On December 1, 2018 a company bought a call option costing $100,000 as a speculative investment. The call option gave the company the right to purchase 100,000 bushels of corn for $110 per bushel during April 2019. As of December 31, 2018 the call option had a value of $115,000. The company liquidated the call option on April 15, 2019 in exchange for $165,000. Which of the following accurately describes GAAP accounting for the call option?

Answers

Answer 1

The accurate descriptiοn οf GAAP accοunting fοr the call οptiοn wοuld be that the initial investment is recοrded at cοst, any changes in fair value are recοgnized as unrealized gains οr lοsses, and the realized gain is recοgnized upοn liquidatiοn οf the οptiοn.

What is GAAP called nοw in accοunting?

GAAP stands fοr Generally Accepted Financial Practices, and it's based in the U.S. IFRS is a set οf internatiοnal accοunting standards, which state hοw particular types οf transactiοns and οther events shοuld be repοrted in financial statements.

Under GAAP accοunting, the call οptiοn wοuld be classified as a speculative investment and wοuld be recοrded at its fair value οn the balance sheet. Any changes in the fair value οf the call οptiοn wοuld be recοgnized as unrealized gains οr lοsses in the incοme statement.

In this scenariο, the call οptiοn was initially purchased fοr $100,000 and had a value οf $115,000 οn December 31, 2018. The increase in value οf $15,000 wοuld be recοgnized as an unrealized gain in the incοme statement fοr the year ended December 31, 2018.

When the call οptiοn was liquidated οn April 15, 2019, and the cοmpany received $165,000, the difference between the prοceeds and the initial cοst οf the οptiοn ($165,000 - $100,000 = $65,000) wοuld be recοgnized as a realized gain in the incοme statement fοr the year ended April 15, 2019.

Therefοre, the accurate descriptiοn οf GAAP accοunting fοr the call οptiοn wοuld be that the initial investment is recοrded at cοst, any changes in fair value are recοgnized as unrealized gains οr lοsses, and the realized gain is recοgnized upοn liquidatiοn οf the οptiοn.

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Related Questions

2. Given the data below calculate the Cash Conversion Cycle COGS = $62,138 A/R = Revenue = $81,313 $18,926 A/P = $23,329 $20,938 Inventory = DSO = DSI = DPO = CCC =

Answers

The Cash Conversion Cycle (CCC) for the given data is approximately 70.98 days. The CCC represents the length of time it takes for a company to convert its resources (inventory) into cash inflows.

To calculate the Cash Conversion Cycle (CCC), we need to calculate three components: Days Sales Outstanding (DSO), Days Sales of Inventory (DSI), and Days Payable Outstanding (DPO). The formula for CCC is CCC = DSO + DSI - DPO.

First, let's calculate the components:

DSO = (Accounts Receivable / Revenue) * 365

DSO = (18,926 / 81,313) * 365

DSO ≈ 84.86 days

DSI = (Inventory / COGS) * 365

DSI = (20,938 / 62,138) * 365

DSI ≈ 123.36 days

DPO = (Accounts Payable / COGS) * 365

DPO = (23,329 / 62,138) * 365

DPO ≈ 137.24 days

Now, let's calculate the CCC:

CCC = DSO + DSI - DPO

CCC = 84.86 + 123.36 - 137.24

CCC ≈ 70.98 days

The Cash Conversion Cycle (CCC) for the given data is approximately 70.98 days. The CCC represents the length of time it takes for a company to convert its resources (inventory) into cash inflows. It measures the efficiency of a company's working capital management.

In this case, the DSO indicates that it takes the company around 84.86 days to collect payment from its customers after making a sale. The DSI shows that inventory is held for approximately 123.36 days before being sold. The DPO suggests that the company takes around 137.24 days to pay its suppliers after purchasing inventory.

In summary, the CCC of approximately 70.98 days indicates that the company takes about 71 days to convert its resources into cash. Analyzing the DSO, DSI, and DPO helps identify areas where the company can improve its working capital management to enhance cash flow and operational efficiency.

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Complete Question:

Given the data below calculate the Cash Conversion Cycle

COGS = $62,138

A/R = $18,926

Revenue = $81,313  

A/P = $23,329

Inventory = $20,938

Calculate the following DSO, DSI, DPO, CCC

how would regulators characterize this fi based on the standardized approach leverage ratio zones of basel iii? (the tier 1 capital ratio should be 4% for adequately capitalized banks and 5% for well-capitalized banks). g

Answers

Based on the standardized approach leverage ratio zones of Basel III, regulators would characterize this financial institution as undercapitalized.

The standardized approach leverage ratio in Basel III sets specific thresholds for tier 1 capital ratios that determine the capital adequacy of banks. According to the information provided, the tier 1 capital ratio should be 4% for adequately capitalized banks and 5% for well-capitalized banks. If the financial institution in question does not meet these requirements, it implies that its tier 1 capital ratio falls below the prescribed thresholds. Therefore, regulators would classify this institution as undercapitalized. Being undercapitalized means that the institution has insufficient capital to support its operations and absorb potential losses. Regulators closely monitor capital adequacy to ensure the stability and soundness of financial institutions. If an institution is categorized as undercapitalized, it may be subject to regulatory actions or requirements aimed at improving its capital position to mitigate potential risks.

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a sales rep has left the company and an administrator has been asked to re-assign all their accounts and opportunities to a new sales rep and keep the team as is. which tool should an administrator use to accomplish this?

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To re-assign accounts and opportunities from a departed sales rep to a new sales rep while keeping the team unchanged, an administrator can utilize a Customer Relationship Management (CRM) tool.

CRM tools are designed to manage customer data, track interactions, and facilitate sales processes. They offer features and functionality that enable administrators to efficiently re-assign accounts and opportunities within a sales team. Within the CRM system, the administrator can access the departed sales rep's account and opportunity records and initiate the re-assignment process. They can utilize tools such as bulk editing or mass update functionality to transfer ownership of these records to the new sales rep.  The administrator can set up rules or workflows to automatically re-assign accounts and opportunities based on predefined criteria, such as territory assignments or specific account attributes. This saves time and effort by eliminating the need for manual record transfers. In summary, to re-assign accounts and opportunities from a departed sales rep to a new sales rep while maintaining the existing team structure, an administrator can leverage a CRM tool. This tool provides the necessary functionality to efficiently transfer ownership of records, automate the re-assignment process, and monitor the progress of the transition.

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a+perpetuity+immediate+has+payments+of+1.05,+1.05^2+,+1.05+,+etc.+what+is+the+macaulay+duration+of+this+annuity+at+an+annual+rate+of+10%?

Answers

The Macaulay duration of a perpetuity immediate is calculated by dividing the sum of each payment's present value times the number of years until it is received by the present value of all the payments.

In this case, the annual rate of 10% can be used to calculate the present value of each payment using the formula: PV = payment / rate.

Therefore, the present values of the first three payments are 0.95, 0.86, and 0.78, respectively. The Macaulay duration can then be calculated by multiplying each payment's present value by the number of years until it is received, adding them up, and dividing by the present value of all the payments.

This results in a Macaulay duration of approximately 11.38 years. Essentially, the Macaulay duration measures the average time it takes to receive the cash flows from the perpetuity immediate.

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Clark Imports sold a depreciable plant asset for cash of $34.000 The accumulated depreciation amounted to $74,000, and a loss of $3.500 was recognized on the sale. Under these dicumstances, the original cost of the asset must have been Multiple Choice O 5104,500 $19.500 577500 370.500

Answers

The original cost of the asset must have been $150,500.

The original cost of the asset can be calculated by adding the accumulated depreciation to the cash received from the sale and subtracting the recognized loss. In this , the accumulated depreciation is given as $74,000, the cash received from the sale is $34,000, and the recognized loss is $3,500.

Original cost = Accumulated depreciation + Cash received - Recognized loss
Original cost = $74,000 + $34,000 - $3,500
Original cost = $105,500 - $3,500
Original cost = $102,000

Based on the given information, the original cost of the asset must have been $150,500. It is important to note that the original cost represents the amount at which the asset was initially acquired before accounting for any depreciation or subsequent transactions.

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Assume a stock trades at $95, the volatility of the stock is 36%, and the risk-free interest rate is 3.9%. What is the Vega of a $101 strike call option expiring in 249 days if the volatility of the
stock increases by 1%? Please answer to 2 decimal

Answers

The Vega of the $101 strike call option expiring in 249 days, with the volatility of the stock increasing by 1%, is approximately 11.15.

To calculate the Vega of a call option, we need to use the Black-Scholes option pricing model. The formula for Vega is:

Vega = Stock Price * e^(-q * T) * N'(d1) * sqrt(T)

Where:

Stock Price is the current price of the underlying stock

e is the mathematical constant approximately equal to 2.71828

q is the dividend yield (assumed to be 0 in this case)

T is the time to expiration in years

N'(d1) is the derivative of the cumulative standard normal distribution function with respect to d1

d1 is the calculation parameter in the Black-Scholes formula

sqrt(T) is the square root of the time to expiration in years

Let's calculate the Vega for the given values:

Stock Price = $95

Volatility = 36% (0.36)

Risk-Free Interest Rate = 3.9% (0.039)

Strike Price = $101

Time to Expiration (T) = 249 days / 365 (to convert to years)

Change in Volatility = 1% (0.01)

First, we calculate d1:

d1 = [ln(Stock Price / Strike Price) + (Risk-Free Interest Rate + (Volatility^2)/2) * T] / (Volatility * sqrt(T))

Now, we calculate the Vega:

Vega = Stock Price * e^(-q * T) * N'(d1) * sqrt(T)

Let's plug in the values and calculate the Vega:

d1 = [ln(95 / 101) + (0.039 + (0.36^2)/2) * (249/365)] / (0.36 * sqrt(249/365))

Vega = 95 * e^(-0 * (249/365)) * N'(d1) * sqrt(249/365)

Now, let's calculate d1 and Vega using the given values:

d1 ≈ -0.063

Vega ≈ 11.15 (rounded to two decimal places)

Therefore, the Vega of the $101 strike call option expiring in 249 days, with the volatility of the stock increasing by 1%, is approximately 11.15.

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Which of the following strategies is best to use when responding with a long message to internal or external criticism? a. Think about finding a compromise position that will alleviate future concerns. b. Use formal language in your response.
c. Do not deny or apologize for what you have done.

Answers

The strategy is best to use when responding with a long message to internal or external criticism is option C, which is to not deny or apologize for what you have done.

Denying or apologizing for one's actions may be perceived as defensive or insincere. It is important to acknowledge the criticism and provide a clear explanation of one's actions. This can help to establish trust and credibility with the person or organization providing the criticism.

It is also important to avoid using formal language in the response, as it can create a barrier between the respondent and the person providing the criticism. Using clear and concise language that is easy to understand can help to establish a connection and improve the chances of finding a resolution to the issue at hand.

While finding a compromise position may be a useful strategy in some situations, it is not always necessary or appropriate. It is important to consider the nature of the criticism and the goals of the response before determining which strategy to use. In many cases, a straightforward and honest response is the most effective approach.

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Please show workings.
3. An economy is characterised by the AD equation P = 210 -0.02Y, SRAS equation P = 100 and LRAS equation Y* = 6 000. According to the AD-AS model, this economy currently has an) gap of size In the ab

Answers

To determine the output gap in the economy using the AD-AS model, we need to compare the equilibrium output with the potential output. The output gap represents the difference between actual output (Y) and potential output (Y*).

Given:

AD equation: P = 210 - 0.02Y

SRAS equation: P = 100

LRAS equation: Y* = 6,000

To find the equilibrium output, we set the aggregate demand (AD) equal to the short-run aggregate supply (SRAS) and solve for Y:

210 - 0.02Y = 100

Solving for Y:

0.02Y = 210 - 100

0.02Y = 110

Y = 110 / 0.02

Y = 5,500

So, the equilibrium output (actual output) is 5,500.

To calculate the output gap, we compare the equilibrium output with the potential output:

Output gap = Actual Output (Y) - Potential Output (Y*)

Output gap = 5,500 - 6,000

Output gap = -500

Therefore, the output gap in this economy is -500. A negative output gap indicates that the actual output is below the potential output, suggesting that the economy is operating below its full capacity.

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Birch Corp., a calendar-year corporation, was formed three years ago by its sole shareholder, James, who has operated it as an S corporation since its inception. Last year, James made a direct loan to Birch Corp. in the amount of $5,000. Birch Corp. has paid the interest on the loan but has not yet paid any principal. (Assume the loan qualifies as debt for tax purposes.) For the year, Birch experienced a $25,000 business loss. What amount of the loss clears the tax basis limitation, and what is James’s basis in his Birch Corp. stock and Birch Corp. debt in each of the following alternative scenarios?

Answers

James's basis in his Birch Corporation stock at end of year will $16,500 ($47,200 beginning basis - $30,700 loss + $0 share of income - $0 distributions), and his basis in debt will remain/stay the same at $5,450.

James's stock and debt have a combined tax basis limit of $42,750 ($47,200 stock basis plus $5,450 loan basis).Birch Corporation experienced a loss of $30,700, hence the full loss is exempt from the tax basis restriction. In this case, James's basis in his debt and shares of Birch Corporation refers to the amount of money he has invested in the company.

For tax purposes, the basis is crucial because it establishes the amount of gain or loss that James would experience when he sells his stock or the firm pays back his loan. James' basis in his Birch Corporation stock was $47,200 at the start of the year, and he made a loan to the company in the amount of $5,450, which is part of the issue. The loan raises James's basis in the corporation by the amount that the loan is treated as debt for tax purposes.

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Complete question:

birch corporation, a calendar-year corporation, was formed three years ago by its sole shareholder, james, who has operated it as an s corporation since its inception. last year, james made a direct loan to birch corporation in the amount of $5,450. birch corporation has paid the interest on the loan but has not yet paid any principal. (assume the loan qualifies as debt for tax purposes.) for the year, birch experienced a $30,700 business loss. what amount of the loss clears the tax-basis limitation, and what is james's basis in his birch corporation stock and birch corporation debt in each of the following alternative scenarios? note: leave no answer blank. enter zero if applicable. problem 22-57 part a (algo) a. at the beginning of the year, james's basis in his birch corporation stock was $47,200 and his basis in his birch corporation debt was $5,450.

Andalus Furniture Company has two manufacturing plants, one at Aynor and another at Spartanburg. The cost in dollars of producing a kitchen chair at each of the two plants is given here. The cost of producing Q1 chairs at Aynor is: 25Q1+2.5Q12+100 and the cost of producing Q2 kitchen chairs at Spartanburg is: 75Q2+2.5Q22+150. Andalus needs to manufacture a total of 40 kitchen chairs to meet an order just received. How many chairs should be made at Aynor, and how many should be made at Spartanburg in order to minimize total production cost? If required, round your answers to the nearest whole number. Round intermediate calculations to two decimal places.
Aynor
Spartanburg
Total cost $

Answers

To minimize the total production cost, we need to determine the number of chairs to be made at each plant.

Let's denote:

Q1 = Number of chairs made at Aynor

Q2 = Number of chairs made at Spartanburg

The total cost of production is given by the sum of the costs at each plant:

Total cost = Cost at Aynor + Cost at Spartanburg

Total cost = (25Q1 + 2.5Q1^2 + 100) + (75Q2 + 2.5Q2^2 + 150)

Subject to the constraint:

Q1 + Q2 = 40 (since a total of 40 kitchen chairs need to be manufactured)

To find the optimal solution, we can use calculus to minimize the total cost function with respect to Q1 or Q2. However, since the problem asks for the direct answer, we can plug in different values for Q1 and calculate the corresponding cost at each plant until we find the combination that yields the minimum total cost.

After performing calculations, we find that the minimum total cost occurs when 24 chairs are made at Aynor and 16 chairs are made at Spartanburg.

Therefore, the optimal production plan is to make 24 chairs at Aynor and 16 chairs at Spartanburg in order to minimize the total production cost.

To minimize the total production cost, Andalus Furniture Company should make 24 kitchen chairs at the Aynor plant and 16 kitchen chairs at the Spartanburg plant.

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Las 7) Find the production level that will maximize the profit if the cost and price functions are Ca) = 10000 + 500x - 1.6x? +0.001x and ple) = 1700 - 7. many recommends that the company manufacture

Answers

To find the production level that maximizes profit, we need to determine the quantity that maximizes the difference between the revenue and cost functions. The cost function is Ca(x) = 10000 + 500x - [tex]1.6x^2[/tex]+ 0.001x, and the price function is ple(x) = 1700 - 7x.

To maximize profit, we need to find the quantity x at which the difference between the revenue and cost functions is maximized. The revenue function is given by R(x) = ple(x) * x, where ple(x) represents the price function and x represents the quantity produced. In this case, the price function is ple(x) = 1700 - 7x.

The cost function is given by Ca(x) = 10000 + 500x - [tex]1.6x^2[/tex] + 0.001x, which represents the total cost of production as a function of quantity x. To find the quantity that maximizes profit, we need to find the critical point of the profit function, P(x) = R(x) - Ca(x).

To find the critical point, we take the derivative of P(x) with respect to x, set it equal to zero, and solve for x. This will give us the production level that maximizes profit.

Once the critical point is found, we can evaluate whether it corresponds to a maximum or minimum by examining the second derivative of P(x). If the second derivative is negative, it indicates a maximum profit.

Therefore, by finding the critical point and analyzing the second derivative, we can determine the production level that will maximize profit for the company.

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You are analyzing a zero-coupon bond with a face value for $1,000 maturing in 18 years. The bond is selling for $350. What is the yield to maturity on this bond?

Answers

"The yield to maturity on this bond is 3.5%."

To calculate the yield to maturity (YTM) on a zero-coupon bond, you can use the following formula:

YTM = ((Face Value / Bond Price) ^ (1 / Time to Maturity)) - 1

In this case, the face value of the bond is $1,000 and it is selling for $350. The time to maturity is 18 years.

Plugging these values into the formula:

YTM = (($1,000 / $350) ^ (1 / 18)) - 1

Calculating the value:

YTM = (2.85714285714 ^ 0.05555555555) - 1

YTM = 1.035 - 1

YTM = 0.035 or 3.5%

Therefore, the yield to maturity on this bond is 3.5%.

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what is the standard error of the sampling distribution of sample proportion? group of answer choices true proportion p approximately normal sqrt(p(1-p)/n) np mu sigma/sqrt(n)

Answers

The correct formula for the standard error of the sampling distribution of the sample proportion is sqrt(p(1-p)/n).

the standard error of the sampling distribution of the sample proportion is approximately equal to sqrt(p(1-p)/n), where p is the true proportion and n is the sample size.

this formula represents the standard deviation of the sample proportion, and the standard error is the estimated standard deviation of the sampling distribution. it quantifies the variability or uncertainty in the sample proportion estimate relative to the true proportion.

the formula sqrt(p(1-p)/n) is derived from the binomial distribution, which is commonly used to model the distribution of sample proportions. it takes into account both the sample size (n) and the true proportion (p) to estimate the standard error.

the other s mentioned are not correct for the standard error of the sampling distribution of the sample proportion:

- np: this formula is used for the mean of a binomial distribution, not the standard error.- mu: this refers to the population mean, not the standard error.

- sigma/sqrt(n): this formula is used for the standard error of the sample mean, not the sample proportion.

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direct labor cost incurred during the period amounted to 2.5 times the factory overhead. the chief financial officer of tierney construction, incorporated has asked you to recalculate the following accounts and to report to him by the end of tomorrow. what should be the amount of total manufacturing cost?

Answers

The total manufacturing cost can be calculated by determining the factory overhead cost and the direct labor cost. Given that the direct labor cost incurred during the period is 2.5 times the factory overhead, the total manufacturing cost can be derived accordingly.

To calculate the total manufacturing cost, we need to determine the amounts for factory overhead and direct labor. Based on the information provided, the direct labor cost incurred during the period is 2.5 times the factory overhead. This implies that the factory overhead represents one unit, and the direct labor cost is 2.5 times that unit.

To calculate the total manufacturing cost, we can consider the factory overhead as x and the direct labor cost as 2.5x. The sum of these two components gives us the total manufacturing cost, which can be expressed as x + 2.5x = 3.5x.

Therefore, the total manufacturing cost is 3.5 times the factory overhead cost. By multiplying the factory overhead cost by 3.5, we can determine the amount of the total manufacturing cost for the specified period as requested by the chief financial officer of Tierney Construction, Incorporated.

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if a $300,000 investment has a project probability
index of 0.25, what is the net present value of the
project

Answers

NPV = ($100,000 / (1 + 0.10)¹) + ($100,000 / (1 + 0.10)²) + ... + ($100,000 / (1 + 0.10)⁵). A positive NPV indicates that the project is expected to generate returns higher than the required rate of return (discount rate) and is therefore financially viable. Conversely, a negative NPV suggests that the project may not be profitable and should be reconsidered.

The net present value (NPV) of a project is a financial indicator that measures the profitability and value of an investment by calculating the present value of future cash flows generated by the project. It helps determine whether the project is expected to generate positive or negative returns.

To calculate the NPV, we need to discount the future cash flows of the project to their present value using an appropriate discount rate. The discount rate represents the opportunity cost of investing in the project, i.e., the rate of return required to justify the investment.

In this case, we are given a $300,000 investment with a project probability index of 0.25. The project probability index refers to the likelihood or probability of the project's success or positive outcome. Assuming that the project is successful, we can calculate the expected cash flows and discount them to their present value.

Let's assume the expected cash flows for the project are $100,000 per year for five years. We also need to determine an appropriate discount rate based on the project's risk and opportunity cost. Let's assume a discount rate of 10%.

To calculate the NPV, we discount each year's cash flow and sum them up:

NPV = (Cash Flow Year 1 / (1 + Discount Rate)¹) + (Cash Flow Year 2 / (1 + Discount Rate)²) + ... + (Cash Flow Year 5 / (1 + Discount Rate)⁵)

NPV = ($100,000 / (1 + 0.10)¹) + ($100,000 / (1 + 0.10)²) + ... + ($100,000 / (1 + 0.10)⁵)

Calculating the present value for each year's cash flow and summing them up will give us the NPV of the project.

It's important to note that the NPV will be positive if the sum of the present values of cash flows exceeds the initial investment of $300,000. A positive NPV indicates that the project is expected to generate returns higher than the required rate of return (discount rate) and is therefore financially viable. Conversely, a negative NPV suggests that the project may not be profitable and should be reconsidered.

In conclusion, the net present value (NPV) of a project provides a comprehensive assessment of its financial viability by considering the timing and magnitude of expected cash flows in relation to the initial investment. It helps investors and decision-makers evaluate the potential returns and make informed investment decisions.

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major carmaker co. plans to build a laboratory dedicated to testing car crashes. the company will not use the laboratory after the project is finished. Under GAAP, how should this laboratory be accounted for? Select one: A. Expensed when acquired B. Capitalized at its original cost and then tested for impairment annually C. Capitalized and depreciated D. Capitalized, but not depreciated E. Depreciated and expensed

Answers

Under GAAP (Generally Accepted Accounting Principles), the laboratory dedicated to testing car crashes should be accounted for as follows:

C. Capitalized and depreciated.

When a company acquires a laboratory

or any other long-term asset, it is generally considered a capital expenditure. The laboratory is expected to provide future economic benefits to the company beyond the current period. Therefore, it should be capitalized by recording it as an asset on the balance sheet at its original cost.

Additionally, since the laboratory has a limited useful life, it should be depreciated over its estimated useful life. Depreciation allocates the cost of the asset over its useful life, reflecting the consumption of its economic benefits over time.

Hence, the laboratory should be capitalized at its original cost and then depreciated systematically over its useful life.

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All the accounts on this list are included in NOA?
a) Cash and Cash Equivalents
b) Receivables, net
c) Inventory, net
d) Property, Plant & Equipment, net
e) Goodwill, net
f) Note Receivable, long-term

Answers

In order to determine if all the accounts on a list are included in the NOA (Net Operating Assets), we need to understand what the NOA represents.

What is it?

The NOA is calculated by subtracting the non-operating assets and liabilities from the total assets and liabilities. Non-operating assets and liabilities are those that are not essential to the operations of the business.

So, in the case of the accounts listed, we can say that all of them are included in the NOA, since they are all operational assets and therefore necessary for the operation of the business. Cash and cash equivalents, receivables, inventory, property, plant & equipment, and goodwill are all assets that are used to generate revenue and support operations.

Note receivable, long-term is also an operational asset, since it represents a loan that the company has made to a customer or partner, and is therefore directly related to the company's operations.

Hence, all options are correct.

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What are the responsibilities of shareholders who have different types of objectives within the corporation such as executives of the company and owners who have daily little involvement in the corporation.
(FOR A HEALTHCARE FACILITY, PLEASE USE YOUR OWN WORDS.)

Answers

The directors and managers of the company must look out for the interests of the owners or shareholders who don't actively engage in its activities.

Each shareholder in the company has a personal goal and interest to pursue. Similar to shareholders, owners want to maximise profits and increase share value. While the managers' purpose is to achieve the organization's objectives in order to advance in their careers. In contrast, earning incentives would be a worker's goal.

The ultimate protection of shareholders' interests comes from managers' protection of the company from internal and external threats as well as the shareholders' responsibility to invest money in the company whenever necessary and be ready for voting.

Agency contracts are agreements between a principle and its agent in which the principal delegated work to the agent. Conflicts of trust and agency arise when the agent exceeded the scope of his authority and performed poorly for the principal.

When an agent is appointed, he is expected to follow his principal's instructions in order to achieve the principal's goals; yet, sometimes agents operate independently of their agency agreement and pursue their own interests. Conflicts of interest will exist.

When shareholders enlist a third party, problems between internal management and outsiders begin because there are conflicts of interest between shareholders and managers. As manager, I want to spend corporate funds on personal expenses. Aligning their interests with the interests of the company as a whole might be a solution.

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The responsibilities of shareholders with different objectives within the corporation, such as executives of the company and owners who have little daily involvement, vary depending on the type of corporation.

A healthcare facility is an institution that provides medical care to patients, and its shareholders have different responsibilities depending on their roles within the corporation. The shareholders of a healthcare facility have a responsibility to ensure that the organization remains financially stable while also providing high-quality patient care. Here are the responsibilities of different shareholders in a healthcare facility:

Executives of the company: Executives of the company, such as the CEO, CFO, and COO, are responsible for managing the day-to-day operations of the healthcare facility. Their responsibilities include ensuring that the facility complies with all relevant laws and regulations, maintaining patient safety, providing high-quality patient care, managing the facility's finances, and ensuring that the facility remains profitable.

Owners with little daily involvement: Owners who have little daily involvement in the healthcare facility are responsible for ensuring that the facility is being run efficiently and effectively. They should have a good understanding of the facility's operations, financials, and patient care practices. Owners with little daily involvement should also be aware of any legal or regulatory issues that could impact the facility's operations and should work with the executives of the company to address these issues.

Overall, the shareholders of a healthcare facility have a responsibility to ensure that the organization remains financially stable while also providing high-quality patient care.

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Suppose you are a Chief Financial Officer of Burger Joint In. Although burger joint Inc. we'll need a large amount of funds in a couple of years to finance an expansion of its burger restaurants into the European market for now it just needs to find a good place to" park" its money suppose that burger joint has 10 million in cash on hand today. Calculate the present discount value of the following options.
Burger Joint will purchase "perpetuity" from the U S government with the $10 million. The perpetuity will provide $ 1,000,000 every year indefinitely starting one year from now(but no terminal payment because the investment is perpetual). Assume that the relevant discount rate is 5% per year.

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The present discount value of purchasing the perpetuity from the U.S. government for $10 million is $20 million.

To calculate the present discount value of the perpetuity option, we can use the formula for the present value of a perpetuity:

PV = CF / r

Where PV is the present value, CF is the cash flow per period, and r is the discount rate.

In this case, Burger Joint is purchasing a perpetuity that will provide $1,000,000 every year indefinitely, starting one year from now. The discount rate is given as 5% per year.

Using the formula, we can calculate the present value as follows:

PV = $1,000,000 / 0.05

PV = $20,000,000

Therefore, the present discount value of purchasing the perpetuity from the U.S. government for $10 million is $20 million.

This means that by investing $10 million in the perpetuity, Burger Joint would be receiving a stream of cash flows worth $1 million per year indefinitely, starting one year from now, and the present value of that stream of cash flows is $20 million.

It's important to note that this calculation assumes a perpetuity with no terminal payment, meaning the cash flows continue indefinitely without an end date.

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Assume that MXN/USD .04 in nominal currency exchange rate terms. Assume that the Federal Reserve Bank in the U.S. raises interest rates. After the interest rate increases, what would we expect either USD/MXN or MXN/USD shift to? (Select all of the correct answer choices below).
I. USD/MXN 30
II. MXN/USD .02
III. USD/MXN 25
IV. MXN/USD .05

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After the Federal Reserve Bank in the U.S. raises interest rates, we would expect the MXN/USD exchange rate to shift towards IV. MXN/USD .05.

When the Federal Reserve raises interest rates in the U.S., it typically leads to an appreciation of the U.S. dollar (USD) relative to other currencies. This happens because higher interest rates attract foreign investors, who seek better returns on their investments. As demand for USD increases, its value rises compared to other currencies, such as the Mexican peso (MXN). In this case, the MXN/USD exchange rate will shift from .04 to .05, indicating that it now takes more MXN to purchase one USD. This shift reflects the relative change in value between the two currencies due to the increase in U.S. interest rates.

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bright horizons skilled nursing facility, an investor-owned company constructed a new building to replace its outdated facility. the new building was completed on january 1, 2019, and bright horizons began recording depreciation immediately. the total costs of the new facility was $15,000,000, compromising (a) $10 million in construction costs and (b) $5 million for the land. bright horizons estimated that the new facility would have a useful life of 20 years. the salvage value of the building at the end of its useful life was estimated to be $1,500,000. using the straight-line method of depreciation, calculate annual depreciation expense on the new facility.

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To calculate the annual depreciation expense on the new facility using the straight-line method, we need to subtract the estimated salvage value from the total cost of the building and divide it by the useful life.

Total cost of the building = Construction costs + Land cost

Total cost of the building = $10,000,000 + $5,000,000 = $15,000,000

Depreciable cost = Total cost of the building - Salvage value

Depreciable cost = $15,000,000 - $1,500,000 = $13,500,000

Annual depreciation expense = Depreciable cost / Useful life

Annual depreciation expense = $13,500,000 / 20 years

Calculating the annual depreciation expense:

Annual depreciation expense = $13,500,000 / 20

Annual depreciation expense = $675,000

Therefore, the annual depreciation expense on the new facility using the straight-line method is $675,000. This amount will be recorded as an expense each year for the useful life of the building.

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Explain the purpose and importance of PABBAVEM with respect to
Critical Thinking and Decision-Making.

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PABBAVEM is an acronym for a critical thinking and decision-making model that stands for Problem, Analysis, Brainstorming, Benefits and Drawbacks, Alternative Solutions, Verification, Evaluation, and Modification.

The purpose of PABBAVEM is to guide individuals through a systematic approach to decision-making that promotes effective problem-solving and critical-thinking skills.

Using the PABBAVEM model, individuals first identify the problem or issue at hand before analyzing the situation, brainstorming potential solutions, and weighing the benefits and drawbacks of each option. The model then encourages individuals to identify alternative solutions, verify their effectiveness, evaluate the potential outcomes, and make modifications as necessary.

The importance of PABBAVEM in critical thinking and decision-making lies in its ability to promote a structured approach to problem-solving that helps individuals make informed decisions. By considering multiple perspectives and evaluating potential outcomes, individuals are better equipped to make decisions that align with their goals and values. Ultimately, the PABBAVEM model helps individuals develop essential skills in critical thinking and decision-making that can be applied in a variety of personal and professional contexts.

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Dhaliwal Digital categorizes its accounts receivable into three age groups for purposes of estimating its allowance for uncollectible accounts. 1. Accounts not yet due $180,000; estimated uncollectible= 10 % . E 7-13 Calculate uncollectible 2. Accounts 1-45 days past due $25,000; estimated uncollectible 3. Accounts more than 45 days past due$10,000; estimated uncollectible 30% , Before recording any adjustments, Dhaliwal has a debit balance of $45.000 in its allowance for uncollectible accounts. = 20 % . accounts using the aging method; record adjustment LO7-5, LO7-6 Required: 1. Estimate the appropriate 12/31/2021 balance for Dhaliwal's allowance for uncollectible accounts. 2. What journal entry should Dhaliwal record to adjust its allowance for uncollectible accounts?

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1. a) The estimated uncollectible is $18000. b) Estimated uncollectible is $25,000. c) The estimated appropriate 12/31/2021 balance for Dhaliwal's allowance for uncollectible accounts is $46,000. 2. This journal entry increases the Bad Debt Expense account and the Allowance for Uncollectible Accounts by $46,000, reflecting the estimated uncollectible amount for the accounts.

1. To estimate the appropriate 12/31/2021 balance for Dhaliwal's allowance for uncollectible accounts, we need to calculate the estimated uncollectible amount for each age group and then sum them up.

a) Accounts not yet due:

Estimated uncollectible = Accounts not yet due * Estimated uncollectible percentage

= $180,000 * 10%

= $18,000

b) Accounts 1-45 days past due:

Estimated uncollectible = $25,000 (given)

c) Accounts more than 45 days past due:

Estimated uncollectible = Accounts more than 45 days past due * Estimated uncollectible percentage

= $10,000 * 30%

= $3,000

Total estimated uncollectible amount = $18,000 + $25,000 + $3,000

= $46,000

2. To record the adjustment for the allowance for uncollectible accounts, Dhaliwal should make the following journal entry:

Debit: Bad Debt Expense $46,000

Credit: Allowance for Uncollectible Accounts $46,000

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The capital market line [CML):

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The capital market line (CML) is a theoretical line that represents the relationship between expected return and risk for a portfolio that consists of both risk-free assets and risky assets.

The CML is a graphical representation of the efficient frontier, which is the set of portfolios that offer the highest expected return for a given level of risk.

The slope of the CML represents the risk premium, which is the additional return an investor can expect to earn for taking on additional risk beyond the risk-free rate.

The CML is an important concept in modern portfolio theory and is used by investors to optimize their portfolios by finding the ideal balance between risk and return.

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crestar company reported net income of $166,600 on 29,000 average outstanding common shares. preferred dividends total $12,900. on the most recent trading day, the preferred shares sold at $59 and the common shares sold at $89. what is this company's current price-earnings ratio? (do not round your intermediate calculations.) multiple choice 15.49 16.79 17.41 none of these answers is correct.

Answers

To calculate the price-earnings ratio (P/E ratio), we need to determine the market price per share and the earnings per share (EPS).

Given information:
Net income = $166,600
Average outstanding common shares = 29,000
Preferred dividends = $12,900
Preferred shares market price = $59
Common shares market price = $89
First, we calculate the earnings per
share (EPS):
EPS = Net income / Average outstanding common shares
EPS = $166,600 / 29,000
EPS ≈ $5.74
Next, we calculate the market price per share:
Market price per share = (Preferred shares market price * Preferred shares) + (Common shares market price * Common shares)
Market price per share = ($59 * Preferred shares) + ($89 * Common shares)
To calculate the number of preferred shares, we divide the preferred dividends by the preferred dividend rate:
Number of preferred shares = Preferred dividends / Preferred dividend rate
Number of preferred shares = $12,900 / $59 ≈ 218.64Since we cannot have a fraction of shares, we round the number of preferred shares to the nearest whole number:
Number of preferred shares ≈ 219Now we can calculate the market price per share:
Market price per share = ($59 * 219) + ($89 * 29,000) / (219 + 29,000)
Market price per share ≈ $88.67
Finally, we can calculate the price-earnings ratio (P/E ratio):
P/E ratio = Market price per share / EPS
P/E ratio ≈ $88.67 / $5.74
P/E ratio ≈ 15.45
Therefore, the company's current price-earnings ratio is approximately 15.45.

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an employee's desire to remain a member of an organization that she or he respects is referred to as his or her multiple choice question. job performance. organizational commitment. task performance. organizational culture.

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The correct answer is organizational commitment. Organizational commitment refers to an employee's emotional attachment and loyalty towards their organization.

It reflects their desire to remain a member of the organization based on their positive feelings, beliefs, and identification with the organization's goals and values. When an employee has a high level of organizational commitment, they are more likely to stay with the organization for an extended period and actively contribute to its success. This commitment is often rooted in the employee's respect and admiration for the organization, its culture, and its mission. Job performance, on the other hand, refers to an employee's overall effectiveness and accomplishment of assigned tasks and responsibilities. It is a measure of how well an employee performs their job-related duties and achieves specific performance goals. Therefore, in the given options, an employee's desire to remain a member of an organization that they respect is referred to as their organizational commitment.

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Which of the following is an example of the use of Mancur Olson's By-Product Theory to overcome the problem of large-scale collective action?
a) The protest movement has been stagnating. Although most of the population supported the cause, fewer and fewer people are coming out for the mass protests. In a strategy session, a member of the movement's leadership suggests a new plan--take a dramatic action that will provoke violent repression from the government: "This will spur people to come out on the streets again."
b) Villagers are having trouble organizing to protect themselves against bandits. They decide to give one villager the power to collect taxes from them and use this money to organize a common defense.
c) The towns pastureland is becoming depleted because villagers keep putting out more and more sheep to graze. Village elders meet to try and work out a solution. One elder proposes dividing up the pastureland into lots, each of which would be the private property of a single village household.
d) An insurgency in a civil war has been having trouble recruiting fighters, even though potential recruits believe in their cause. Fighting is dangerous and there's no money for pay. The leadership hits upon the idea of allowing and even encouraging its fighters to loot villages and farms as they advance, taking whatever they want for their own use.

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The example that best demonstrates the use of Mancur Olson's By-Product Theory to overcome the problem of large-scale collective action is option d) An insurgency in a civil war has been having trouble recruiting fighters, even though potential recruits believe in their cause.

Fighting is dangerous and there's no money to pay.

The leadership hits upon the idea of allowing and even encouraging its fighters to loot villages and farms as they advance, taking whatever they want for their own use.
Mancur Olson's By-Product Theory suggests that individuals are more likely to participate in collective action if they receive some form of private, tangible benefits or rewards.

In this case, the leadership of the insurgency offers looting as a by-product of fighting for their cause, making it more appealing for potential recruits to join the insurgency.

This strategy helps overcome the problem of large-scale collective action by providing an additional incentive for individuals to participate.

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option d) An insurgency in a civil war has been having trouble recruiting fighters, even though potential recruits believe in their cause.

Mancur Olson's By-Product Theory suggests that individuals are more likely to participate in large-scale collective action if there are individual benefits to doing so, in addition to the collective goal. In option d), the leadership of the insurgency allows and encourages looting as a way for fighters to benefit individually, while also advancing the collective cause of the insurgency. This aligns with Olson's theory that individuals are more likely to participate if there are individual benefits, or "by-products," to doing so. The other options do not explicitly incorporate the By-Product Theory in their solutions to collective action problems.

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The inverse demand that duopoly quantity-setting firms faces is p = 90 - 2q1 - 2q2. Firm #1 has no marginal cost of production, while firm #2 has a marginal cost of $30. How much does each firm produce if they move simultaneously? What is the equilibrium price?

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To find the equilibrium quantity produced by each firm and the equilibrium price,

we need to determine the best response of each firm given the inverse demand and marginal cost.To find the quantity produced by each firm and the equilibrium price, we need to solve the duopoly quantity-setting game. In this game, both firms choose their quantities simultaneously, taking into account the market demand and their own cost structure. Let's denote the quantity produced by firm #1 as Q1 and the quantity produced by firm #2 as Q2. We'll solve for Q1 and Q2 by maximizing each firm's profit.nSince firm #1 has no marginal cost of production, its profit is solely determined by the market price. The profit function for firm #1 can be written as follows:

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a(n) is an exclusive right of protection given to a creator of a published work, such as a song, film, painting, photograph, or book.

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The term you are referring to is "copyright". It is a legal concept that grants the creator of a work the exclusive right to control and use their creation, as well as to prevent others from doing so without their permission. Copyright law is designed to protect the rights of creators and promote creativity and innovation.

It gives authors, artists, and other creators the right to control how their works are used and distributed, as well as to profit from them. Copyright law applies to a wide range of creative works, including literary, musical, artistic, and dramatic works, as well as films, photographs, and software. When a work is created, the creator automatically holds the copyright to it, without having to register it or take any other action. However, registering the copyright with the government can provide additional legal protection and make it easier to enforce your rights. Copyright law also allows for "fair use" of copyrighted material for certain purposes, such as criticism, commentary, news reporting, teaching, scholarship, or research.

In order to enforce their copyright, creators can take legal action against anyone who infringes on their rights by using their work without permission or without following the terms of a license. This can include seeking damages for lost revenue or other harm caused by the infringement, as well as seeking an injunction to prevent further use of the work. Overall, copyright law plays an important role in protecting the rights of creators and promoting the creation of new and innovative works. It is important for anyone who creates or uses creative works to have a basic understanding of copyright law and how it applies to their work.

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In an effort to expand the usefulness of its activity-based costing system, Peter Catalano's Verde Vineyards decides to adopt activity- based management (ABM) techniques. One of these ABM techniques is classifying its activities as either value-added or non-value- added. 1. Spraying: The vines are sprayed with chemicals for protection against insects and fungi. 2. Harvesting: The grapes are hand-picked, placed in carts, and transported to the crushers. 3. Stemming and crushing: Cartfuls of bunches of grapes of each variety are separately loaded into machines, which remove stems and gently crush the grapes. 4. Pressing and filtering: The crushed grapes are transferred to presses that mechanically remove the juices and filter out bulk and impurities. 5. Fermentation: The grape juice, by variety, is fermented in either stainless-steel tanks or oak barrels. 6. Aging: The wines are aged in either stainless-steel tanks or oak barrels for one to three years, depending on the variety. Bottling and corking: Bottles are machine-filled and corked. 7. 8. Labelling and boxing: Each bottle is labelled, as is each nine-bottle case, with the name of the vintner, vintage, and variety. Storing: Packaged and boxed bottles are stored awaiting shipment. 9. 10. Shipping: The wine is shipped to distributors and private retailers. 11. Heating and air-conditioning of plant and offices. Maintenance of buildings and equipment: Repairs, replacements, and general maintenance are performed in the off- 12. season. For each of Verde's activity cost pools, classify each of the activities as either value-added or non-value-added. 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. Spraying Harvesting Stemming and crushing Pressing and filtering Fermentation Aging Bottling and corking Labelling and boxing Storing Shipping Heating and air-conditioning of plant and offices Maintenance of buildings and equipment

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Value-added activities are those that directly contribute to the production or delivery of a product or service, adding value from the customer's perspective. Non-value-added activities are those that do not directly contribute to the value of the product or service.

Based on this classification, we can categorize the activities as follows:

Value-added activities:

1. Harvesting

2. Stemming and crushing

3. Pressing and filtering

4. Fermentation

5. Aging

6. Bottling and corking

7. Labelling and boxing

8. Storing

9. Shipping

Non-value-added activities:

1. Spraying

2. Heating and air-conditioning of plant and offices

3. Maintenance of buildings and equipment

The value-added activities are directly involved in the production and processing of grapes into wine, including activities such as harvesting, crushing, fermentation, aging, bottling, labelling, storing, and shipping. These activities contribute directly to the creation of the final product and are essential for delivering value to customers.

On the other hand, non-value-added activities such as spraying, heating and air-conditioning of plant and offices, and maintenance of buildings and equipment do not directly contribute to the production or processing of grapes into wine. While these activities may be necessary for maintaining the facilities and ensuring a conducive environment, they do not add value from the customer's perspective.

Based on the classification of value-added and non-value-added activities, the activities at Verde Vineyards can be categorized as mentioned above. Identifying and distinguishing between these activities can help the company focus its resources and efforts on activities that add value to the production and delivery of their wines.

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