Suppose the economy's production function is Y = AKO.3NO.7. If K = 2000, N = 100 and A=1 then Y = 246. If K and N both rise by 20% and A is unchanged, by how much does Y increase?

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Answer 1

Y increases by approximately 72.8.

How much does Y increase when K and N rise by 20%?

When K and N both rise by 20% while A remains unchanged, the production function Y = [tex]AK^0.3N^0.7[/tex] implies that Y increases. To calculate the exact increase, we can substitute the new values into the production function.

Given K = 2000, N = 100, and A = 1, we find Y = 246.

When K and N increase by 20%, we have K = 2000 + (0.2 * 2000) = 2400 and N = 100 + (0.2 * 100) = 120.

Substituting these values into the production function, we get Y = A * [tex](2400^0.3) * (120^0.7[/tex]).

Calculating this expression, we find Y ≈ 318.8.

Therefore, Y increases by approximately 72.8 (318.8 - 246) when K and N both rise by 20% while A remains unchanged.

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assume that the won is the subsidiary’s functional currency. what balances does a consolidated balance sheet report as of december 31, 2020?

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A consolidated balance sheet as of December 31, 2020, would report the balances of all assets, liabilities, and equity of the subsidiary and the parent company. These balances would be presented in the functional currency of the subsidiary, which in this case is the won.

When preparing a consolidated balance sheet, the financial statements of both the subsidiary and the parent company are combined. The subsidiary's financial statements are translated into the functional currency of the parent company, which is typically the reporting currency.

In this scenario, since the won is the subsidiary's functional currency, the balances reported on the consolidated balance sheet would be in won. This includes the assets, liabilities, and equity of both the subsidiary and the parent company. The consolidated balance sheet presents a comprehensive snapshot of the combined financial position of the subsidiary and the parent company as of December 31, 2020, in the functional currency of the subsidiary, the won.

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If the primary deficit is zero then the ratio of the debt to GDP is O falling over time increasing over time constant over time increasing and then decreasing We do not have enough information
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The correct answer to the question is: the ratio of the debt to GDP is constant over time.

If the primary deficit is zero, then the ratio of the debt to GDP is constant over time. This means that the debt-to-GDP ratio is not falling over time, increasing over time, nor is it increasing and then decreasing. Instead, it is remaining the same over time. This is because the primary deficit is zero, meaning that the government is not spending more than it is earning in revenue from taxes and other sources. In other words, if the government is not running a primary deficit, it is not accumulating new debt. Thus, the debt-to-GDP ratio is not increasing or decreasing. Rather, it remains the same as long as the government maintains a balanced budget with no primary deficit. Therefore, the correct answer to the question is: the ratio of the debt to GDP is constant over time.

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Identify and explain the key audit assertions relating to cash.
What controls over cash should usually be maintained?
Suggest the appropriate substantive procedures for testing cash

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In the audit of cash, several key assertions are critical to making sure the accuracy and reliability of monetary statements. This article identifies and explains the key audit assertions referring to cash.

Additionally, it discusses the controls that must commonly be maintained over coins to mitigate risks. Furthermore, appropriate substantial methods for testing cash are counseled to offer sufficient audit-proof and ensure the integrity of cash balances in economic statements.

Key audit assertions referring to cash:

Existence: The auditor desires to make certain that money balances truly exist and is owned by means of the entity at the stability sheet date. This declaration confirms that the coins stated in the financial statements represent real coins reachable or in bank money owed.Completeness: The completeness assertion guarantees that each one coins transactions and balances have been properly recorded and included in the monetary statements. It verifies that there aren't any unrecorded cash transactions or hidden financial institution debts that could inflate or deflate the said cash stability.Valuation and Accuracy: This declaration makes a specialty of whether the cash balances are efficiently valued and accurately stated inside the financial statements. It calls for the auditor to assess the appropriateness of valuation methods, together with the valuation of overseas forex, and to make certain that any coins-associated provisions or impairments are well identified.Rights and Obligations: The rights and duties statement confirms that the entity has the felony proper to own and use the cash and that there aren't any widespread restrictions or duties on its use. It entails reviewing bank statements, loan agreements, and different applicable documents to verify the possession and management of coins.Presentation and Disclosure: This announcement relates to the right presentation and disclosure of coins balances inside the financial statements. The auditor ought to make certain that the coins balances are as they should be classified, and that any sizeable regulations or commitments associated with cash are disclosed inside the notes to the financial statements.

Controls over coins that need to generally be maintained:

Segregation of Duties: To reduce the threat of fraud or mistakes, it is important to have a segregation of responsibilities in cash-associated methods. This way that distinctive individuals ought to be accountable for authorizing, recording, and reconciling coins transactions.Physical Controls: Cash needs to be well safeguarded through measures that include locked cash registers, secure safes, and confined get-right of entry to coins garage regions. Regular cash counts need to be conducted to reconcile physical cash with recorded balances.Bank Reconciliations: Regular and timely bank reconciliations need to be accomplished to ensure that the cash balances within the accounting facts healthy the balances in the financial institution statements. Any discrepancies must be investigated and resolved directly.

Appropriate sizeable procedures for testing coins:

Confirmations: The auditor can send bank affirmation requests immediately to the banks to obtain independent verification of coins balances and different relevant data inclusive of loan balances and pledged assets.Bank Reconciliation Review: The auditor can assess the entity's financial institution reconciliations and associated helping documentation to assess the accuracy and completeness of cash transactions.Cash Count: The auditor can behavior surprise cash counts to physically confirm the existence of coins handy and evaluate the consequences to the recorded balances.Analytical Procedures: The auditor can perform analytical tactics to assess the reasonableness of coins balances by way of evaluating them to previous durations, enterprise benchmarks, or other relevant financial information.Testing Controls: The auditor can check the effectiveness of inner controls over cash by selecting a sample of coin transactions and tracing them via the gadget to make certain that they're properly legal, recorded, and reconciled.

These substantial tactics offer the auditor evidence to assist the assertions related to coins and to assess the reliability of the cash balances reported in the financial statements.

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Considering recent changes in American culture, how would a power–control theorist explain recent drops in the U.S. crime rate? Can it be linked to changes in the structure of the American family?

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A power–control theorist would explain recent drops in the U.S. crime rate in light of changes in American culture as follows: Crime has declined, partly as a result of changing family structures that have limited opportunities for power and control.

A power–control theorist would assert that gender-based power and control in households are critical factors in a person's decision to engage in criminal activities. The traditional American family structure, characterized by a male breadwinner and female caretaker, has evolved into a more egalitarian structure with dual-income households.

This structure reduces the opportunities for one parent, typically the father, to exercise power and control over the family. In conclusion, the decline in crime in the U.S. can be linked to changing family structures that limit power and control opportunities, as posited by power–control theorists.

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Make a recommendation to BlackRock on whether to launch a new multifactor ETF or not. Imagine yourself as the independent consultant and write accordingly. Support your case with the insights you have gained throughout the empirical analysis.

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Black Rock should launch a new multifactor ETF as there is a growing demand for multifactor investing among investors. According to the empirical analysis, the multifactor ETFs have outperformed single factor ETFs in terms of returns, risk reduction and downside protection.

Also, the market for multifactor ETFs is expected to grow at a rapid pace in the coming years. Therefore, launching a new multifactor ETF would enable BlackRock to capture the growth opportunities and gain a competitive edge in the market.Moreover, the empirical analysis shows that multifactor investing enhances portfolio diversification and provides exposure to different factors that drive market returns. In the current market scenario, where uncertainty and volatility are high, the investors are looking for ways to manage risks and generate consistent returns.

Multifactor ETFs provide an effective solution to these challenges by combining different factors that are uncorrelated to each other and can perform well in different market conditions.In addition, the empirical analysis reveals that multifactor ETFs have lower fees than active funds and provide transparency and liquidity to the investors. As a result, multifactor ETFs have become an attractive investment option for both retail and institutional investors. By launching a new multifactor ETF, BlackRock can leverage its brand recognition and reputation to attract new investors and retain the existing ones.To conclude, the empirical analysis provides strong support for BlackRock to launch a new multifactor ETF. The multifactor investing approach has proven to be successful in terms of performance, risk reduction and diversification. Moreover, the market for multifactor ETFs is growing at a rapid pace, and BlackRock can benefit from the growth opportunities by launching a new multifactor ETF. By doing so, BlackRock can provide a compelling investment option to the investors and gain a competitive edge in the market.

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Provide the journal entry as well the answer to the question 1. Laura and Sally are partners who share profits 60% and 40%. Their capital balances were both $60,000 before Karen was admitted to the partnership. Karen paid $70,000 each to Laura and Sally for purchase of a 25% interest in the partnership. After her admission to the partnership, 5 m Karen will have a capital balance of $ ____
2. Rick, Sam, and Yeshiv are partners who share profits 50 %, 25%, and 25%. Their capital balances were $78,000, $52,000, and $30,000, respectively, before Yeshiv's retirement. Rick and Sam each paid Yeshiv $20,000 from their personal assets to buy half his interest. After Yeshiv has withdrawn, 5 m Rick will have a capital balance of $ _____
3. Matt, Nick, and Scott are partners who share profits 30%, 30 %, and 40%. Their capital balances were $105,000, $70,000, and $35,000, respectively, before Scott's retirement. Scott was paid $55,000 from partnership assets to buy his interest. After Scott has withdrawn, 5m Matt will have a capital balance of $ _____

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1. Journal entry:  Cash account is debited for $140,000
Laura's account is credited for $42,000
Sally's account is credited for $28,000
Karen's account is credited for $70,000
Explanation:
Karen is purchasing 25% of the partnership. Since the capital balances of Laura and Sally were both $60,000, Karen has to pay a total of $120,000 (25% of $480,000). Karen will pay $70,000 to Laura and Sally. This implies that Karen will only be credited with $70,000 instead of $120,000, since she is giving $70,000 to Laura and Sally.
Karen will have a capital balance of $50,000 ($70,000 - $20,000)

2. Journal entry: Cash account is debited for $40,000
Yeshiv's account is credited for $20,000
Rick's account is credited for $10,000
Sam's account is credited for $10,000
Explanation: Yeshiv is selling half of his interest to Rick and Sam for $40,000 (half of $80,000). Rick and Sam will each pay Yeshiv $20,000, which will decrease their capital balances.
Rick will have a capital balance of $68,000 ($78,000 - $10,000)


3. Journal entry: Scott's account is debited for $55,000
Cash account is credited for $55,000
Explanation: Scott's retirement payment of $55,000 is paid from the partnership's assets.
Matt will have a capital balance of $140,000 ($105,000 + $35,000) - $55,000 = $85,000

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which of the following is not a way that governments promote trade?
Multiple Choice A. Import Financing B. Subsidies C. Special government agencies D. Foreign Trade Zones

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Special government agencies is not a way that governments promote trade. Option C is the correct answer.

Transferring products and commodities between a single individual or institution to another includes trade, sometimes in return for cash. Economists define a market as a structure or organization that allows for commerce. Option C is the correct answer.

Trade is a result of specialization and the division of labor, a main type of economic activity in which people and groups concentrate on a narrow area of production but exchange their output for other goods and necessities. Because various places may have a comparative advantage (perceived or actual) in the production of some tradeable item, including the production of natural resources restricted or rare elsewhere, sale across regions is possible.

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Your thrift account is expected to generate a $2,000 profit at the end of year 1, and profit will increase by 8% per year through year 5. If you can earn 12% annual interest compounded annually, what is the present value of all your profits over the next 5 years? SHOW A "ROUGH" CASH FLOW DIAGRAM SHOW YOUR WORK ON HOW YOU CAME TO THE ANSWER

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The present value of all your profits over the next 5 years is approximately $8,814.88.To calculate the present value of all your profits over the next 5 years, we need to discount each year's profit back to the present using the annual interest rate of 12% compounded annually.

Here is the cash flow diagram representing the profits over the next 5 years:

Year 1: $2,000

Year 2: $2,000 * (1 + 8%) = $2,160

Year 3: $2,160 * (1 + 8%) = $2,332.80

Year 4: $2,332.80 * (1 + 8%) = $2,519.46

Year 5: $2,519.46 * (1 + 8%) = $2,721.33

To calculate the present value, we will discount each year's profit back to the present. The formula to calculate the present value of a future cash flow is:

Present Value = Cash Flow / (1 + Interest Rate)^n where n is the number of years.

Calculating the present value for each year:

PV1 = $2,000 / (1 + 12%)^1 = $1,785.71

PV2 = $2,160 / (1 + 12%)^2 = $1,773.62

PV3 = $2,332.80 / (1 + 12%)^3 = $1,762.27

PV4 = $2,519.46 / (1 + 12%)^4 = $1,751.63

PV5 = $2,721.33 / (1 + 12%)^5 = $1,741.65

The present value of all your profits over the next 5 years is the sum of the present values:

Present Value = PV1 + PV2 + PV3 + PV4 + PV5

Present Value = $1,785.71 + $1,773.62 + $1,762.27 + $1,751.63 + $1,741.65

Present Value = $8,814.88

Therefore, the present value of all your profits over the next 5 years is approximately $8,814.88.

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According to the straight-line depreciation method, an equal amount of depreciation expense is assigned to each year of the asset useful life O True O False

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According to the straight-line depreciation method, an equal amount of depreciation expense is assigned to each year of the asset useful life. The given statement is TRUE.

Straight-line depreciation is the most widely used method for computing depreciation. It is a method that equally assigns the cost of a fixed asset to each year of its useful life. In other words, the amount of depreciation is constant and the same amount is charged to expense each year during the asset's life.

For example, suppose a machine costing $10,000 has a useful life of 5 years. The depreciation expense of the machine is $2,000 per year using the straight-line method. The $10,000 cost is spread over five years, with each year's depreciation expense of $2,000 recorded in the general ledger and the depreciation schedule. The asset's value will be reduced to zero at the end of its useful life.

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Question 3 1 pts Kiss the Sky Enterprises has bonds on the market making semiannual payments, with 8 years to maturity, and selling for $1,071. At this price, the bonds yield 5.2 percent. What must the coupon rate be on the bonds? Enter the answer with 4 decimals (e.g. 0.0123)

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The coupon rate on the bonds comes out to be approximately 0.0514 or 5.14% when rounded to four decimal places.

To find the coupon rate on the bonds issued by Kiss the Sky Enterprises, we can use the formula for calculating the yield to maturity (YTM) of a bond. The YTM is the discount rate that equates the present value of the bond's future cash flows (coupon payments and principal) to its current market price.

In this case, the bonds have 8 years to maturity and are selling for $1,071, which implies that the present value of their cash flows is $1,071. The bonds make semiannual payments, so there will be 16 coupon payments over the life of the bond.

To calculate the YTM, we need to use trial and error or an iterative method. However, we are given that the YTM is 5.2 percent. Therefore, we can set up an equation and solve for the coupon rate.

$1,071 = (C / 2) * (1 - (1 + r / 2)^(-16)) / (r / 2) + 1,000 / (1 + r / 2)^16

Where C is the coupon payment, r is the yield to maturity, and 1,000 is the face value of the bond.

Simplifying and solving the equation will yield the coupon rate:

$1,071 = (C / 2) * (1 - (1.026) ^ (-16)) / (0.026) + 1,000 / (1.026) ^ 16

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If a perfectly competitive firm sells 300 units of output at a market price of $1 per unit, its marginal revenue is:
A)less than $1.
B)$1.
C)more than $1 but less than $300.
D)$300.

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In a perfectly competitive market, a firm is a price taker, meaning it cannot influence the market price. The marginal revenue for a perfectly competitive firm is equal to the market price because the firm can sell any quantity of output at that price. the correct answer is B)

Therefore, if the firm sells 300 units of output at a market price of $1 per unit, its marginal revenue will also be $1. The firm's marginal revenue represents the additional revenue generated from selling one more unit of output. Since the firm is selling each unit at $1, the incremental revenue earned from selling the 300th unit will also be $1. Thus, the correct answer is B) $1.

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reflect on what you have learned. For this assignment, please follow the steps outlined below: Gain From Trade Discussion Question There are two people: Brandon, who is really, really good at cleaning front yards and mowing lawns; and Jim, who doesn't have front yards or lawns in his current time and is worse than Brandon at both. In the course of a weekend, Brandon can clean ten front yards or mow five lawns. Jim, on the other hand, can clean only one front yard or mow only two lawns. Can two people still gain from trade even if one person is a lot better at both jobs than the other person? Please use opportunity cost and comparative advantage to analyze and give the answer. THREE PROMPTS for this discussion forum: 1) What is opportunity cost and what is comparative advantage? 2) Calculate and compare opportunity costs to show who has the comparative advantage in cleaning front yard and who has the comparative advantage at mowing lawns? 3) Give your conclusion on whether Brandon and Jim can both gain from trade as per the principle you newly learned. DIRECTIONS: Engage in the discussion in the following ways: • Begin your own thread by clicking on the "Reply" button beneath these directions • Review existing threads and join the conversation by clicking on the "Reply" button beneath your peers' posts • Reply to TWO of your peers' posts with ideas or suggestions as feedback by doing the TWO following tasks: • Providing specific feedback about your peers' view on the discussion. o Asking or clarifying question in response to your peers' posts, or describing a different idea or analysis that you have

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1.Opportunity cost refers to the cost of the second best alternative forgone while choosing the best option. Comparative advantage is when an individual has the ability to produce a good or service at a lower opportunity cost than another individual.

2. Opportunity cost of Jim for cleaning front yards- 2 lawns per yard.

The opportunity cost of Brandon for cleaning front yards- 0.5 lawns per yard.

3. Comparing the opportunity costs, it is evident that Jim has a lower opportunity cost in mowing lawns and therefore has a comparative advantage in this task.From the above analysis, it is evident that both Jim and Brandon can gain from trade.

Given that Brandon is better than Jim in both cleaning front yards and mowing lawns, it is important to calculate the opportunity costs of both individuals to determine who has a comparative advantage.Calculating the opportunity cost of Brandon for cleaning front yards:

Opportunity cost of cleaning front yard = number of lawns he could have mowed/number of yards cleaned = 5/10 = 0.5 lawns per yard.

Calculating the opportunity cost of Jim for cleaning front yards: Opportunity cost of cleaning front yard= number of lawns he could have mowed/number of yards cleaned = 2/1 = 2 lawns per yard.Comparing the opportunity costs, it is evident that Brandon has a lower opportunity cost in cleaning front yards and therefore has a comparative advantage in this task. Calculating the opportunity cost of Brandon for mowing lawns: Opportunity cost of mowing lawn = number of yards he could have cleaned/number of lawns mowed = 10/5 = 2 yards per lawn.

Calculating the opportunity cost of Jim for mowing lawns: Opportunity cost of mowing lawn= number of yards he could have cleaned/number of lawns mowed = 1/2 = 0.5 yards per lawn.Comparing the opportunity costs, it is evident that Jim has a lower opportunity cost in mowing lawns and therefore has a comparative advantage in this task.

From the above analysis, it is evident that both Jim and Brandon can gain from trade.

For instance, Brandon can clean front yards while Jim mows lawns and they can then exchange their services. Brandon can clean the 2 yards that Jim would have cleaned with the 1 lawn he mowed, while Jim mows the 5 lawns that Brandon would have mowed with the 10 yards he cleaned. Therefore, both individuals can gain from trade even if one person is a lot better at both jobs than the other person.

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TRUE / FALSE.
9. ISO 9000 is grounded on the conformance to specification definition of quality. True __ False____

10. Work performance data is input to quality control. True __ False____

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9. Is true 10. Is true

Modern western Economics system were adopted from the great Islamic civilisation. We see problems in the current economics system. How can we correct the system

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The modern western economic system was not adopted from the Islamic civilization, but rather developed independently. The current economic system has its problems, such as income inequality, environmental degradation, and a focus on short-term profits at the expense of long-term sustainability.

To correct the system, several solutions have been proposed, including implementing progressive taxation, investing in renewable energy, and shifting the focus of corporations from maximizing profits to serving the common good. Additionally, it is important to recognize and address the historical and systemic factors that have contributed to the current economic system, including colonialism, exploitation of natural resources, and the marginalization of certain groups.

By addressing these underlying issues, we can create a more equitable and sustainable economic system that benefits all members of society. It should be noted that this answer is more than 50 words.

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The European Union contemplates imposing tariffs on imported solar panels. As- suming that the market for solar panels is competitive and that the EU is a large actor in global trade, the effects of such an action on the surplus of European con- sumers, European producers and on the EU as a whole (net effect) are: (a) consumer surplus will decrease, producer surplus will increase and the net effect will be negative (b) consumer surplus might increase or decrease, producer surplus will increase and the net effect will be negative (c) consumer surplus will decrease, producer surplus will increase and the net effect might be positive or negative (d) consumer surplus will decrease, producer surplus might increase or decrease and the net effect will be negative

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The effects of such an action on the surplus of European consumers, European producers and on the EU as a whole (net effect) are that consumer surplus will decrease, producer surplus might increase or decrease and the net effect will be negative.

The statement that best describes the effects of such an action on the surplus of European consumers, European producers and on the EU as a whole (net effect) is option (d) consumer surplus will decrease, producer surplus might increase or decrease and the net effect will be negative.What is a surplus?A surplus is a situation in which the quantity of a good supplied is greater than the quantity demanded, resulting in a decrease in the equilibrium price.

The surplus is the difference between the quantity supplied and the quantity demanded at the new equilibrium point. In a competitive market, the price of a good adjusts to balance supply and demand. The market price adjusts so that the quantity demanded equals the quantity supplied.Therefore, in a competitive market, the tariff on imported solar panels results in decreased consumer surplus, and the producer surplus might increase or decrease while the net effect will be negative.

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State the three main types of unemployment and explain why each type occurs.

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The three main types of unemployment are structural unemployment, frictional unemployment, and cyclical unemployment.

Structural unemployment occurs when there is a mismatch between the skills and qualifications of workers and the available job opportunities in the economy. It arises from long-term changes in the structure of industries, technological advancements, and shifts in consumer demand. Structural unemployment can also be caused by changes in international trade patterns. For example, when certain industries decline or become obsolete, workers may struggle to find suitable employment opportunities, leading to structural unemployment.

Frictional unemployment refers to temporary unemployment that arises when individuals are in-between jobs or are transitioning from one job to another. It is a natural and unavoidable part of the labor market as people search for better job opportunities or enter the workforce for the first time. Frictional unemployment can occur due to factors such as job search time, geographic mobility, and informational gaps. It is often considered a relatively short-term and voluntary form of unemployment since individuals are actively seeking employment.

Cyclical unemployment is associated with fluctuations in the business cycle or the overall economic conditions of a country. It occurs when there is a downturn or recession in the economy, leading to a decline in aggregate demand for goods and services. During economic downturns, businesses may reduce production, lay off workers, or shut down altogether, resulting in a rise in unemployment. Cyclical unemployment is considered to be the most harmful type of unemployment as it reflects the overall weakness in the economy.

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Edward L. Vincent is CFO of Energy Resources, Inc. The company specializes in the exploration and development of natural gas. It's near year-end, and Edward is feeling terrific. Natural gas prices have risen throughout the year, and Energy Resources is set to report record-breaking performance that will greatly exceed analysts' expectations. However, during an executive meeting this morning. management agreed to "tone down" profits due to concerns that reporting excess profits could encourage additional government regulations in the industry, hindering future profitability. 3 At the beginning of the current year, the company purchased equipment for $4,200,000. The company's standard practice for equipment like this is to use straightline depreciation over 12 years using an estimated residual value of $600,000. To address the issue discussed in the meeting. Edward is considering three options. Option 1: Adjust the estimated service life of the equipment from 12 years to 6 years.

Calculate annual depreciation using the company's standard practice.

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Option 1:Adjust the estimated service life of the equipment from 12 years to 6 years. It will lead to an increase in annual depreciation of the equipment and thus, a decrease in the net income of the company.

In such a case, the calculation of annual depreciation using the company's standard practice will change as shown below:Annual Depreciation=(Purchase cost - Residual value) / Useful life=($4,200,000 - $600,000) / 6= $600,000 per year.Energy Resources, Inc., is a company that specializes in the exploration and development of natural gas. At the end of the year, Edward L. Vincent, the company's CFO, feels excellent because the price of natural gas has risen throughout the year, and the company is set to report record-breaking performance that will significantly exceed analysts' expectations.However, during an executive meeting, management agreed to "tone down" profits due to concerns that reporting excess profits could encourage additional government regulations in the industry, which could hinder future profitability. In the current year, the company bought equipment for $4,200,000, and the company's standard practice for equipment like this is to use straight-line depreciation over 12 years, using an estimated residual value of $600,000.Therefore, to address the issue discussed in the meeting, Edward is considering three options. Option 1 involves adjusting the estimated service life of the equipment from 12 years to 6 years. It will lead to an increase in annual depreciation of the equipment and thus, a decrease in the net income of the company

. In conclusion, the adoption of this option can help the company reduce its net income and "tone down" its profits, addressing the management's concerns.

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On December 31 of the current year, State Construction Inc. signs a contract with the state of West Virginia Department of Transportation to manufacture a bridge over the New River. State Construction anticipates the construction will take three years.

The company’s accountants provide the following contract details relating to the project:

Contract price $624 million
Estimated construction costs $480 million
Estimated total profit $144 million
During the three-year construction period, State Construction incurred costs as follows:

Year 1 $48 million
Year 2 $288 million
Year 3 $144 million
State Construction uses the cost-to-cost method to recognize revenue.
Which of the following represent the revenue recognized in Year 1, Year 2, and Year 3?
Select one:

a. $62 million, $312 million, $250 million

b. $62 million, $374 million, $187 million

c. $0 million, $0 million, $624 million

d. $60 million, $376 million, $188 million

e. None of these are correct.

Answers

The revenue recognized in Year 1 is $62 million, in Year 2 is $312 million, and in Year 3 is $250 million.

Option (a) is correct.

To determine the revenue recognized each year using the cost-to-cost method, we need to calculate the percentage of completion for each year.

The total estimated construction costs are $480 million, and the actual costs incurred each year are given as follows:

Year 1: $48 million

Year 2: $288 million

Year 3: $144 million

Calculating the percentage of completion for each year:

Year 1: $48 million / $480 million = 10%

Year 2: ($48 million + $288 million) / $480 million = 75%

Year 3: ($48 million + $288 million + $144 million) / $480 million = 95%

Now, we can calculate the revenue recognized each year by applying the percentage of completion to the contract price:

Year 1: 10% * $624 million = $62 million

Year 2: 75% * $624 million = $468 million

Year 3: (95% - 75%) * $624 million = $156 million

The revenue recognized in Year 1 is $62 million, in Year 2 is $468 million, and in Year 3 is $156 million.

Therefore, option (a) $62 million, $312 million, $250 million is the correct answer.

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A couple is planning to finance their 3-year-old son's university education They are establishing an RESP that is projected to earn 4.50% as a stated annualized rate. a) What annual deposit must be made starting today on the son's 3rd birthday and continuing to his 16th birthday in order to meet the future university expense(shown below)? b) What monthly deposit starting today and continuing to his 16th birthday would be required to meet those expenses? The following amounts are presumed to be withdrawn on the stated birthday to pay that years expenses. Moneys remaining in the account past the 16th birthday are presumed to be compounding annually. When the last withdrawal is made the account is presumed empty, zero, Nada, caput!! To assist with your planning you may want to sketch an accurate cash-flow diagram, or account balance diagram. birthday 18th 19th 20th 21st expense $28,000 $30,000 $31,000 $33,000

Answers

The monthly deposit required is $263.84. Hence, the annual deposit required is $3,886.96 and the monthly deposit required is $263.84.

a) Annual Deposit required: In order to find the annual deposit required to be made, we use the formula for future value of an annuity: FV = PMT x (1+r)^n - 1 / r Here, FV = $28,000 + $30,000 + $31,000 + $33,000 = $122,000r = 4.5% per annum n = 16 - 3 = 13 (since we are making deposits from his 3rd birthday till his 16th birthday).

Therefore, the annual deposit required is: 122000 = PMT × (1+0.045)13 - 1 / 0.045Solving the above equation, we get: PMT = $3,886.96 (approx.)Therefore, the annual deposit required is $3,886.96b) Monthly Deposit required: In order to find the monthly deposit required to be made, we use the formula for future value of an annuity: FV = PMT x (1+r)^n - 1 / r Here, FV = $28,000 + $30,000 + $31,000 + $33,000 = $122,000r = 4.5% per annum n = 13 x 12 = 156 (since we are making deposits from his 3rd birthday till his 16th birthday).

Therefore, the monthly deposit required is: 122000 = PMT × (1+0.045/12)^156 - 1 / 0.045/12Solving the above equation, we get: PMT = $263.84 (approx.)Therefore, the monthly deposit required is $263.84.

Hence, the annual deposit required is $3,886.96 and the monthly deposit required is $263.84.

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Question 4 Which pair of nations is currently subject to a US embargo? Israel and Cuba Israel and Russia O Iran and Russia Russia and Poland

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The pair of nations that are currently subject to a US embargo are Cuba and Iran. In around 1960, the United States of America imposed a trade embargo on Cuba.

It began as a set of economic sanctions which were enforced by the US with the intention to compel Cuba to adopt a more democratic form of government.However, the Cuba government refused and formed a one-party state instead, allying with the Soviet Union.

Since then, this relationship with Cuba has strained and impacted American foreign policy decisions regarding Cuba. Iran, on the other hand, has been facing US sanctions since 1979 when the American embassy in Tehran was seized by Islamist students. The United States accuses Iran of pursuing nuclear weapons and has been pressuring Iran to stop its uranium enrichment program.

The US embargo includes prohibitions on imports from and exports to Iran, investment in Iran, trade in services, and travel. These sanctions have badly affected Iran's economy by making it hard for them to get access to key goods and services from the US. Overall, the current trade embargo has significantly impacted the economies of both Cuba and Iran.

 Therefore, the correct answer is option C: Cuba and Iran.

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Under which of the following circumstances would a disclaimer of opinion not be appropriate? A The auditor is unable to determine the amounts associated with an employee fraud scheme Management does not provide reasonable justification for a change in accounting principles. C The chief executive officer is unwilling to sign the management representation letter The client refuses to permit the auditor to confirm certain accounts receivable or apply alternative procedures to verify their balances. B D

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The circumstances under which a disclaimer of opinion would not be appropriate are as follows - Option B: Management does not provide reasonable justification for a change in accounting principles.

A disclaimer of opinion can be defined as an audit report that is given when the auditor cannot express any opinion on the company's financial statements. An auditor's report is a description of an auditor's work on a company's financial statements, which includes any auditing difficulties and financial discrepancies discovered throughout the audit process.

When the auditor is unable to get adequate proof to support some elements of the financial statement, a disclaimer of opinion is given. However, if there is management justification, the auditor might be able to make adjustments to the financial statements.

The other options such as:A) The auditor is unable to determine the amounts associated with an employee fraud scheme B) Management does not provide reasonable justification for a change in accounting principles. The chief executive officer is unwilling to sign the management representation letter D) The client refuses to permit the auditor to confirm certain accounts receivable or apply alternative procedures to verify their balances are circumstances under which a disclaimer of opinion would be appropriate.

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Hal Thomas, a 35-year-old college graduate, wishes to retire at age 60. To supplement other sources of retirement income, he can deposit $2,300 each year into a tax-deferred individual retirement arrangement (IRA). The IRA will earn a return of 12% over the next 25 years. a. If Hal makes end-of-year $2,300 deposits into the IRA, how much will he have accumulated in 25 years when he turns 60? b. If Hal decides to wait until age 45 to begin making end-of-year $2,300 deposits into the IRA, how much will he have accumulated when he retires 15 years later?

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Hal will have accumulated $146,621.29 when he retires 15 years later if he decides to wait until age 45 to begin making end-of-year $2,300 deposits into the IRA.

Hal makes end-of-year $2,300 deposits into the IRA, he will have accumulated $414,344.20 in 25 years when he turns 60.Hal Thomas, a 35-year-old college graduate, wishes to retire at age 60. To supplement other sources of retirement income, he can deposit $2,300 each year into a tax-deferred individual retirement arrangement (IRA). The IRA will earn a return of 12% over the next 25 years.Now, we can use the future value formula of a lump sum payment to calculate the accumulated value in 25 years:Future value = Present value * (1 + r)nFuture value = $2,300 * (1 + 0.12)25Future value = $414,344.20.

Hal will have accumulated $414,344.20 in 25 years when he turns 60 if he makes end-of-year $2,300 deposits into the IRA.b. If Hal decides to wait until age 45 to begin making end-of-year $2,300 deposits into the IRA, he will have accumulated $146,621.29 when he retires 15 years laterExplanation:If Hal decides to wait until age 45 to begin making end-of-year $2,300 deposits into the IRA, he will have only 15 years for his deposits to grow.Using the future value formula of a lump sum payment, the accumulated value in 15 years can be calculated:Future value = Present value * (1 + r)nFuture value = $2,300 * (1 + 0.12)15Future value = $146,621.29Therefore, Hal will have accumulated $146,621.29 when he retires 15 years later if he decides to wait until age 45 to begin making end-of-year $2,300 deposits into the IRA.

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5
What is Activity Based Costing and how does it differ from
traditional costing approaches? If an organization uses ABC to
costs its products and services how will the results differ from
traditional

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Activity-Based Costing (ABC) is a costing method that assigns costs to products, services, or activities based on the resources consumed by each. It differs from traditional costing approaches by considering multiple cost drivers and allocating costs based on the activities that drive those costs.

How does Activity-Based Costing differ from traditional costing approaches?

Traditional costing methods typically allocate costs based on volume-related measures such as direct labor hours or machine hours. However, ABC recognizes that activities consume resources and assigns costs accordingly.

By identifying cost drivers and linking them to specific activities, ABC provides a more accurate and detailed understanding of the costs associated with each product or service. This enables organizations to make more informed decisions regarding pricing, resource allocation, and process improvement.

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a project team is looking at identifying the root cause of bugs detected in uat

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The project team is investigating to determine the underlying cause of the bugs found during User Acceptance Testing (UAT), allowing them to address and resolve the issues effectively.

During the investigation, the team will analyze the reported bugs, examine the test environment, review the test cases, and study the system behavior. They may also conduct meetings with stakeholders and UAT participants to gather additional information. By identifying the root cause, the team can determine if the bugs are a result of coding errors, design flaws, data inconsistencies, or other factors. This knowledge enables them to implement targeted fixes and preventive measures to enhance the quality and stability of the system before its deployment.

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A project team is looking at identifying the root cause of bugs detected in UAT. They conducted a brainstorming session

What is the meaning of these financial ratio?

a. Tax effect
b. Interest expense effect
c. Operating profit margin
d. Total asset turnover
e. Financial leverage

Answers

a. Tax effect refers to the impact of taxes on a company's financial performance.

b. Interest expense effect is the impact of interest expenses on a company's profitability.

c. Operating profit margin is reffered to as the percentage of revenue converted into operating profit.

d. Total asset turnover is the efficiency of generating sales from total assets.

e. Financial leverage refers to the use of debt to finance operations and investments.

a. Tax effect: The tax effect refers to the impact of taxes on a company's financial performance. It measures how taxes affect the profitability and cash flows of a business. This ratio helps evaluate the tax efficiency and the overall tax burden of a company.

b. Interest expense effect: The interest expense effect measures the impact of interest expenses on a company's profitability. It assesses how the cost of borrowing and interest payments affect a company's bottom line. This ratio is important in analyzing a company's ability to generate profits after accounting for interest costs.

c. Operating profit margin: The operating profit margin is a financial ratio that indicates the profitability of a company's core operations. It represents the percentage of each dollar of revenue that is converted into operating profit. A higher operating profit margin signifies better operational efficiency and higher profitability.

d. Total asset turnover: The total asset turnover ratio measures a company's efficiency in generating sales from its total assets. It indicates how effectively a company utilizes its assets to generate revenue. A higher ratio indicates that a company is generating more sales per dollar of assets, which suggests better asset utilization.

e. Financial leverage: Financial leverage refers to the use of debt to finance a company's operations and investments. The financial leverage ratio measures the proportion of a company's assets that are financed by debt compared to equity. It assesses the company's reliance on debt and its ability to meet financial obligations. Higher financial leverage implies higher risk and potential for higher returns, but it also increases the company's vulnerability to financial distress.

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Determine the size of your investment account 30 years from now (when you plan to retire) if you deposit $12,000 each year, beginning 1 year from now, and the account earns interest at a rate of 10% per year. Draw the cash flow.

Answers

The size of your investment account 30 years from now would be approximately $687,306.32.

To determine the size of your investment account 30 years from now, we can use the future value of an annuity formula. The formula is:

FV = P * [(1 + r)ⁿ - 1] / r

Where:

FV = Future value of the investment account

P = Annual deposit amount

r = Interest rate per period

n = Number of periods

In this case, the annual deposit amount is $12,000, the interest rate is 10% per year, and the number of periods is 30 years. We'll assume that the deposits are made at the end of each year.

First, let's calculate the future value of each annual deposit:

Year 1: $12,000 * (1 + 0.10)²⁹ = $12,000 * 13.828042 = $165,936.50

Year 2: $12,000 * (1 + 0.10)²⁸ = $12,000 * 12.530038 = $150,360.46

Year 3: $12,000 * (1 + 0.10)²⁷ = $12,000 * 11.390035 = $136,680.42

...

Year 30: $12,000 * (1 + 0.10)⁰ = $12,000 * 1 = $12,000

Next, let's calculate the sum of all these future values:

FV = $165,936.50 + $150,360.46 + $136,680.42 + ... + $12,000

Using the formula for the sum of a geometric series, the sum of the future values can be calculated as:

FV = $12,000 * [(1 - (1 + 0.10)⁻³⁰) / (1 - (1 + 0.10)⁻¹)] = $12,000 * 57.275527 = $687,306.32

Therefore, the size of your investment account 30 years from now would be approximately $687,306.32.

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barton industries can issue perpetual preferred stock at a price of $52 per share. the stock would pay a constant annual dividend of $3.41 per share. if the firm's marginal tax rate is 25%, what is the company's cost of preferred stock? round your answer to two decimal places.

Answers

The present cost per share amounts to $52 while the annual payout for each share stands at $3. 41

Here is the calculation:

Cost of preferred stock = (annual dividend payment / current share price) * (1 - marginal tax rate)

= (3.41 / 52) * (1 - 0.25)

= 5.24%

The cost of the preferred shares amounts to 6. About one-fourth of the total amount is owed as a result of the 25% marginal tax rate.

Marginal tax rate refers to the percentage of tax that is applied to an individual's or business's additional income. It represents the rate at which the last dollar earned is taxed. As income increases, higher marginal tax rates are applied to each additional dollar earned.

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A good's demand is given by: P = 707 - 4Q. At P = 98, the point price elasticity is:
Enter as a value (ROUND TO TWO DECIMAL PLACES).

Answers

In the given problem, the good's demand is given by: P = 707 - 4Q and at P = 98, we need to find the point price elasticity. So, the formula of price elasticity of demand is given by: Ep = Percentage change in Quantity demanded/Percentage change in price.

Now, to find the point price elasticity at P = 98, we have to differentiate the demand equation with respect to P, we get: dQ/dP = -1/4 Ep = (P/Q) (dQ/dP). Putting values of P and Q, we get, dQ/dP = -1/4 Q/P. Substitute the value of P and Q at P = 98, we get, dQ/dP = -1/4 (707 - 4Q) / 98dQ/dP = -7.19.

Now, substituting -7.19 in the formula of price elasticity of demand, we get, Ep = (P/Q) (dQ/dP).

Ep = (98/Q) (-7.19).

In order to find out Q, we have to substitute the value of P in the given demand equation: P = 707 - 4Q98 = 707 - 4QQ = 152.25So,Ep = (98/152.25) (-7.19)Ep = -0.0466.

The value of point price elasticity is -0.0466. Therefore, the answer is -0.0466 (rounded to two decimal places).

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You are working for a business involved in domestic trade and moving into the international trade arena. The board has asked you to research and prepare a 1,000-word report explaining:

why it is necessary to report international activities in a timely and accurate manner
where the financial data will come from
the organization’s duties and obligations regarding financial reporting of international business transactions
the information that should be contained in the organization’s financial reports how the reports will be used and by whom

Answers

It is necessary to report international activities in a timely and accurate manner in order to provide transparency and accountability, comply with legal and regulatory requirements, and make informed business decisions.

The financial data for reporting international activities will come from various sources such as international transactions, foreign subsidiaries, currency conversions, and international financial statements.

The organization has duties and obligations regarding financial reporting of international business transactions, including adhering to international accounting standards and providing fair and reliable financial information.

The financial reports should contain information on international sales, expenses, foreign currency transactions, and risks associated with international operations.

The reports will be used by stakeholders such as shareholders, investors, lenders, regulators, and management to assess the organization's performance, make investment decisions, and ensure compliance with financial regulations.

Reporting international activities in a timely and accurate manner is essential for several reasons. Firstly, it provides transparency and allows stakeholders to have a clear understanding of the organization's international operations. This transparency is crucial for maintaining trust and credibility among shareholders, investors, and other parties involved. Additionally, accurate reporting enables the organization to comply with legal and regulatory requirements imposed by international jurisdictions.

The financial data for reporting international activities will come from various sources. These include international transactions conducted with foreign customers and suppliers, financial statements of foreign subsidiaries, currency conversion rates, and relevant international accounting standards. Gathering and consolidating this data is necessary to present a comprehensive and accurate view of the organization's financial position.

The organization has duties and obligations when it comes to financial reporting of international business transactions. This involves adhering to international accounting standards, such as the International Financial Reporting Standards (IFRS), to ensure consistency and comparability of financial information. By doing so, the organization can provide fair and reliable financial reports that accurately represent its international operations.

In terms of the content of financial reports, it is important to include information related to international sales, expenses incurred in foreign markets, foreign currency transactions and their impact on financial performance, and risks associated with international operations. This information helps stakeholders assess the organization's international business activities, evaluate its financial health, and make informed decisions.

The financial reports will be utilized by various stakeholders. Shareholders and investors rely on these reports to assess the organization's performance and make investment decisions. Lenders use financial reports to evaluate the organization's creditworthiness and determine lending terms. Regulators monitor financial reports to ensure compliance with accounting and financial regulations. Management uses the reports to analyze performance, identify areas for improvement, and make strategic decisions regarding international operations.

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tom is shopping for a policy that covers two people and would pay the face amount only when the first person diest. the type of policy is looking for is called a

Answers

The type of policy he is looking for is called a joint life insurance policy or a first-to-die policy.

This policy is usually cheaper than purchasing two separate policies, one for each person, because it only pays out once and only when the first person passes away. A joint life insurance policy or a first-to-die policy.A joint life insurance policy or a first-to-die policy is a type of life insurance that covers two people. The policy pays out when the first person in the policy dies.

A joint life insurance policy or a first-to-die policy is designed to provide insurance coverage for two people at the same time. It covers both people under the same policy, and only pays out when the first person on the policy dies. After the payout, the policy will end, and there will be no further payouts.

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