Each year, public schools are rewarded with bigger budgets for achieving a rating of "excellent" or "recommended" and are punished for rating "needs improvement." These ratings are based on meeting thresholds on a broad set of measures such as attendance rates, graduation rates, standardized test scores, SAT scores, and so on. True or False: This funding structure incentivizes schools to seek out and serve lower-performing students. True False

Answers

Answer 1

Answer:

Each year, public schools are rewarded with bigger budgets for achieving a rating of "excellent" or "recommended" and are punished for rating "needs improvement." These ratings are based on meeting thresholds on a broad set of measures such as attendance rates, graduation rates, standardized test scores, SAT scores, and so on. True or False

This funding structure incentivizes schools to seek out and serve lower-performing students. True False

Explanation:

The funding structure is meant to encourage public schools for improved performance in all the performance measures.  These performance measures are the means to judge whether proper application is being achieved with the funds provided by the government to such schools.  They also encourage healthy competition among public schools when followed judiciously.  Since they have some internal and external benchmarks, the performance measures are like a balanced scorecard for performance evaluation.


Related Questions

Systemic barriers to change occur because of conflicts between departments, conflicts arising from power relationships, and refusal to share information.
a. True
b. False

Answers

Answer:

a. True

Explanation:

This statement is true, as systemic barriers can occur in an organization whose information flow does not occur efficiently and effectively, which causes information noises that prevent departments or teams from receiving organizational information.

This barrier can be eliminated by establishing a more direct and integrated communication with all organizational sectors, in the form of announcements, murals, e-mail, etc.

Another way to solve this problem is by analyzing the design of the organizational structure and making adjustments if it is found that there are flaws that prevent the flow of information to flow normally.

After the initial offering, the bonds are trading in the secondary market at 105, while the stock is trading at $10. Which statements are TRUE?

Answers

Answer:

B I and IV

Explanation:

Each bond could be transformed into common stock at $10.50 par value. So the bond should be equivalent to the 95 shares that comes from

= $1,000 ÷ $10.50 per share

= 95 shares

Currently price of the bond is $1,050

Now each share price is

= $1,050 ÷ 95 shares

= $11.05

As the common stock is traded at $10 that represents the stock is less than parity and therefore there is no means to transform the shares

hence, B option is correct

Beer prices at major league baseball stadiums are usually much higher than prices at a bar or restaurant. This is mainly because

Answers

The question is incomplete:

Beer prices at major league baseball stadiums are usually much higher than prices at a bar or restaurant. This is mainly because

a. it costs the owners of the baseball teams more money to buy the beer from distributors

b. demand is much higher at a baseball game than at a bar

c. baseball team owners have market power and can change a higher price when they are the only sellers of beer

d. the government forces the owners of baseball teams to change price.

e. the owner's baseball teams are not profit maximizing

Answer:

c. baseball team owners have market power and can change a higher price when they are the only sellers of beer

Explanation:

The situation at the major league baseball stadiums is that the owner of the team is the only one that sells the beer which means that they have the power to establish the price they want as people won't have another option to buy the beer in the stadium and they will try to get as much benefits as possible by setting a high price. According to this, the answer is that this is mainly because baseball team owners have market power and can change a higher price when they are the only sellers of beer .

The other options are not right because the owners of the teams pay the same price for the beer as everyone else, the demand is not higher at the baseball game, the government doesn't regulate the prices and the owners are trying to get as much profits as possible.

Martha, who is single, has a main home in Houston. In the current year, she rented it for 10 days, receiving $5,000 in rental income. Martha paid $20,000 in mortgage interest and $10,000 in real estate taxes on her home in the current year. What is the net effect of these items on her adjusted gross income g

Answers

Answer:

$5,000 increase

Explanation:

As Martha has the main home in Houston and in the current year she rented it for only 10 days, this means that house is rented for less than 14 days and will be still treated as her personal residence, therefore, no deduction will be available for Martha against her rental income. Martha's Adjusted gross income will be increased by an amount of $5,000.

Bow-Wow Company manufactures a product with a unit variable cost of $50 and a unit sales price of $88. Fixed manufacturing costs were $240,000 when 10,000 units were produced and sold. The company has a one-time opportunity to sell an additional 1,000 units at $70 each in a foreign market which would not affect its present sales. If the company has sufficient (excess) capacity to produce the additional units, acceptance of the special order would affect net income as follows:

a. Income would decrease by $4,000.
b. Income would increase by $4,000.
c. Income would increase by $70,000.
d. Income would increase by $20,000.

Answers

20,000 dollars at least could be it

Barry Cuda is considering the purchase of the following Builtrite bond: $1000 par, 3 1/4% coupon rate, 10 year maturity that is currently selling for $940. If Barry purchases this bond, what would his approximate yield to maturity be?

Answers

Answer:

Yield to Maturity = 3.97%

Explanation:

The yield to maturity is the discount rate that equates the price of the bond to the present value of its future cash flow receivable from it.

The yield on the bond can be determined as follows using the formula below:  

YM = C + F-P/n) ÷ 1/2 (F+P)  

YM-Yield to maturity-  

C- annual coupon  

F- Face Value  

P- Current Price  

DATA  

Coupon = coupon rate × Nominal value = 1,000 × 3 1/4%=  32.5

Face Value = 1000

YM-?, C- 32.5, Face Value - 1,000, P-940  

YM = (32.5+ (1000-940)/10) ÷ ( 1/2× (1000 + 940) )  

YM = 0.0397 × 100 =  3.97%

Yield to Maturity = 3.97%

If an applicant is not hired because the applicant has previously claimed overtime which they were owed, they are likely to be covered under the

Answers

Answer: Fair Labor Standards Act

Explanation:

The Fair Labor Act which is enforced by the US Department of Labor is meant to govern issues of remuneration in labor such as minimum wages and overtime pay. This Act applies to private workers at the Federal, State and Local levels of Government.

This Act stipulates that Overtime should be paid to an employee with certain conditions attached and if those conditions are fulfilled, the company ought to pay the employee that Overtime. If the Employee demands their overtime and is subsequently treated unfairly in hiring, the Department of Labor will be able to protect the Employee under this Act.

Crane Corporation has 2,000 shares of stock outstanding. It redeems 500 shares for $370,000 when it has paid-in capital of $300,000 and E & P of $1,200,000. The redemption qualifies for sale or exchange treatment for the shareholder. Crane incurred $13,000 of accounting and legal fees in connection with the redemption transaction and $18,500 of interest expense on debt incurred to finance the redemption. What is the effect of the distribution on Crane Corporation's E & P? Also, what is the proper tax treatment of the redemption expenditures?

Answers

Answer:

E&P $1,200,000 × 25%= $300,000 reduction

Crane Corporation would reduce its E & P in the amount of $300,000 as a result of the redemption.

This represents a 25% decrease in the amount of the E & P corresponding to the 25% stock redemption.

When a stock redemption results in sale or exchange treatment for the shareholder, the E & P account of a corporation is reduced in an amount not in excess of the ratable share of the E & P of the distributing corporation attributable to the stock redeemed.

As such, none of the expense of $13,000 of accounting and legal fees or other is deductible.

Poulter Corporation will pay a dividend of $4.25 per share next year. The company pledges to increase its dividend by 6.75 percent per year, indefinitely. If you require a return of 10 percent on your investment, how much will you pay for the company’s stock today? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer:

Current price of stock = $130.76(Approx).

Explanation:

Given:

Dividend paid = $4.25

Required return of return = 10%

Growth rate = 6.75%

Find:

Current price of stock = ?

Computation:

Current price of stock = D1 / (Required return of return - Growth rate)

Current price of stock = 4.25 / (0.1 - 0.0675)

Current price of stock = 4.25 / 0.0325

Current price of stock = $130.76(Approx).

Burnett Corp. pays a constant $8.15 dividend on its stock. The company will maintain this dividend for the next 12 years and will then cease paying dividends forever. If the required return on this stock is 11 percent, what is the current share price

Answers

Answer:

$52.91

Explanation:

With regards to the above, we will apply the dividend discount model to come up with the price for share.

Under the dividend discount model, the price for share represents the present value of all its future dividend discounted at the required rate of return.

Since the share has 12 annual equal dividend payments of 8.15 each year, while the required rate is 11%, we can apply the below annuity to arrive at the share price.

(8.15/0.11) × [ 1- 1.11^(-12) ] = $52.91

Therefore, the current share price is $52.91

Torrid Romance Publishers has total receivables of $3,000, which represents 20 days’ sales. Total assets are $75,000. The firm’s operating profit margin is 5%. Find the firm's ROA and asset turnover ratio.

Answers

Answer:

Assets turnover ratio= 0.73

ROA= 3.65%

Explanation:

Torrid romance publishers have a total receivables of $3,000, it represents a 20 days sales

The total assets is $75,000

The operating profit margin is 5%

= 5/100

= 0.05

The first step is to calculate the total sales

= $3,000×365/20

= $3,000×18.25

= $54,750

The asset turnover ratio can be calculated as follows

= Total sales/Total assets

= $54,750/$75,000

= 0.73

The ROA can be calculated as follows

= Assets turnover ratio×operating profit margin

= 0.73×0.05

= 0.0365×100

= 3.65%

Hence the assets turnover ratio and ROA is 0.73 and 3.65% respectively.

An investment adviser with no place of business in the State is exempt from registration if it renders advice solely to employee benefit plans with assets of at least:

Answers

Answer:

$1,000,000

Explanation:

The investment adviser who doesn't have any place of business in the state and offers his services to only employee benefit plans with assets of assets at least $1,000,000 are exempt from registration. If the asset value exceeds this limit then the investment adviser will be required to register itself.

* Distinguish between Accounts Receivable and
Account Payable.

Answers

Explanation:

Accounts receivable is money owed to a company by its debtors.

Account payable amounts due to vendors or suppliers for goods or services received that have not been yet paid for.

Answer:

Accounts receivable are the amounts owed to a company by its customers. it is an asset to the company

accounts payable are the amounts that a company owes to its suppliers.it is a  liability to the company

Explanation:

Double West Suppliers (DWS) reported sales for the year of $400,000, all on credit. The average gross profit percentage was 35 percent on sales. Account balances follow:
Beginning Ending
Accounts receivable (net) $ 51,000 $ 61,000
Inventory 67,000 46,000
Required:
1. Compute the following turnover ratios. (Round your answers to 1 decimal place.)
2. By dividing 365 by your ratios from requirement 1, calculate the average days to collect receivables and the average days to sell inventory. (Use 365 days in a year. Do not round intermediate calculations. Round turnover ratio calculation and final answers to 1 decimal place.)

Answers

Answer:

1. Accounts Receivables Turnover Ratio = Net Credit Sales/Average Accounts Receivables = 400,000 / (51000 + 61000)/2

= 400,000/56,000

= 7.1 times

Inventory Turnover Ratio = Cost of Goods Sold/Average Inventory = (Sales-Gross Profit)/Average Inventory = (400,000 - 35% * 400,000) / (67000 + 46000)/2

=400,000 - 140,000 / 56,500

= 260,000 / 56,500

= 4.6 times

2. Average Days to Collect Receivables = 365/7.1 = 51.40 or 52 days

Average Days to Collect Inventory = 365/4.6 = 79.34 days

Salah’s net income for the year ended December 31, Year 2 was $191,000. Information from Salah’s comparative balance sheets is given below. Compute the cash paid for dividends during Year 2. At December 31 Year 2 Year 1 Common Stock, $5 par value $ 506,000 $ 455,400 Paid-in capital in excess of par 954,000 858,400 Retained earnings 694,000 587,400

Answers

Answer:

Cash Dividends - Year 2 =  $84400

Explanation:

The net income of the business is usually appropriated or used for two purposes at the end of the year. It is either used to pay dividends or is retained in the business and is added to the retained earnings or both.

Thus, to calculate the dividends paid by the business in a particular year, we can calculate the change in retained earnings and deduct it from the net income.

Change in retained earnings = Ending balance of retained earnings - Beginning balance of retained earnings

Change in retained earnings = 694000 - 587400

Change in retained earnings = $106600

Thus, out of the net income of $191000, $106600 were transferred to retained earnings. So, the amount of dividends paid for the year is,

Cash Dividends - Year 2 = 191000 - 106600  = $84400

An annuity provides for 30 annual payments. The first payment of 100 is made immediately and the remaining payments increase by 8 percent per annum. Interest is calculated at 13.4 percent per annum. Calculate the present value of this annuity.

Answers

Answer:

$1423.38

Explanation:

number of payments ( number of years )(n) = 30

first payment = $100

interest calculated at : 13.4 % = 0.134

increment rate : 8 percent = 0.08

we can calculate the present value using this Equation

= (p / (r-g))  * [1 - [(1+g)/(1+r)]^n ]

where :

p / (r-g) = 100 / (0.134 - 0.08 ) = $1852

[1 - ((1+g)/(1+r)]^n ) =  (1 - ((1.08/1.134)^30 ) =  0.7686

hence the present value of this annuity = $1852 * 0.7686 = $1423.38

Note :

p ( first principal payment ) = $100

r ( calculated interest ) = 13.4% = 0.134

g ( increment interest ) = 8 % = 0.08

The NYSE Specialist (DMM) and Floor Trader system is the model for trading used by which of the following markets?

I NASDAQ
II AMEX (NYSE American)
III PHLX
IV BATS

a. I and III
b. I and IV
c. II and III
d. II and IV

Answers

Answer:

c. II and III

Explanation:

The New York Stock Exchange, NYSE Specialist (DMM) and Floor Trader system is the model for trading used by American Stock Exchange, AMEX (NYSE American) and Philadelphia Stock Exchange (PHLX).

However, National Association of Securities Dealers Automated Quotations (NASDAQ) isn't modeled after the NYSE Specialist (DMM) and Floor Trader system, rather it is based on an all electronic market. Also, Better Alternative Trading System (BATS) started as an Electronic Communications Network (ECN) and as such is typically an all electronic market, which has transformed magnificently into an exchange according to the Securities and Exchange Commission (SEC).

Hence, the American Stock Exchange, AMEX (NYSE American) and Philadelphia Stock Exchange (PHLX) uses a designated market maker (DMM) and Floor Trader system just like the New York Stock Exchange as their primary market maker.

Each extra worker produces an extra unit of output up to six workers. After six, no additional output is produced. Draw the total product of labor, average product of labor, and marginal product of labor curves.

Answers

Answer:

attached is the diagram

Explanation:

Each extra worker produces an extra unit of output, is said to be the marginal production of an extra worker employed

marginal production  :

change in total production / change in labor = ΔTp / ΔL

Average production = Tp / L

Tp = total production ,  L = number of labor

To draw the Total product of labor , average product labor and marginal product labor curves starting from zero labor

0 worker : Total product = 0, average product labor = 0 , marginal = 0

1 worker : Total product = 1, average product = 1 , marginal = 0

2 worker : Total product = 2, average product = 1, marginal = 1

3 workers: total product = 3 average product = 1, marginal = 1

4 workers: Total product = 4, average product = 1, marginal = 1

5 workers : Total product = 5 average product = 1, marginal = 1

6 workers : total product = 6 average product = 1 , marginal = 1

7 workers : total product = 7 , average product = 0.85, marginal = 0

8 workers : total product = 8, average product = 0.75 marginal = 0

Which of the following is not a good example of a marketing-related key success factor?
A. a well-known and well-respected brand name
B. breadth of product line and product selection
C. proven ability to improve production processes
D. clever advertising
E. courteous, personalized customer service

Answers

Answer: A. a well-known and well-respected brand name

Explanation:

Good examples of a marketing-related key success factor include breadth of product line and product selection, proven ability to improve production processes, clever advertising and courteous, personalized customer service.

Therefore, a well-known and well-respected brand name is not among the options for Marketing related success factors.

The Talbot Company uses electrical assemblies to produce an array of small appliances. One of its high cost / high volume assemblies, the XO-01, has an estimated annual demand of 8,000 units. Talbot estimates the cost to place an order is $50, and the holding cost for each assembly is $20 per year. The company operates 250 days per year. What is the economic order quantity for the XO-01

Answers

Answer:

EOQ = 200 units

Explanation:

We can easily calculate the Economic order quantity by putting values EOQ formula. All you need is the data for calculation.

DATA

Annual demand = 8,000

Ordering cost = $50

Holding cost = $20

EOQ =?

Formula

EOQ = [tex]\sqrt{\frac{2CoD}{Ch} }[/tex]

Where

Co = Ordering cost

D = Demand

Ch = Holding cost

Solution

EOQ = [tex]\sqrt{\frac{{2(50)(8000)} }{20}}[/tex]

EOQ = [tex]\sqrt{\frac{800000}{20} }[/tex]

EOQ = 200 units

Richards Corporation uses the FIFO method of process costing. The following information is available for October in its Fabricating Department: Units: Beginning Inventory: 80,000 units, 60% complete as to materials and 20% complete as to conversion. Units started and completed: 250,000. Units completed and transferred out: 330,000. Ending Inventory: 30,000 units, 40% complete as to materials and 10% complete as to conversion. Costs: Costs in beginning Work in Process - Direct Materials: $37,200. Costs in beginning Work in Process - Conversion: $79,700. Costs incurred in October - Direct Materials: $646,800. Costs incurred in October - Conversion: $919,300. Calculate the cost per equivalent unit of conversion.

Answers

Answer:

$2.90 per equivalent unit of conversion

Explanation:

equivalent units of conversion (under FIFO) = [units in beginning inventory x ( 1 - previous conversion rate)] + units started and completed + (units in ending inventory x conversion rate) = [80,000 x (1 - 20%)] + 250,000 + (30,000 x 10%) = 64,000 + 250,000 + 3,000 = 317,000 units

cost per equivalent unit of conversion = total conversion costs / total equivalent units of conversion = $919,300 / 317,000 units = $2.90 per equivalent unit

The risk-free rate is 2.3 percent and the market expected return is 12 percent. What is the expected return of a stock that has a beta of .87?

Answers

Answer:

The expected return = 10.739.

Explanation:

Given risk-free rate of return = 2.3 per cent

Market expected return = 12 percent  

The value of beta = 0.87

Use the below formula to find the expected return.

The expected return = Risk free rate of return + Beta × (Market expected return - risk free rate of return)

The expected return = 2.3 + 0.87 (12 – 2.3)

The expected return = 10.739

Bing engaged Dill to perform personal services for $2,200 a month for a period of four months. The contract was entered into orally on July 1, 1984, and performance was to commence on September 1, 1984. On August 10, Dill anticipatorily repudiated the contract. As a result, Bing:

Answers

Answer:

Bing can immediately sue for breach of contract

Explanation:

Based on the scenario that is being described, Bing can immediately sue for breach of contract. Breaching a contract is when one party in a binding agreement fails to deliver according to the terms of the agreement. When Dill made an anticipatory repudiation, he basically stated that he does not intend to live up to the obligations of the contract that he had agreed to, therefore breaching the contract and becoming liable.

If the Fed carries out an open market operation and buys U.S. government​ securities, the federal funds rate​ ________ and the quantity of reserves​ ________.

Answers

Answer:

decreases,  increases

Explanation:

An open market operation where the government buys securities increases the money supply so the Federal funds rates increases. Because of the increase in money supply, the reserves held by banks would increase.

the federal funds rate​ is the interest rate at which banks can borrow or lend excess reserves overnight

The GoT cups are a fast seller and you need to ensure that you have enough rolls of paper to fulfill demand. The first stage in the process is to determine the total cost of the current inventory ordering model. Given the following information, how many rolls should they order to minimize costs?H: $1.75 per unitD: 500 rolls per monthQ: 100 units ordered at a timeS: $25 per order

Answers

Answer:

EOQ = 414 rolls

Explanation:

In order to calculate the number of orders to minimize the cost, we should calculate that by using the Economic order quantity model.

DATA

Holding cost = $1.75/unit

Annual demand = 500 rolls x 12 = 6000 rolls

Ordering cost = $25

Formula

EOQ =[tex]\sqrt{\frac{2Cod}{Ch} }[/tex]

Where

Co = ordering cost

D = Annual demand

Ch = Holding cost

Solution

EOQ = [tex]\sqrt{\frac{2(6000)(25)}{1.75} }[/tex]

EOQ = [tex]\sqrt{\frac{300000}{1.75} }[/tex]

EOQ = 414 rolls

They should order 414 rolls to minimize the cost.

Answer:

119 units

Explanation:

The economic order quantity is the minimum amount of inventory that a seller must keep to demand and lower the holding cost. The ordering cost is $25 per order. Holding cost is $1.75 per unit. The total demand is 500 units per month. The economic order quantity that will minimize the cost of the GoT cups is

EOQ = [tex]\sqrt{\frac{2*Demand*ordering cost}{Holding cost} }[/tex]

EOQ is 119 units.

How much interest is earned in just the third year on a $1,000 deposit that earns 7% interest compounded annually?

Answers

Answer:

Interest earn= $80.14

Explanation:

Giving the following information:

PV= $1,000

i= 7%

n= 3

First, we will calculate the future value at the second year:

FV= PV*(1+i)^n

FV= 1,000*(1.07^2)

FV= 1,144.9

Now, for the third year:

FV= 1,144.9*1.07= 1,225.04

Interest earn= 1,225.04 - 1,144.9= $80.14

Down Under Products, Ltd., of Australia has budgeted sales of its popular boomerang for the next four months as follows:
Sales in Units
April 54,000
May 75,000
June 94,000
July 82,000
The company is now in the process of preparing a production budget for the second quarter. Past experience has shown that end-of-month inventory levels must equal 20% of the following month’s sales. The inventory at the end of March was 10,800 units. Required: Prepare a production budget for the second quarter; in your budget, show the number of units to be produced each month and for the quarter in total.
down under products Ltd.
prodcution budget
april may june other
budgeted unit sales
total needs
required production in units

Answers

Answer:

Results are below.

Explanation:

Giving the following information:

Sales in Units

April 54,000

May 75,000

June 94,000

July 82,000

Desired ending inventory= 20% of the following month’s sales.

The inventory at the end of March was 10,800 units.

To calculate the production for each month, we need to use the following formula:

Production= sales + desired ending inventory - beginning inventory

April:

Sales= 54,000

Ending inventory= 75,000*0.2= 15,000

Beginning inventory= (10,800)

Total= 58,200 units

May:

Sales= 75,000

Ending inventory= 94,000*0.2= 18,800

Beginning inventory= (15,000)

Total= 78,800 units

June:

Sales= 94,000

Ending inventory= 82,000*0.2= 16,400

Beginning inventory= (18,800)

Total= 91,600 units

Total for the quarter= 228,600 units

In the above case, Sales in Units in the month of April is 54,000, in the month of May is 75,000, in the month of June is 94,000 and in the month of July is 82,000.

What is sales?

A sale is defined as a transaction between the parties in which the purchaser acquires goods, services, or assets in return for money. In some cases, other assets are pay off to a seller.

Computation of production:

According to the available information,

Desirable closing inventory= 20% of the following month’s sales.

The inventory at the end of March was 10,800 units.

To calculate the production in each month, the formula is:

[tex]\text{Production= Sales + Desired Ending Inventory - Beginning Inventory}[/tex]

Production in the month of April:

According to the given information,

Sales= 54,000

Ending inventory:

[tex]=75,000\times \dfrac{20}{100}\\= 15,000[/tex]

Beginning inventory= 10,800

Now, apply the given values in the above formula:

[tex]\text{Production= Sales + Desired Ending Inventory - Beginning Inventory}\\\\\text{Production} =54,000+15,000-10,800\\\\\text{Production}=58,200\text{Units}[/tex]

Production in the month of May:

Sales= 75,000

Ending inventory:

[tex]=94,000\times \frac{20}{100}\\\\= 18,800[/tex]

Beginning inventory= 15,000

Now, apply the given values in the above formula:

[tex]\text{Production= Sales + Desired Ending Inventory - Beginning Inventory}\\\\\text{Production} =75,000+18,800-15,000\\\\\text{Production}=78,800\text{Units}[/tex]

Production in the month of June:

Sales= 94,000

Ending inventory:

[tex]872,000\times\dfrac{20}{100}= 16,400[/tex]

Beginning inventory= 18,800

Now, apply the given values in the above formula:

[tex]\text{Production= Sales + Desired Ending Inventory - Beginning Inventory}\\\\\text{Production} =94,000+16,400-18,800\\\\\text{Production}=91,600\text{Units}[/tex]

Therefore, the Total for the quarter :

[tex]=\text{May's Production + June's Production+Juily's Production}\\\\=58,200+78,800+91,600 \text{Units}\\= 228,600 \text{Units}[/tex]

Learn more about sales, refer to:

https://brainly.com/question/16911495

Sam has contracted with Dave to purchase Dave's racing bike, with payment and delivery of the bicycle to be made 10 days after the contract was made. Three days later Sam hears that Dave is going to sell the bike to Gene in three days at a higher price. If Sam really wants the bike, what should he do? Multiple Choice Immediately seek injunctive relief. Immediately sue for specific performance. Immediately sue for compensatory damages. Immediately sue for consequential damages.

Answers

Answer: Immediately seek injunctive relief.

Explanation:

An injunctive relief is an order by the court stopping an action from taking place. From the question, we are told that Sam has contracted with Dave to buy Dave's racing bike, with payment and delivery of the bicycle to be made 10 days after the contract was made.

We are further told that three days later Sam hears that Dave is going to sell the bike to Gene in three days at a higher price. If Sam really wants the bike, he should seek injunctive relief. By doing so, the court will stop Dave from selling the bike to Gene.

Your friend asked you what a business cycle means. You tell them that a business cycle reflects changes in real GDP. Then you tell them that the stages of a business cycle in correct order are:

Answers

Answer:

Growth, Boom, Recession and the Slump

Explanation:

Growth, Boom, Recession and the Slump.

Some books include the recovery but it is just counted included in the growth.

HOPE THIS HELPED

Sheffield Corp. budgeted costs for 45000 linear feet of block are: Fixed manufacturing costs$24000 per month Variable manufacturing costs$16 per linear foot Sheffield installed 30000 linear feet of block during March. How much is budgeted total manufacturing costs in March

Answers

Answer:

Manufacturing cost =$744,000

Explanation:

The total manufacturing cost is the sum of the variable manufacturing cost and the fixed manufacturing cost.

Manufacturing cost = variable cost + Fixed cost

This can be represent using the formula below

Y = bx + a

Y -Manufacturing cost

b- Variable cost per unit

a- Fixed cost

X- number of units

Y = (45,000× 16) + 24,000 = $744000

Budgeted Manufacturing cost =$744,000

Answer:

The answer is $504,000

Explanation:

Budgeted total manufacturing cost is the total variable cost and fixed cost the company had calculated for the production of a particular product.

Budgeted total manufacturing costs in March is:

(Variable manufacturing cost x Linear feet installed) + Fixed manufacturing cost

($16 x 30,000 linear feet) + $24,000

= $480,000 + $24,000

=$504,000

Other Questions
Isabella saved $13,000 and bought a car that cost $11,675. The insurance for the car will cost $650 per year. How many full years will Isabella be able to pay for car insurance with her remaining savings? Place the following compounds in order of increasing strength of intermolecular forces. CH4 CH3CH2CH3 CH3CH3 Group of answer choices CH3CH2CH3 < CH4 < CH3CH3 CH4 < CH3CH3 < CH3CH2CH3 CH3CH2CH3 < CH3CH3 < CH4 CH4 < CH3CH2CH3 < CH3CH3 CH3CH3 < CH4 < CH3CH2CH3 . If you knew this was your last day, would you do the same things youre doing? Shawna finds a study of American men that has an equation to predict weight (in pounds) fromheight (in inches): y = -210 + 5.6x. Shawna's dad's height is 72 inches and he weighs 182 pounds.What is the residual of weight and height for Shawna's dad?a. 11.2 poundsb. -11.2 poundsc. 193.2 poundsd. 809.2 pounds Philosophical ideas of the Enlightenment, such as a social contract between people and their government, contributed to the development of a : a. belief in the efficiency and impartiality of governments centered on hereditary privilege b. colonial confidence in the effectiveness of republican self-government c. sense of obligation among the majority of colonists to remain loyal to Britain d. strengthened bond between colonial inhabitants and traditional monarchs What is one central idea of Barrio Boy? There is nothing wrong with being part of two cultures. Blending in with others is the most important thing. Those in power must be respected and obeyed. Kind teachers are few and far between. Which sentence uses an objective tone?-"We will plant the best garden of any school in the area."-"The new campus garden will surely be envied by other schools."-"A garden would provide numerous benefits to the students."-"You will probably agree that gardens have many benefits." When an unmarried father has a child, he automatically has which of the following legal rights and responsibilities? a. no legal rights or responsibilities b. financial support c.access and visitation d. access to medical records Simplify the following expression Why are taxes paid to local, state, and national governments in the United States?. The national government has a difficult time collecting taxes from all citizens.B. The local and state governments use their taxes to pay taxes to the national government.C. Each level of government equally provides revenue for every service in the United States.D. Different levels of government provide different services that must be paid for by taxes. Help fast please!! Which expression is equivalent to.. You buy 3 pairs of pants for $19 each and 5 shirts for $10 each. Which of the following is a good estimation of how much money you spent? Select the correct answer.What was the intended purpose of revolutionary pamphlets and articles, such as Thomas Paine's Common Sense and "The Crisis, No. 1"?OA to argue that the worldwide British colonies should unite and fight back against British dominationOB. to convince the American colonists to declare independence from BritainOc to inform the American people about the views and actions of the British GovernmentOD. to persuade American colonists to seek assistance from members of the British ParliamentResetNex Which of the following is an example of a fairy tale that has been changed over the years to be more appealing to younger readers?O Sleeping BeautyO Chasing Two RabbitsO Aesop's FablesO Prince Charming, the Real Story An aqueous solution of potassium bromide, KBr, contains 4.34 grams of potassium bromide and 17.4 grams of water. The percentage by mass of potassium bromide in the solution is 20 %. Someone help please government and the wealthy benefit from the existence of the poor and this is the main reason why poverty continues to exist briefly explain PLEASE HURRY I HAVE 5 MINUTES LEFTA restaurant charges an automatic gratuity of 18% on tables with more than 6 people. A party of 8 had a bill of p. Which expression can be used to find the total cost of the meal with the gratuity? a) 0.18pb) 0.82pc) 1.18pd) 18.00p The largest prime factor of 1224. Explain with definition. This rectangular wall is to be painted. Paint is sold in tins. How much does it cost to paint the wall?