Abica Roast Coffee Company produces Columbian coffee in batches of 6,000 pounds. The

standard quantity of materials required in the process is 6,000 pounds, which cost $5.00per pound. Columbian coffee can be sold without further processing for $8.40 per pound.

Columbian coffee can also be processed further to yield Decaf Columbian, which can

be sold for $10.00 per pound. The processing into Decaf Columbian requires additional

processing costs of $9,450 per batch. The additional processing will also cause a 5% loss

of product due to evaporation.



Columbian coffee can be sold without further processing for $8.40 per pound.

Columbian coffee can also be processed further to yield Decaf Columbian, which can

be sold for $10.00 per pound. The processing into Decaf Columbian requires additional

processing costs of $9,450 per batch. The additional processing will also cause a 5% loss

of product due to evaporation.

a. Prepare a differential analysis dated August 28, 2012, on whether to sell regular

Columbian (Alternative 1) or process further into Decaf Columbian (Alternative 2).

b. Should Abica Roast sell Columbian coffee or process further and sell Decaf

Columbian?

c. Determine the price of Decaf Columbian that would cause neither an advantage or

disadvantage for processing further and selling Decaf Columbian.

Answers

Answer 1

Answer:

A)

                                       no further          further                 differential

                                       processing        processing          amount

price per pound             $8.40                 $10.00                $1.60

materials                         $5                      $5.25                 ($0.25)

processing costs            $0                      = $9,450 /          ($1.66)

                                                                  5,700 = $1.66

operating profit per        $3.40                 $3.09                 ($0.31)

pound

                                     

B)

The company should sell coffee without any further processing, just sell it as normal Colombian coffee.

C)

In order to eliminate the financial disadvantage of processing further the decaf coffee, the the price should be $10 + $0.31 = $10.31 per pound.


Related Questions

seigel co. maintains a defined-benefit pension plan for its employees. at each balance sheet date, seigel should report a pension asset / liability equal to the

Answers

Answer: funded status relative to the projected benefit obligation

Explanation:

A defined benefit pension plan is a pension plan type in which the employer promises to pay the worker a lump sum or a pension payment which is based on the earnings history, age and the tenure of service of the worker.

Since Seigel co. maintains a defined-benefit pension plan for its employees. at each balance sheet date, seigel should report a pension asset/liability that will be equal to the funded status relative to the projected benefit obligation.

Marigold Corp. issues $220,000, 20-year, 8% bonds at 104. Prepare the journal entry to record the sale of these bonds on June 1, 2020

Answers

Answer:

Selling Price of Bonds = Value of bonds * Issue price / Face price

Selling Price of Bonds = $220,000 * 104/100

Selling Price of Bonds = $228,800

                                   Journal Entry

Date        Account Title and Explanation        Debit       Credit

1 June      Cash                                                $228,800  

                         Bond payable                                           $220,000

                         Premium on bond payable                       $8,800

                (To record issuance of bond)

Working

Premium On Bonds Payable = Selling Price of Bonds - Value of Bonds

= $228,800 - $220,000

= $8,800

(1 point)
1. Tim is a low-level supervisor, but he runs his department with a heavy hand. He directs his
employees to perform tasks in specific ways, and doesn't often listen to outside ideas. His own
supervisors have to repeatedly remind him not to make major decisions without consulting
them first. What type of authority is Tim attempting to practice?
O individualistic authority
O staff authority
O line authority
O functional authority

Answers

Answer:

a

Explanation:

he doesn't seek opinion from heads that's why

mark me as brainliest pls

Answer:

individualistic authority

Explanation:

Your customer, age 60, is retired and living at home with a fully paid-off mortgage. Her portfolio contains growth stocks and high-quality bonds, and she is a long-time investor and comfortable with moderate risk. Her objective is a moderate level of current income to supplement her corporate pension plan distributions and the earnings from her traditional IRA. How are the distributions taxed from her IRA

Answers

Answer:

Since this person is 60 years old, she will only pay normal income taxes fro any distributions that she receives from her IRA account.

Explanation:

Contributions to a traditional IRA account are tax exempt up to a certain limit. In other words, the money that this client contributed to her IRA account reduced her taxable income. Now that she is retired and starting to receive distributions from her IRA account, she will need to pay income taxes for the money that she receives.

A Roth IRA account works differently, since the contributions are not tax exempt, but the distributions are.

Chester's balance sheet has $105,038,000 in equity. Further, the company is expecting net income of 3,000,000 next year, and also expecting to issue $4,000,000 in new stock. If there are no dividends paid what will beChester's book value?

Answers

Answer:

$112,038,000

Explanation:

The book value is computed as shown below:

= Equity balance + net income + issue of new stock

= $105,038,000 + $3,000,000 + $4,000,000

= $112,038,000

Colgate-Palmolive Company reports the following balances in its retained earnings.
($ millions) 2010 2009
Retained earnings $14,329 $13,157
During 2010, Colgate-Palmolive reported net income of $2,200 million.
a. Assume that the only changes affecting retained earnings were net income and dividends. What amount of dividends did Colgate-Palmolive pay to its shareholders in 2010?
b. This dividend amount constituted what percent of its net income? (Round your answer to one decimal place.)

Answers

Answer:

a. $1,028 million

b. 46.7%

Explanation:

a. Dividends are taken from the retained earnings and net income is added to the retained earnings. The formula for ending retained earnings is;

Ending retained earnings = Opening Retained earnings + Net Income - Dividends

14,329 = 13,157 + 2,200 - Dividends

Dividends = 13,157 + 2,200 - 14,329

Dividends = $1,028 million

b. Dividends as a percentage of income

= 1,028/2,200

= 0.467

= 46.7%

In the United States, many agricultural products (such as corn, wheat, and rice) are subsidized. What are the benefits of subsidizing these products? Instructions: You may select more than one answer. .
a) higher prices for consumers and producers
b) lower prices for consumers and producers
c) higher prices for consumers and lower prices for producers
d) lower prices for consumers and higher prices for producers

Answers

Answer:

Correct answer:

b) lower prices for consumers and producers

Explanation:

In United States of America, food is one of the fundamental things which the government guarantee its citizens. Most agricultural products are subsidized by the government both for the farmers (producer) and the citizens (consumers).

The subsidy for the producer could be inform of payment of incentive, giving out agricultural implements and grants. On the other-hand, the subsidy to the consumer could be inform of reduced price of the agricultural food crops.

Geese Company utilizes the LIFO retail inventory method. Its cost-to-retail percentage is 60% based on beginning inventory and 64% based on current-period purchases. The company determined that beginning inventory at retail was $200,000 and that during the current period a new layer was added with retail value of $50,000. The cost of ending inventory should be

Answers

Answer:

$152,000

Explanation:

Calculation for the cost of the ending inventory

First step is to calculate the cost-to-retail percentage of the beginning inventory amount

Using this formula

Beginning Inventory =Cost-to-retail percentage*Beginning inventory at retail

Let plug in the formula

Beginning Inventory =60%*$200,000

Beginning Inventory =$120,000

Second step is to calculate current-period purchases percentage of the new layer amount

Using this formula

Current period purchases= Purchases percentage* New layer

Let plug in the formula

Current period purchases=64%*50,000

Current period purchases=$32,000

The last step is to find the cost of the ending inventory using this formula

Ending inventory cost=Beginning Inventory+Current period purchases

Let plug in the formula

Ending inventory cost=$120,000+$32,000

Ending inventory cost=$152,000

Therefore the cost of the ending inventory will be $152,000

When selecting the best alternative in a cost-benefit analysis, what are the issues to be considered?

Answers

Answer: Analyse cost, risk with impacts and project benefits.

Explanation:

The best alternative in a cost-benefit analysis situation are the following;

•The cost types should be analyzed

•Potential risk and their impacts should be looking into

•It is recommended to weigh all the risk even when there is a lot of project benefits.

What is the equivalent annual annuity of a project that requires an investment of $50,000 today and is expected to generate free cash flows of $15,000 per year for the next five years? The company’s weighted average cost of capital is 13.1% per year.

Answers

Answer:

$749.57

Explanation:

equivalent annual annuity = (NPV x rate) / [1 - (1 + rate)⁻ⁿ]

using a calculator, the NPV = $2,630rate = 13.1%n = 5

equivalent annual annuity = ($2,630 x 0.131) / [1 - (1 + 0.131)⁻⁵] = $344.53 / 0.4596 = $749.57

The equivalent annual annuity is used to compare mutually exclusive projects and determine which yields the highest annual returns.

Hickam Company makes one product, for which it has developed the following standard for labor: each unit should require 1.50 hours at $12/hour. In April, Hickam made 10,000 units, using 1.65 hours per unit at a cost of $11.50 per hour. What is the labor usage variance

Answers

Answer:

$1.8 Unfavourable

Explanation:

Labor usage variance can be calculated by deducting Standard hours from Actual hours and multiplying the result by the standard rate.

DATA

Standard hours = 1.50 hours

Standard rate = $12/hour

Actual hours = 1.65 hours

Actual rate = $11.5/hour

Calculation

LABOUR USAGE VARIANCE = (SH-AH)SR

LABOUR USAGE VARIANCE =(1.5 - 1.65) x $12

LABOUR USAGE VARIANCE = (-0.15) x $12

LABOUR USAGE VARIANCE = $1.8 Unfavourable

Muy Bueno Bakery sells three different products. Currently they are not able to meet all of their customers' demand. Using the following information, determine the price of the cake needed to meet the same contribution margin as the cookies. Cake Pie Cookies Contribution margin $18 $11 $3 Production hours 2 1.5 .25 Variable cost $12 $7 $1 Contribution margin/hr. $9 $7.33 $12 Current selling price $30 $18 $5 a.$45 b.$30 c.$42 d.$36

Answers

Answer:

d. $36

Explanation:

The Contribution margin is the net of selling price and variable cost of a product. It is calculated by deducting the variable cost from the selling price of a product.

                                          Cake   Pie    Cookies

Current selling price          $30    $18    $5

Variable cost                      $12     $7      $1

Contribution margin           $18     $11     $3

Production hours                2        1.5     0.25

Contribution margin/hr.     $9     $7.33  $12

Required Contribution margin per hour of cake = $12

Required Contribution margin = $12 x 2 = $24

Required Selling Price = Contribution margin + variable cost = $24 + $12 = $36

Note there is a mistake in the calculation of Contribution margin of Cookies as it is given $3 but after deducting the variable cost from selling price is should be $4 ( $5 - $1 ), I used the given contribution margin for the calculation.

The Baldwin company wants to decrease its plant utilization for Brat by 15%. How many units would need to be produced next year to meet this production goal

Answers

Answer:

1,266 units

Explanation:

A lot of information is missing, but I found a similar question:

current production level = 1,500 unitscurrent plant utilization rate = 96%

total plant capacity = 1,500 / 96% = 1,562.5 units

if plant utilization will decrease by 15% ⇒ 96% - 15% = 81%

plant production to meet required production goal = 1,562.5 x 81% = 1,265.625 = 1,266 units

When Isaiah Company has fixed costs of $137,750 and the contribution margin is $29, the break-even point is

Answers

Answer:

Break-even point in units= 4,750 units

Explanation:

Giving the following information:

When Isaiah Company has fixed costs of $137,750 and the contribution margin is $29

To calculate the break-even point in units, we need to use the following formula:

Break-even point in units= fixed costs/ contribution margin per unit

Break-even point in units= 137,750 / 29

Break-even point in units= 4,750 units

A creamery shop sells its special ice cream for $4.50 a quart. It costs them $3.00 a quart to make it. The daily demand for this flavor is normally distributed with a mean of 35 quarts and a standard deviation of 4 quarts. Unsold ice cream is sold each day to a local restaurant at $1.50 per quart. What is the service level and corresponding optimal stocking level?

Answers

Answer and Explanation:

The computation of the service level and the corresponding optimal stocking level is shown below:

Given that

Selling price = SP = $4.50

Cost price = CP  = $3.00

So,

Salvage value =  V  = $1.50

Average daily demand (d) = 35 quarts

The  standard deviation of daily demand  = 4 quarts

based on the above information

Overage cost = (Co) is

= CP - V

= $3.00 - $1.50

= $1.50

Now

Underage cost= (Cu)

= SP - CP

= $4.50 - $3.00

= $1.50

So,  

Service level is

= Cu ÷ (Co + Cu)

= 1.50 ÷ (1.50 + 1.50)

= 1.50 ÷ 3.00

= 0.50

= 50%

Now

At 50 % service level, the value of Z is 0

So,

Optimal stocking level is

= d + Z × standard deviation

= 35 + (0  × 4)

= 35 + 0  

= 35 quarts

A customer has purchased 10,000 shares of Fromage stock, a Swiss cheese company. The stock is not traded in the United States. Fromage declares and pays a dividend of 15,000 Swiss Francs, which, when converted to dollars, equals $10,000. Switzerland imposes a 20% withholding tax on dividends repatriated outside its borders. How is the dividend reported on this investor's U.S. tax return

Answers

Answer:

$10,000 of dividends are reported, along with a $2,000 tax credit for monies withheld in Switzerland

Explanation:

As we know that if there is a direct investment in a foreign security, so the foreign country having a tax on dividend send an individual his home country against his will now if this condition arise so the same i.e tax credit should be levy on the same person while filing the U.S tax return

Since $10,000 dividend is received along with it $2,000 would be the tax credit  

Stock splits can be used to: C) increase the par value per share while decreasing the market price per share. A) adjust the market price of a stock so it falls within a preferred trading range B) decrease a company's excess cash thereby lowering agency costs. E) adjust the debt-equity ratio to its preferred level D) increase the total equity of a firm.

Answers

Answer:

A) adjust the market price of a stock so it falls within a preferred trading range

Explanation:

A stock split is when a company increases the number of its shares outstanding.

for example if a company has 6 million shares outstanding at a price of $10, earning per share is $1 and dividend per share is $2. this company announces a 2 for 1 split :

the number of outstanding shares becomes 2 x 6 million = 12 million

stock price becomes = $10 / 2 =$5

earning per share = $1 / 2 = $0.50

dividend per share = $2 / 2 = $1

After a stock split, the price of the shares falls. so it can be used to adjust the market price of a stock so it falls within a preferred trading range.

A stock split doesn't affect the balances in shareholders equity account.

Stock split doesn't affect the cash holdings of the firm.

Market capitalisation doesn't change after a split, so stock value doesn't change.

A company uses 40000 pounds of materials for which it paid $2 a pound. The materials price variance was $20000 unfavorable. What is the standard price per pound

Answers

Answer:

Standard price= $1.5

Explanation:

Giving the following information:

A company uses 40000 pounds of materials for which it paid $2 a pound. The materials price variance was $20000 unfavorable.

To calculate the standard price, we need to use the following formula:

Direct material price variance= (standard price - actual price)*actual quantity

-20,000= (standard price - 2)*40,000

-20,000= 40,000standard price - 80,000

60,000/40,000= standard price

standard price= $1.5

Blue Cab Company had 69,000 shares of common stock outstanding on January 1, 2021. On April 1, 2021, the company issued 39,000 shares of common stock. The company had outstanding fully vested incentive stock options for 14,500 shares exercisable at $11 that had not been exercised by its executives. The end-of-year market price of common stock was $32 while the average price for the year was $31. The company reported net income in the amount of $364,915 for 2021. What is the diluted earnings per share (rounded)

Answers

Answer:

$3.38

Explanation:

The diluted earnings per share is calculated as;

First, we need to calculate the weighted average outstanding shares.

Weighted average outstanding share is

= Common shares + (Issued shares × 9/12[April - December] + [(Issued shares - Shares exercisable)

= 69,000 shares + (39,000 shares × 9/12) + ( 14,750* - 5,145*)

= 69,000 + 29,250 + 9,605

= 107,855

Therefore, the diluted earnings per share is;

= Net income / Weighted average outstanding shares

= $364,915 / 107,855

= $3.38

Note : (14,500 shares × 11) / 31

= 5,145

The standard deviation of a portfolio: Multiple Choice is a measure of that portfolio's systematic risk. is a weighted average of the standard deviations of the individual securities held in that portfolio. measures the amount of diversifiable risk inherent in the portfolio. serves as the basis for computing the appropriate risk premium for that portfolio. can be less than the weighted average of the standard deviations of the individual securities held in that portfolio.

Answers

Answer:

sorry i forgot

Explanation:

Calculate the effective annual interest rate for the following: a. A 3-month T-bill selling at $97,820 with par value $100,000. (Round your answers to 2 decimal places.) b. A 8% coupon bond selling at par and paying coupons semiannually.

Answers

Answer:

A.9.2%

B.8.16%

Explanation:

a. Calculation for the Effective annual rate on three-month T-bill

First step

T-bill =(Par value-Selling amount)/Par value

Let plug in the formula

T-bill =($100,000-$97,820)/$97,820

T-bill =$2,180/$97,820

T-bill =0.02228

Now let calculate for the Effective Annual Interest rate

Effective Annual Interest rate = (1 + 0.02228)^4– 1

Effective Annual Interest rate = (1.02228)^4-1

Effective Annual Interest rate =1.0921-1

Effective Annual Interest rate =0.0921×100

Effective Annual Interest rate=9.2%

B. Calculation for the effective annual interest rate for A 8% coupon bond .

First step

Semi-annual return=8%/2

Semi-annual return=4%

Second step is to calculate for the effective annual interest rate

Using this formula

Effective annual interest rate =(1+Semi-annual return percentage)^2-1

Let plug in the formula

Effective annual interest rate=(1+0.04)^2-1

Effective annual interest rate=(1.04)^2-1

Effective annual interest rate=1.0816-1

Effective annual interest rate=0.0816×100

Effective annual interest rate=8.16%

Therefore the Effective annual rate on three-month T-bill will be 9.2% while that of coupon bond is 8.16%

.

Carlos wants to purchase a new computer and go to the Caribbean for spring break. The computer is priced at $1,299, and the vacation is priced at $750. He has only $1,537 in his checking account, so he cannot afford to purchase both. After much thought, Carlos buys the computer and writes a check for $1,299. Identify what role mo

Answers

The complete question is:

Carlos wants to purchase a new computer and go to the Caribbean for spring break. The computer is priced at $1,299, and the vacation is priced at $750. He has only $1,537 in his checking account, so he cannot afford to purchase both. After much thought, Brian buys the computer and writes a check for $1,299.

Identify what role money plays in each of the following parts of the story.

Carlos can easily determine that the price of the computer is more than the price of the vacation.

Carlos has $1,537 in his checking account.

Carlos writes a check for $1,299.

Answer:

Carlos can easily determine that the price of the computer is more than the price of the vacation.= Unit of Account

Carlos has $1,537 in his checking account.= Store of value

Carlos writes a check for $1,299.= Medium of Exchange

Explanation:

In this scenario the different functions of money are exhibited. The 3 functions of money are as unit of account, store of value and medium of exchange.

When Carlos determines that the price of the computer is larger than that of price of a vacation money functions as a unit of account. The amount for a computer is $1,299 which is larger than the cost of a vacation ($750)

The money in his account is a store of value from which he can make pitches in the present or in the future.

When he writes the check for the computer, he is exchanging money for the computer. Money acts as a medium of exchange

Night Shades, Inc. (NSI), manufactures biotech sunglasses. The variable materials cost is $11.13 per unit, and the variable labor cost is $7.29 per unit.Required:a. What is the variable cost per unit?b. Suppose the company incurs fixed costs of $875,000 during a year in which total your answer to 2 decimal places, e.g., 32.16.) production is 190,000 units. What are the total costs for the year?c. If the selling price is $44.99 per unit, does the company break even on a cash basis? I depreciation is $435,000 per year, what is the accounting break-even point?

Answers

Answer:

Explanation:

Giving the following information:

Unitary direct material cost= $11.13

Unitary direct labor cost= $7.29

A.

Total variable cost per unit= 11.13 + 7.29= $18.42

B. Fixed costs= $875,000

Production= 190,000

Total costs= 875,000 + 18.42*190,000= $4,374,800

C.

To calculate the break-even point in units, we need to use the following formula:

Break-even point in units= fixed costs/ contribution margin per unit

Break-even point in units= 875,000 / (44.99 - 18.42)

Break-even point in units= 32,932 units

D. Depreciation= $435,000

Accounting break-even point= (875,000 - 435,000) / 26.75

Accounting break-even point= 16,449 units

uestion 5
BROOKLYN LTD has developed a new product and is currently considering the marketing and pricing
policy it should employ for this. Specifically, it is considering whether the sales price should be set at Shs.
15,000 per unit or at the higher level of Shs. 24,000 per unit. Sales volume at these two (2) prices is shown
in the following table:
Sales price Shs. 15,000 per Unit
Forecast Sales volume Probability
20,000
0.1
30,000
0,6
40,000
0.3
Sales price Shs. 24,000 per Unit
Forecast Sales volume Probability
8,000
0.1
16,000
0.3
20,000
0.3
24,000
0.3

Answers

Answer:

BROOKLYN LTD

The selling price should be set at Shs. 15,000.  At this price, there are more sales in unit and value than at the selling price of Shs. 24,000.

Explanation:

a) Data and Calculations:

                                            Shs. 15,000   Probability  Expected Sales

Forecasted Sales Volume     20,000              10%         2,000

Forecasted Sales Volume     30,000              60%       18,000

Forecasted Sales Volume     40,000              30%       12,000

Total Expected sales                                                     32,000

Total Sales Value = Shs. 480,000,000 (Shs. 15,000 x 32,000)

                                       Shs. 24,000     Probability  Expected Sales

Forecasted Sales Volume       8,000              10%             800

Forecasted Sales Volume     16,000              30%          4,800

Forecasted Sales Volume    20,000              30%          6,000

Forecasted Sales Volume    24,000              30%          7,200

Total Expected sales                                                      18,800

Total Sales Value = Shs. 451,200,000 (Shs. 24,000 x 18,800)

A mother, aged 60, wishes to withdraw monies from her variable annuity to pay for her son's college education. Which statement is true regarding the taxation of the withdrawal?
A. The withdrawal is 100% taxable
B. Any amount withdrawn above the cost basis is taxable
C. Any amount withdrawn above the cost basis is taxable, and is subject to a 10% penalty tax
D. The withdrawal is not subject to tax

Answers

Answer:

Any amount withdrawn above the cost basis is taxable

Explanation:

This woman is above 59½ years at age 60. If she was least than 60, she would be owing a 10% penalty on the taxable amount of this withdrawal. But since she is above this age she has to pay income taxes on the whole taxable amount of the funds she withdrew. Variable annuities would never be taxed the money is withdrawn. Therefore option B is the best answer for This question.

When the Federal Reserve buys long term MBS and Treasury securities from banks and announces its intention to keep buying these assets in large quantities for a long time the effect on commercial banks is to increase the value of fixed income securities that are not sold and at the same time to lower the interest spread between new loans originated and the cost of financing these loans. True False

Answers

Answer:

True

Explanation:

Since, Federal reserve purchased long term MBS in order to pay the less market interest rate and this will cause a rise in the amount of income i.e fixed securities. Also, due to less market interest rate, the financing cost is less and at the same time interest spread is narrower as it provides more liquidity

Therefore the given statement is true

The price of oil in the United States has been very volatile over the last 50​ years, with the real price of oil showing a few dramatic swings. When did these swings​ occur, and what can explain​ them? The first dramatic swing happened in the 1970s when there was a sharp ▼ drop rise in the real price of oil caused by ▼ a large financial crisis the formation of OPEC increased demand from emerging economies . The second swing happened in the 2000s when there was a sharp ▼ rise drop in the real price of oil caused by ▼ increased demand from emerging economies a large financial crisis the formation of OPEC . The most recent swing happened in 2008 when there was a sharp ▼ rise drop in the real price of oil caused by

Answers

Answer:

The first dramatic swing happened in the 1970s when there was a sharp rise in the real price of oil caused by the formation of OPEC.

In 1973, the World saw it's first oil spike when members of the Organization of Oil Exporting Countries (OPEC) being mostly Muslims, decided to punish the Western World for their perceived support of the Israelis in the Yom Kippur War. They placed an embargo on the sale of oil to the West and because they controlled 56% of the then World supply, this was enough to force the price of oil up due to the reduction in demand.

The second swing happened in the 2000s when there was a sharp rise in the real price of oil caused by increased demand from emerging economies.

From the early 2000s to 2008, the price of oil kept rising steadily till it reached around $147.30 in July 2008. This rise in prices was due to increased demand from newly industrialized and emerging nations like China that needed the oil to maintain their rapid growth.

The most recent swing happened in 2008 when there was a sharp drop in the real price of oil caused by a large financial crisis.

By December 2008, the price of oil had fallen to $32 and this was down to the global recession that was ravaging the World known as the Great Recession. As the world saw economic output fall, demand for oil decreased sharply thereby forcing the price of oil to fall dramatically.

The total factory overhead for Bardot Marine Company is budgeted for the year at $600,000 divided into two departments: Fabrication, $420,000, and Assembly, $180,000. Bardot Marine manufactures two types of boats: speedboats and bass boats. The speedboats require 8 direct labor hours in Fabrication and 4 direct labor hours in Assembly. The bass boats require 4 direct labor hours in Fabrication and 8 direct labor hours in Assembly. Each product is budgeted for 250 units of production for the year.Required:a. Determine the total number of budgeted direct labor hours for the year in each department.b. Determine the departmental factory overhead rates for both departments.c. Determine the factory overhead allocated per unit for each product using the department factory overhead allocation rates.

Answers

Answer:

Fabrication, $420,000 / 3,000 = $140 per hour

Assembly, $180,000 / 3,000 = $60 per hour

speedboats

8 direct labor hours in Fabrication x 250 = 2,000 hours4 direct labor hours in Assembly x 250 = 1,000 hours

bass boats

4 direct labor hours in Fabrication x 250 = 1,000 hours8 direct labor hours in Assembly x 250 = 2,000 hours

a. Determine the total number of budgeted direct labor hours for the year in each department.

3,000 labor hours in Fabrication and 3,000 labor hours in Assembly

b. Determine the departmental factory overhead rates for both departments.

Fabrication = $140 per hour

Assembly = $60 per hour

c. Determine the factory overhead allocated per unit for each product using the department factory overhead allocation rates.

speedboats

Fabrication $1,120Assembly $240

bass boats

Fabrication $560Assembly $480

Calculate the marginal cost of the 70th toy car produced. Round your answer to the nearest hundredth.

Answers

Answer:

$1.43

Explanation:

A lot of information is missing, but i found a similar question. Hope it can help.

Labor    Q     Fixed          Variable   Total      Marginal       Average  

                     costs          costs         cost       cost              total cost

0            0       50              0               50           0                     0

1            10       50             30              80           8                     8

2           24      50             60              110          2.5                 4.58

3           49      50             90              140         1.20                2.86

4           70      50            120              170         1.43                2.43

5           82      50            150             200        2.50               2.44

marginal cost is calculated by dividing the incremental cost ($30) by the incremental output (21) = $30 / 21 = $1.4286 ≈ $1.43

Kim's Bridal Shoppe has 12,400 shares of common stock outstanding at a price of $58 per share. It also has 325 shares of preferred stock outstanding at a price of $88 per share. There are 400 bonds outstanding that have a coupon rate of 7.7 percent paid semiannually. The bonds mature in 39 years, have a face value of $2,000, and sell at 113 percent of par. What is the capital structure weight of the common stock

Answers

Answer:

43.54%

Explanation:

the firm's total market value:

12,400 common stocks x $58 = $719,200325 preferred stocks x $88 = $28,600400 bonds x $2,260 = $904,000total $1,651,800

total capital structure weight of common stocks = $719,200 / $1,651,800 = 43.54%

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