Deferred taxes report on the balance sheet Crystal Critters Inc. is a US GAAP reporter. The company has presented the deferred tax assets and liabilities in the balance sheet.
These are the details of the items, the classification on the balance sheet of the related account, and the deferred tax associated with the item: Item Classification on the Balance Sheet of Related Account Deferred Tax Associated with Item Excess of warranty expense over warranty deductions Current $68,000 Asset Accelerated depreciation for tax purposes .
If the company meets the conditions to net assets and liabilities, it will report the deferred taxes on the balance sheet in the following ways: Net non-current deferred tax liability of $10,000 ($78,000 deferred tax liability less $68,000 deferred tax asset)Current deferred tax asset of $10,000 ($38,000 deferred tax liability less $28,000 deferred tax asset) .
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Someone who likes building, designing, or creating things probably has a(n) _____. a. naturalistic learning styles b. bodily/kinesthetic learning style c. logical/mathematical learning style d. visual/spatial learning style Please select the best answer from the choices provided A B C D
Answer:
I assume D
Explanation:
A It tips me off of the idea from an naturalist style, belief that only natural laws
so this would go against the construction of man kind and society which is the opposite answer we want
b doesn't seem to be the answer as if " learning takes place by the students carrying out physical activities, rather than listening to a lecture or watching demonstrations." this is a student basically, instead sitting and listening they get to learn by doing activates
C logical and mathicals ways is different from designs and the artistic way of building this seems to be in a career for maybe a bank teller or a teacher
also I tested this on the answering sheet myself and it was correct
A. b. bodily/kinesthetic learning style more accurately describes someone who likes building, designing, or creating things.
Unlike a naturalistic learning style that encourages learning in a natural environment, the bodily/kinesthetic learning style relies on hand movements.
The bodily/kinesthetic learning style is different from a logical/mathematical style because, in the latter, the reliance is on making connections and patterns with numbers.
Lastly, the bodily/kinesthetic learning style is preferred by the person who likes building, designing, or creating things to the visual/spatial learning style, which encourages learning using visual aids.
Thus, the person who likes building, designing, or creating things has a bodily/kinesthetic learning style.
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How much would $20,000 due in 50 years be worth today if the discount rate were 7.5%?a. $438.03b. $461.08c. $485.35d. $510.89e. $537.78
Answer:
The present value is $537.78
Explanation:
Given
\(Future\ Value\ (FV) = \$20,000\\Time (T) = 50\ Years\\Discount\ Rate\ (R)= 7.5\%\)
Required
The Present Value(I)
To calculate the present value, we simply apply the formula for future value;
\(FV = I *(1 + R)^T\)
Substitute 20,000 for FV; 50 for T and 7.5% for R;
This gives
\(20,000 = I *(1 + 7.5\%)^{50}\)
Convert percent to decimal
\(20,000 = I *(1 + 0.075)^{50}\)
\(20,000 = I *(1.075)^{50}\)
\(20,000 = I *37.19\)
Divide both sides by 37.19
\(\frac{20,000}{37.19} = \frac{I *37.19}{37.19}\)
\(\frac{20,000}{37.19} = I\)
\(537.778 = I\)
\(I = 547.78\ (Approximated)\)
Hence, the present value is $537.78
What is included in working capital management?
Working capital administration many times entails monitoring cash flow, modern assets, and current liabilities thru ratio analysis of the key factors of working capital, which include the working capital ratio, series ratio, and stock turnover ratio.
What are the aspects of working capital management?The four essential components of working capital are: Cash and cash equivalents. Accounts receivable (AR)
...
Let's look at every of these 4 factors in larger detail.
Cash and Cash Equivalents. ...
Accounts Receivable. ...
Inventory. ...
Accounts Payable.
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Working capital administration many times entails monitoring cash flow, modern assets, and current liabilities thru ratio analysis of the key factors of working capital, which include the working capital ratio, series ratio, and stock turnover ratio.
What are the aspects of working capital management?The four essential components of working capital are: Cash and cash equivalents. Accounts receivable (AR
Let's look at every of these 4 factors in larger detail.
Cash and Cash Equivalents. ...
Accounts Receivable. ...
Inventory. ...
Accounts Payable.
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Ms. smith opened a bank account to save money. the balance of the account is modeled by the function f(x) = 4,000(1.06)x , where x is the number of years since the account is opened. according to the function, what is happening to the balance of the account each year?
Answer:
a
Explanation:
Balance of the account increasing each year linearly is happening to the balance of the account each year.
What is the Balance in the account?Your account balance is the sum of all posted credit and debit transactions. It is the amount in your account before any pending charges are added. Your available balance is the sum of money you have accessible for withdrawals or purchases.
When you check the balance of your bank account online, the available balance and total balance can be two different figures. A debit lowers the amount, whereas a credit enhances it. expense reports. A credit decreases the balance while a debit raises it.
The debiting of positive asset and cost values and crediting of negative balances are shown by this. For instance, after receiving $1,000 in cash, a journal entry would include a debit of $1,000 to the cash account in the accounting software.
Thus, Balance of the account increasing each year.
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Tony's Deli has cash of $145, accounts receivable of $99, accounts payable of $219, and inventory of $413. What is the value of the quick ratio ?
Answer:
the value of the quick ratio is 1.11 times
Explanation:
The computation of the value of the quick ratio is shown below:
Quick Ratio = Total Quick Assets ÷ Total current liabilities
= [Cash + Accounts Receivables] ÷ Accounts Payable
= [$145 + $99] ÷ $219
= $244 ÷ $219
= 1.11 Times
Hence, the value of the quick ratio is 1.11 times
Q09: Business Processes include which of the following? Workflow Controls Timing, Time Fences All choices Data Objectives
Business processes include workflow controls, timing, time fences, data objectives .Workflow Controls Timing, Time Fences All choices Data Objectives
Business processes refer to the systematic series of activities or steps that organizations undertake to achieve specific objectives. These processes encompass various elements, including workflow controls, which involve defining and managing the flow of tasks and information within the organization. Timing is crucial in business processes as it involves scheduling activities and ensuring they occur at the right time. Time fences are predetermined points in time that establish deadlines or limits for specific activities or decisions. Data objectives involve defining the desired outcomes and goals related to data management and utilization within the business processes.
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which of the following is a benefit of credit?
a. allows you to get what you want sooner
b. it damages your credit
c. puts your bank account in surplus
d. you get money back on interest
Answer:
A
Explanation:
When an employee is terminated, IS administrators should receive advance notice so that they can ________.
When the employee is terminated the IS administrators should receive advance notice so that they can remove the user account and password.
By terminated, this means that this employee has ceased to be a worker of the organization. As a person that no longer works there, it would be of no use for them to still have access to company facility.
If the user account and the password is not removed, this employee would be able to find his way into the database of the company. He would still have a hold on confidential information.
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Write a three- to five-sentence paragraph that defines economics. Based on your definition, explain why it is difficult to consider economics an exact science. You may want to consider how economists approach economics to help you explain your answer.
Answer: See explanation
Explanation:
Economics is referred to as a social science that is concerned with how goods are produced, how they're distributed and how they're consumed. Economics is the social science that studies why human beings behave the way that they do.
It is difficult to consider Economics as a science because it lacks a hypotheses that's testable. Also, there is lack of consensus and the scientific method is not followed in Economics.
what countries can i get plastic surgery at 16 without parental consent?
Answer: Any country that considers 16 to be an adult - like lots of places in Europe and maybe even Mexico, Brazil etc
Explanation: however, I would not do it at 16 - your face and body will change a lot ! I used to want to have a breast augmentation when I was 18 because I got picked on a lot for having small breasts. Now I am a DD and am beyond happy I didn’t get the augmentation. I would wait till at least your earlier 20’s or so!
Hoped this helped a little bit
Which strategy is used most often within stores or shopping centers?
customer loyalty
pull marketing
push marketing
word-of-mouth
Answer:
Pull marketing
Explanation:
three different between the indigenous technology and modern technology
please give me this question of answer for 15 marks
Three different between the indigenous technology and modern technology are:
The modern technology utilizes national resources indigenous technology uses alternate material.Crude tools were used in indigenous technology while mechanization is used in modern technology.overhead projector is used in indigenous technology while multimedia is used in modern technology.How can indigenous technology and modern technology be described?Both of the technology is the application of science into our daily lives, however the modern technology uses advance technology where the traditional technology uses crude process.
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Is the statement “the first day on a job is always easy” true?
Im gonna slap the person who told you that, Answer:
Pffttt ofc not its always hard the first day.
Good Explanation:
Your first day on the job can be intimidating, anxiety-inducing, nerve-wracking, and hopefully, you do good you know cause its a pain in the ####. So Don't underestimate any job buddy,
The answer is false btw.
Alfred has plotted revenue and cost graphs for his pastry business. He’s testing a number of cost assumptions against his business’s revenue.
Cost decreases and revenue increases to about $6 per pastry. Cost and revenue both decrease after about $6.
What is Cost and Revenue in economics?
In business economics, the two key concepts are cost and income. Every firm strives to reduce expenses and increase revenue in order to generate the most profit.
Cost is the amount of money that each business has invested to produce a certain good or service.
The cost of a product is the monetary value assigned to the raw materials, labour, and other resources utilised to produce it in any firm.
Money serves as the production system's input in this instance so that the desired good or service can be obtained. Estimating costs during business planning for a firm, project, or product is crucial for ensuring profitability.
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Discount Department Stores is a national retail chain. The company had one large, central warehouse. At the suggestion of the risk manager, the company decided to build four smaller regional warehouses so that a loss at the central warehouse would not be a catastrophic blow to the company's distribution system. Splitting the inventory between four regional warehouses illustrates which risk management technique
Answer:
Brainliest pls
Explanation:
loss reduction
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Answer:
v,j,j,hjhyiuy8y8u0i0ip
Explanation:
v,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ipv,j,j,hjhyiuy8y8u0i0ip
Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
Mandatory government spending includes which of the following?
a. Infrastructure and science
b. Social Security and Medicare
c. Healthcare and military
d. Education and agriculture
Social Security and Medicare is the Mandatory government spending. Hence, option B is correct.
What does government spending include?The federal government spends money on many different things, including Social Security and Medicare as well as military hardware, upkeep of the country's roadways, construction development, research, and education. These expenses can be divided into two groups: necessary and discretionary.
Examples of obligatory spending include contributions to entitlement systems like Social Security and Medicare as well as required interest payments on the national debt. Nearly two thirds of all federal spending is accounted for through mandatory spending.
Thus, option B is correct.
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Assume that marginal propensity to consume is 0.8 and potential output is $800 billion. If the actual real GDP is $700 billion, which of the following policies would bring the economy to potential output?
Increase government spending by $20 billion.
Increase government spending by $25 billion.
Decrease government spending by $100 billion.
Increase government spending by $100 billion.
The "Increase government spending by $100 billion" approach would increase economic output to its potential.
How would you define economy?The mechanism by which products and services are created, offered, and consumed is known as the economy. It includes domestic and foreign trade as well as the economic activity of people, corporations, and governments. It covers research on the creation, dissemination, consumption, and interactions of products and services. Additionally, it covers issues like taxation, inflation, and economic expansion.
By increasing demand, a $100 billion increase in government spending would increase economic output to its capacity. Increased economic activity and job creation as a result of this greater spending would lower the unemployment rate and promote economic growth. The price of products and services would rise in response to the rising demand, raising salaries and stimulating more spending. This would start an upward spiral of economic growth, allowing the economy to operate at its maximum capacity.
As a result, choice D is right.
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in the short run, expansionary fiscal policy usually will a) increase the price level and increase real gdp. b) increase the price level and decrease real gdp. c) decrease the price level and increase real gdp. d) decrease the price level and decrease real gdp.
This refers to a period of time when at least one input of production is fixed, typically labor or capital. Expansionary fiscal policy: This is a type of government policy that aims to stimulate economic growth by increasing government spending, decreasing taxes, or both.
The government implements an expansionary fiscal policy by either increasing its spending or cutting taxes, leading to an increase in aggregate demand. With higher aggregate demand, businesses will respond by increasing their production to meet the growing demand for goods and services. This results in an increase in real GDP. As businesses increase production, they may need to hire more workers or increase wages to attract additional labor. This leads to higher production costs.
To cover the higher production costs, businesses may raise the prices of their goods and services, leading to an increase in the price level. In conclusion, in the short run, expansionary fiscal policy usually leads to an increase in the price level and an increase in real GDP.
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1(a). (TRUE or FALSE?) If projects A & B are mutually exclusive and their NPVs are less than zero, accept both projects.
1(b). (TRUE or FALSE?) Internal rate of return method shows how many years take to recoup the initial investment.
1(c). (TRUE or FALSE?) Any time you consider investing in a project, you will not actually receive the IRR unless you can reinvest the project’s intervening cash flows at the IRR.
The correct answer is-
1(a). FALSE. If projects A & B are mutually exclusive and their NPVs are less than zero, accept both projects.
1(b). FALSE. Internal rate of return method shows how many years take to recoup the initial investment.
1(c). TRUE. Any time you consider investing in a project, you will not actually receive the IRR unless you can reinvest the project’s intervening cash flows at the IRR.
1(a). FALSE. If projects A & B are mutually exclusive and their net present values (NPVs) are less than zero, it would not be advisable to accept both projects. When projects are mutually exclusive, it means that choosing one project automatically excludes the other. In such cases, it is generally recommended to accept the project with the higher positive NPV or reject both projects if their NPVs are negative. Accepting both projects with negative NPVs would likely result in a net loss for the company.
1(b). FALSE. The internal rate of return (IRR) method does not directly show how many years it takes to recoup the initial investment. The IRR is the discount rate at which the present value of the project's cash inflows equals the present value of its cash outflows, resulting in an NPV of zero. It represents the rate of return generated by the project over its entire duration. While it is related to the payback period (the time it takes to recover the initial investment), the IRR does not provide a direct measure of the payback period.
1(c). TRUE. Any time you consider investing in a project, the actual realization of the internal rate of return (IRR) depends on the ability to reinvest the project's intervening cash flows at the IRR. The IRR represents the rate of return that equates the present value of the project's cash inflows with the present value of its cash outflows. If the intervening cash flows can be reinvested at the IRR, then the project will achieve the calculated IRR. However, if the company cannot reinvest the cash flows at the IRR, the actual realized rate of return may differ from the IRR.
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Founders state bank developed a standard for teller staffing that provided for one teller to handle 15 customers per hour. during june, the bank averaged 50 customers per hour and had five tellers on duty at all times. (relief tellers filled in during lunch and rest breaks.) the teller compensation cost is $12 per hour. the bank is open eight hours a day, and there were 21 working days during june. required: calculate the teller efficiency variance during june expressed in terms of number of tellers and cost per hour. now assume that in june, during the 11 a.m. to 1 p.m. period every day, the bank served an average of 80 customers per hour. during the other six hours of the day, an average of 40 customers per hour were served. calculate a teller efficiency variance for the 11 to 1 period expressed in terms of number of tellers per hour and total cost for the month. calculate a teller efficiency variance for the other six hours of the day expressed in terms of number of tellers per hour and total cost for the month.
To calculate the teller efficiency variance during June, we can compare the actual number of tellers needed to the standard number of tellers required.
First, let's calculate the standard number of tellers needed for the entire month:
Standard number of tellers = (total customers per hour) / (customers handled per hour by one teller)
Standard number of tellers = 50 customers per hour / 15 customers per hour per teller
= 3.33 tellers
Since we can't have a fraction of a teller, the standard number of tellers required is 4 tellers.
Next, let's calculate the actual number of tellers used for the entire month:
Actual number of tellers = 5 tellers
Teller efficiency variance in terms of number of tellers = Actual number of tellers - Standard number of tellers
Teller efficiency variance in terms of number of tellers = 5 tellers - 4 tellers
= 1 teller
Now, let's calculate the teller efficiency variance for the 11 a.m. to 1 p.m. period during June:
Standard number of tellers for the 11 to 1 period = (80 customers per hour) / (15 customers per hour per teller)
= 5.33 tellers
Again, we can't have a fraction of a teller, so the standard number of tellers required for the 11 to 1 period is 6 tellers.
Actual number of tellers for the 11 to 1 period = 5 tellers
Teller efficiency variance for the 11 to 1 period in terms of number of tellers = Actual number of tellers - Standard number of tellers
Teller efficiency variance for the 11 to 1 period in terms of number of tellers = 5 tellers - 6 tellers
= -1 teller
Lastly, let's calculate the teller efficiency variance for the other six hours of the day during June:
Standard number of tellers for the other six hours = (40 customers per hour) / (15 customers per hour per teller)
= 2.67 tellers
Again, we can't have a fraction of a teller, so the standard number of tellers required for the other six hours is 3 tellers.
Actual number of tellers for the other six hours = 5 tellers
Teller efficiency variance for the other six hours in terms of number of tellers = Actual number of tellers - Standard number of tellers
Teller efficiency variance for the other six hours in terms of number of tellers = 5 tellers - 3 tellers
= 2 tellers
Please note that the cost per hour is not mentioned in the given information, so we cannot calculate the teller efficiency variance in terms of total cost for the month.
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How much money does Ted need to invest each month in order to accumulate $10,000 over a five-year period, if he expects to get a return of 5.625% per year
Based on the amount to be accumulated and the return, the amount to invest per month is $144.71.
The amount to invest will be constant which makes it an annuity. First we need to convert the interest rate and period to periodic figures.
Periodic Interest Number of periods= 5.625% / 12 months = 5 years x 12 month
= 0.46875% = 60 months
The $10,000 will be the future value of the annuity.
Amount to investFuture value of annuity = Annuity x ( ( 1 + interest) ^ number of periods -1)/interest
10,000 = Annuity x ( ( 1 + 0.46875%)⁶⁰ - 1) / 0.46875%
10,000 = Annuity x 69.101758487
Annuity = 10,000 / 69.101758487
= $144.71
In conclusion, he should invest $144.71 each month.
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give me your best pickup line for brainliest
Answer:
are u from Tennessee? cause ur the only 10 i see
if i said you had a good body would you hold it against me?
your lips look lonely. would they like to meet mine?
Which of the following requires the most education?
A. Veterinary assistant
B. Veterinary technician
C. Animal groomer
D. Veterinarian
Answer:
d
Explanation:
Answer:
D
Explanation:
They are like a doctor to animals
Question 5 of 10
Which of the following is a part of the employment tax?
O A. Income tax
O B. Property tax
O C. Non-compliance fines
O D. Social security tax
Answer:
D. social security tax
Explanation:
Greg works at a local college and organizes activities for college students to do while living in the dorms. What is Greg’s career?
A.Social Service Assistant
B.Residential Advisor
C.Sociologist
D.Health Counselor
Answer:
B. RA (residential Advisor)
Explanation:
Watch way too much tv lol
Answer:
The answer is B; Residential Advisor
Explanation:
I am taking the test right now, this is the answer I am selecting.
a business model is a plan that details how a company creates, delivers, and generates revenues on the internet. group of answer choices true false
A business model is a plan that details how a company creates, delivers, and generates revenues on the internet. True
A business has types of sports: non-revenue-generating tasks and revenue-generating responsibilities. sales generation shows the latter, especially, in sports that assist create income and profitability. As said in advance, revenue technology isn't genuinely sales and advertising.
For many organizations, sales are generated from the income of products or services. for that reason, revenue is every now and then known as gross sales. revenue can also be earned through different assets. Inventors or entertainers may get hold of sales from licensing, patents, or royalties.
Revenue refers to the overall profits a corporation generates via its center operations like income from services or products, rents on a property, recurring payments, interest on borrowings, and many others. sales calculations come before casting off any costs, consisting of discounts and returns.
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Suppose producers of cheese complain that the price floor has reduced their total revenue. Is this possible
Yes, it is possible for producers of cheese to complain that a price floor has reduced their total revenue. A price floor is a government-imposed minimum price set above the equilibrium price in a market.
Its purpose is often to protect producers by ensuring they receive a higher price for their product. However, despite the intention of protecting producers, price floors can sometimes have unintended consequences. If the price floor is set too high, it can lead to a surplus of the product because the quantity supplied exceeds the quantity demanded at that higher price. In the case of cheese producers, if the price floor is set above the equilibrium price, it could result in reduced total revenue for the producers.
Here's how it can happen:
1. Price floor set above equilibrium: When the price floor is set above the equilibrium price, it creates a situation where the price that buyers are willing to pay is lower than the minimum price imposed by the floor.
2. Surplus and reduced demand: With the price higher than what buyers are willing to pay, the quantity demanded decreases. Consumers may switch to substitute products or reduce their overall cheese consumption.
3. Excess supply: On the other hand, producers continue to produce at the higher price encouraged by the price floor, resulting in excess supply or a surplus of cheese in the market.
4. Reduced total revenue: The surplus puts downward pressure on the price, as producers compete to sell their excess cheese. As a result, even though producers receive a higher price per unit due to the price floor, the reduced quantity sold leads to a decline in their total revenue.
In this scenario, cheese producers would complain that the price floor has reduced their total revenue despite the aim of the policy being to protect them. It highlights the unintended consequences and inefficiencies that can arise from government interventions in markets.
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Jon enjoys fishing (which costs $20) and golf (which costs $30) and has $140 to spend each month on these activities. Last month, Jon fished four times and golfed twice. The last fishing outing provided Jon a marginal utility of 50, and the last round of golf provided a marginal utility of 120. What is Jon's marginal utility per dollar spent on the last time fishing
Answer:
Fishing - 2.5 and Golfing - 4
Explanation:
Calculation to determine What is Jon's marginal utility per dollar spent on the last time fishing and golf
Last fishing outing produced =50 / $20
Last fishing outing produced = 2.5 units of utility per dollar.
Last round of golf provided= 120 / $30
Last round of golf provided= 4 units of utility per dollar
Therefore Jon's marginal utility per dollar spent on the last time fishing and golf is Fishing - 2.5 and Golfing - 4