true. Paying taxes to governmental bodies is considered a cash outflow in the operating activities section on the statement of cash flows, while the collection of a loan made to a supplier would not be treated as an investing activity.

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All of the following State-registered advisers must file an annual audited financial statement with the Administrator within 120 days of completion of a surprise audit EXCEPT an adviser that:
A. accepts $500 or more of prepaid advisory fees, 6 months or more in advance of rendering services
B. uses a qualified custodian to hold customer assets
C. maintains custody of customer assets
D. exercises discretion in customer accounts under a limited power of attorney

Answers

State-registered advisers must file an annual audited financial statement with the Administrator within 120 days of completion of a surprise audit EXCEPT an adviser that uses a qualified custodian to hold customer assets. Option (B) is the correct answer.

An advisor registered with the state must submit an annual audited financial statement within 120 days of completing a surprise audit unless they are the advisor who uses a qualified custodian to hold client assets.

An advisor that maintains custody of client assets must comply with the custody rule, which includes getting a surprise audit and submitting an audited balance sheet.

The advisor must also inform clients that they have custody of their assets and give them an annual statement of their holdings in the account.

As a result, except for the option that uses a qualified custodian to hold client assets, all of the other given options must file an annual audited financial statement with the Administrator within 120 days of completing a surprise audit. Therefore, the correct answer is B.

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The job characteristics model expands on which element of job redesign?
a. Critical psychological states
b. Job enlargement
c. Job enrichment
d. Job expectancy

Answers

The job characteristics model expands on the concept of job enrichment in job redesign. Job enrichment is a strategy that aims to enhance job satisfaction and motivation by increasing the depth and complexity of tasks, giving employees more autonomy and responsibility, and providing opportunities for personal growth and development.

The job characteristics model, developed by Hackman and Oldham, identifies five core job characteristics that can contribute to meaningful and fulfilling work experiences: skill variety, task identity, task significance, autonomy, and feedback. These characteristics are believed to impact three critical psychological states: experienced meaningfulness of work, experienced responsibility for outcomes, and knowledge of results.

By focusing on job enrichment and incorporating these core characteristics, the job characteristics model provides a framework for designing jobs that are more intrinsically motivating and satisfying for employees. It suggests that when these characteristics are present in a job, employees are more likely to experience positive psychological states, leading to increased job satisfaction, higher motivation, and improved performance.

Therefore, the job characteristics model expands on the concept of job enrichment by highlighting specific characteristics that can be modified to enhance the quality of work experiences and improve employee outcomes.

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a person who controls the flow of communication within an organization is called a(n) ____________________.

Answers

A person who controls the flow of communication within an organization is called a gatekeeper.

The term gatekeeper has been applied to a range of individuals within organizations, including receptionists, secretaries, and personal assistants, as well as those higher up in the organizational hierarchy such as managers and executives.

Gatekeepers serve as a bridge between an organization’s internal stakeholders and external audiences, and play a crucial role in managing information flow.

Gatekeepers act as filters, helping to control the flow of information both within and outside an organization.

They are responsible for the dissemination of information, which involves ensuring that only authorized people receive it.

They are also responsible for monitoring the quality and accuracy of information that is circulated,

which includes ensuring that all messages conform to organizational policies, values, and standards of conduct.

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30. Compute how long it would take you to pay back a credit card
loan balance of $5000 if the APR is 13.94% and you make payments of
$207 dollars per month.

Answers

To compute how long it would take to pay back a credit card loan balance of $5000 with an APR of 13.94% and monthly payments of $207, you can follow these steps:

1. Calculate the monthly interest rate: Divide the annual percentage rate (APR) by 12 to get the monthly interest rate. In this case, the monthly interest rate would be 13.94% divided by 12, which is approximately 1.16%.
2. Determine the monthly interest payment: Multiply the loan balance by the monthly interest rate to find the amount of interest you'll be paying each month. For example, 1.16% of $5000 is $58.
3. Calculate the remaining balance after each payment: Subtract the monthly payment from the loan balance and add the monthly interest payment. In this case, $207 - $58 = $149. So, after the first payment, the remaining balance would be $5000 - $149 = $4851.
4. Repeat step 3 for each subsequent month until the loan balance reaches zero: Keep subtracting the monthly payment from the remaining balance and adding the monthly interest payment. For example, after the second payment, the remaining balance would be $4851 - $58 = $4793, and so on.
5. Continue this process until the remaining balance reaches zero: Keep calculating the remaining balance after each payment until it becomes zero. The number of months it takes to pay off the loan completely is the answer to the question.
Using this method, you can determine the exact number of months it would take to pay back the credit card loan balance of $5000 with an APR of 13.94% and monthly payments of $207.

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the japanese method of organizing for product design features:

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The Japanese method of organizing for product design features a collaborative and interdisciplinary approach, emphasizing teamwork, continuous improvement, and customer focus. It incorporates principles such as cross-functional teams, concurrent engineering, and quality control to enhance efficiency and innovation in the product design process.

The Japanese method of organizing for product design emphasizes a holistic and collaborative approach. One of the key features is the use of cross-functional teams, where individuals from different disciplines (such as design, engineering, marketing, and production) work together throughout the product development process. This promotes effective communication, knowledge sharing, and problem-solving, leading to improved outcomes.

Another important aspect is concurrent engineering, which involves parallel and simultaneous development of different aspects of the product, such as design, manufacturing, and testing. By integrating these processes, it reduces the time and cost required for product development and enables early identification and resolution of potential issues.

Quality control is also integral to the Japanese method. It involves continuous monitoring and improvement of product quality throughout the design and manufacturing stages. Techniques like statistical process control, quality circles, and the concept of kaizen (continuous improvement) are employed to ensure high standards of quality and customer satisfaction.

Overall, the Japanese method of organizing for product design prioritizes collaboration, efficiency, and customer focus. It aims to optimize the design process by leveraging the expertise of cross-functional teams, promoting concurrent engineering, and maintaining a strong focus on quality control.

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Vaughn Company accumulated the following standard cost data concerning product I-Tal. Direct materials per unit: 1.1 pounds at $4.60 per pound Direct labor per unit: 3.7 hours at $10.00 per hour Manufacturing overhead: Allocated based on direct labor hours at a predetermined rate of $20.00 per direct labor hour Compute the standard cost of one unit of product I-Tal. (Round answer to 2 decimal places, e.g. 2.75.) Standard cost $ ______Per Unit

Answers

The standard cost of one unit of product I-Tal can be calculated as follows:Given,Direct materials per unit: 1.1 pounds at $4.60 per poundDirect labor per unit: 3.7 hours at $10.00 per hourManufacturing overhead:

Allocated based on direct labor hours at a predetermined rate of $20.00 per direct labor hourThe total cost of direct material = 1.1 pounds x $4.6 per pound = $5.06The total cost of direct labor = 3.7 hours x $10.00 per hour = $37.00 Manufacturing overhead = 3.7 hours x $20.00 per direct labor hour = $74.00

Therefore, the total standard cost of producing one unit of product I-Tal = $5.06 + $37.00 + $74.00 = $116.06

Hence, the standard cost of one unit of product I-Tal is $116.06 per unit.

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Identify an industry and apply Porter’s five forces model of
market structure

Answers

The automotive industry can be analyzed using Porter's Five Forces model of market structure.

Porter's Five Forces model is a framework used to analyze the competitive dynamics and market structure of an industry. When applied to the automotive industry, the following forces can be examined:

Threat of New Entrants: The automotive industry is characterized by high barriers to entry, including substantial capital requirements, economies of scale, and strong brand loyalty. Additionally, established companies have established distribution networks and supplier relationships, making it challenging for new entrants to compete.

Bargaining Power of Buyers: Buyers in the automotive industry, such as individual consumers and fleet operators, have significant bargaining power due to the availability of multiple brands and models. Buyers can easily compare prices, features, and options, which puts pressure on automakers to offer competitive prices and value-added features.

Bargaining Power of Suppliers: Suppliers in the automotive industry, including those providing components, raw materials, and specialized technology, often have strong bargaining power. This is due to the reliance of automakers on a complex supply chain and the importance of high-quality components for vehicle performance and safety.

Threat of Substitute Products: The automotive industry faces the threat of substitute products, such as public transportation, cycling, or car-sharing services. These alternatives can be attractive in terms of cost, convenience, and environmental concerns, particularly in urban areas.

Intensity of Competitive Rivalry: The automotive industry is highly competitive, with numerous global and local players vying for market share. Competition is based on factors such as price, performance, design, innovation, and brand reputation. High competition often leads to pricing pressures and the need for continuous product improvement and differentiation.

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Your organization currently has a defined contribution pension plan with employees contributing up to 3% with a company match. Effective with the first pay of the new year, new employees will no longer be enrolled in that plan. Instead, they will be enrolled in the new Group Registered Retirement Savings Plan (RRSP) with the same contribution options. In your own words, explain the difference in the T4 information slip reporting for these two groups of employees.

Compose your response below.Click Save & Close to save this text and return to submit it later or, if you are finished, click Submit to post your response.

Answers

This is the explanation of the difference in the T4 information slip reporting for two groups of employees that are enrolled in the defined contribution pension plan and the new Group Registered Retirement Savings Plan (RRSP):T4 information slip is the statement of all income that an employee receives from the employer.

In more than 100 words, this is the explanation of the difference in the T4 information slip reporting for two groups of employees that are enrolled in the defined contribution pension plan and the new Group Registered Retirement Savings Plan (RRSP):T4 information slip is the statement of all income that an employee receives from the employer. The difference between the two groups is that an employee enrolled in the defined contribution pension plan has a percentage contribution from the company as well as the employee, while an employee in the Group Registered Retirement Savings Plan has only employee contributions.The contribution percentage from employees is the same in both plans, but the contribution percentage from the employer is different. In the defined contribution pension plan, the company matches the contribution from employees up to a specified percentage, whereas in the new Group Registered Retirement Savings Plan, the company does not match the contributions.The T4 slip is a record of all remuneration paid to an employee during the year. The contributions made by the employer to a defined contribution pension plan must be reported on the T4 slip, and the employer's contributions must be included in the employee's income for the year.The contributions made by the employer to the Group Registered Retirement Savings Plan do not have to be reported on the T4 slip. The contribution is a taxable benefit, and the employer must withhold taxes on the benefit amount.

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Explain the fundamental types of managerial incentive schemes
available in the principal-agent relationship. Which of these types
is preferred? Justify your answer with an appropriate example.

Answers

The types of managerial incentive schemes include salary, bonuses, profit sharing, stock options, and performance-based incentives. The preferred type depends on the specific circumstances and goals of the organization.

The fundamental types of managerial incentive schemes available in the principal-agent relationship are salary, bonuses, profit sharing, stock options, and performance-based incentives.

Salary is a fixed payment given to managers regardless of their performance. Bonuses are additional payments that managers receive based on meeting or exceeding certain targets. Profit sharing involves managers receiving a portion of the company's profits. Stock options give managers the opportunity to purchase company shares at a predetermined price. Performance-based incentives are rewards based on achieving specific goals or outcomes.

The preferred type of managerial incentive scheme depends on various factors such as the nature of the industry, company goals, and managerial responsibilities. For example, in a technology company, stock options may be preferred to align the interests of managers with shareholders. This is because stock options give managers the incentive to increase the company's stock price and create value for shareholders.

In conclusion, the types of managerial incentive schemes include salary, bonuses, profit sharing, stock options, and performance-based incentives. The preferred type depends on the specific circumstances and goals of the organization.

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what is the average salary of a professional basketball player

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The average salary of a professional basketball player varies significantly depending on several factors such as league, experience, skill level, and individual contracts. However, professional basketball players are generally among the highest-paid athletes in the world.

The average salary of a professional basketball player can range from hundreds of thousands of dollars to millions of dollars per year. In the National Basketball Association (NBA), which is widely considered the top professional basketball league globally, the average player salary is typically higher than in other leagues. As of the 2020-2021 NBA season, the average NBA player salary was around $8-10 million per year. It is important to note that superstar players and top-tier athletes in the NBA can earn significantly higher salaries, often reaching tens of millions or even exceeding $40 million per year.

It's worth mentioning that salaries in other professional basketball leagues, such as the EuroLeague in Europe or the Chinese Basketball Association (CBA), may differ from those in the NBA. Additionally, lower-tier leagues and players with less experience generally earn lower salaries. It is also essential to consider that player salaries can vary greatly depending on individual contracts, endorsements, and other sources of income.

Overall, while the average salary of a professional basketball player is influenced by various factors, it is typically high, particularly in elite leagues like the NBA, where top players can command substantial contracts.

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What are the basic tenant obligations owed to a landlord?

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The tenant obligations that are required by a landlord include:1. Rent PaymentsIt is the tenant's responsibility to pay their rent on time, in accordance with their lease or rental agreement. The tenant will be charged late fees or face eviction if they do not pay on time.

2. Keeping the Property Clean and SafeTenants are required to maintain the property in a clean and safe condition. Tenants are responsible for taking out the trash, keeping their living space free of clutter, and ensuring that the property is safe. If damage is done to the property, it is the tenant's responsibility to pay for the damages.3. Using the Property ProperlyTenants must only use the rental property for its intended purpose. If the property is a residential dwelling, it should be used for that purpose.

4. Complying with Lease TermsThe tenant is obligated to comply with the terms of the lease. This includes payment of rent, following all rules and regulations set out by the landlord, and giving proper notice before moving out. Failure to comply with the lease terms can result in eviction.5. Allowing the Landlord Access Tenants are required to allow the landlord access to the property in certain circumstances. For example, Tenants should always be given advance notice before the landlord enters the property. Tenants cannot unreasonably deny the landlord access to the property.

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Which of the following is not one of the three forms of depreciation used in the cost approach?
a) Physical depreciation
b) Functional depreciation
c) External depreciation
d) Economic depreciation

Answers

The option that is not one of the three forms of depreciation used in the cost approach is "c) External depreciation. "The cost approach is a method of real estate valuation that estimates the cost required to replace a property with an equivalent one.

There are three different forms of depreciation in the cost approach: Physical, Functional, and Economic Depreciation.Physical depreciation refers to the loss of value caused by wear and tear, physical deterioration, and aging of a property.Functional depreciation is the decrease in value caused by the inadequacies of a property's design, materials, and other factors.Economic depreciation is the loss in value caused by external economic factors such as changes in market demand, competition, or land use.

External depreciation is not a form of depreciation used in the cost approach.Therefore, the correct answer is option C - External Depreciation.

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External depreciation is not one of the three forms of depreciation used in the cost approach. The cost approach is a method of property valuation that focuses on the replacement cost of the property and factors in depreciation to estimate its current value.

The three forms of depreciation commonly considered in the cost approach are:

1. Physical depreciation: This refers to the deterioration of the property's physical condition over time. It takes into account factors such as wear and tear, age, and damage that may affect the property's structural integrity or functionality.

2. Functional depreciation: This type of depreciation accounts for changes in the property's functionality or desirability due to outdated design, layout, or features. It considers how well the property meets current market demands and whether any necessary updates or renovations are required.

3. Economic depreciation: Economic depreciation reflects changes in the property's value due to external factors in the surrounding market or neighborhood. It considers aspects such as changes in supply and demand, market trends, location factors, and economic conditions that may impact the property's value.

While physical depreciation, functional depreciation, and economic depreciation are commonly used in the cost approach to property valuation, external depreciation does not fall within this categorization. External factors may have an impact on the property's value, but they are typically considered separately from the specific forms of depreciation used in the cost approach.

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The Find the energy U1 of the dielectric-filled capacitor. 10.0 V. Throughout the problem, use 0=8.851012C2/Nm2 Express your answer numerically in joules. - Part B The dielectric plate is now slowly pulled out of the capacitor, which remains connected to the battery. Find the energy U2 of the capacitor at the moment when the capacitor is half-filled with the dielectric. Express your answer numerically in joules. A dielectric-filled parallel-plate capacitor has plate area A=20.0 cm2 , plate separation d=10.0 mm and dielectric constant k=3.00. The capacitor is connected to a battery that creates a constant voltage V= 10.0 V. Throughout the problem, use 0=8.851012C2/Nm2 Part C The capacitor is now disconnected from the battery, and the dielectric plate is slowly removed the rest of the way out of the capacitor. Find the new energy of the capacitor, U3. 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Cooper's Bags Company is currently running a total of 45,000 machine hours: 13,800 in the Large Bag line, 15,000 in the Medium Bag line, and 16,200 in the Small Bag line. Cooper's Bags Company uses machine hours as the cost driver for manufacturing overhead costs. The plant - wide manufacturing overhead rate would be closest to (Round your final answer to the nearest cent. A. $157.25 per machine hour. B. $196.18 per machine hour. C. $227.47 per machine hour. D. $48.22 per machine hour.