The cash budget for Gado Company in March is as follows:
Beginning Cash Balance on March 1: $76,000
Cash Inflows: $380,000
Cash Outflows: $277,160
Net Cash Flow: $102,840
Ending Cash Balance: $178,840
To prepare a cash budget for Gado Company in March, we'll need to calculate the cash inflows and outflows based on the provided information. Here's the cash budget for March:
Cash Inflows:
Beginning cash balance on March 1: $76,000
Cash receipts from sales: $304,000
Total Cash Inflows: $76,000 + $304,000 = $380,000
Cash Outflows:
Cash payments for direct materials: $139,000
Cash payments for direct labor: $77,000
Cash payments for overhead: $37,000
Cash payments for sales commissions: $8,000
Cash payments for interest: $160
Cash repayment of loan: $16,000
Total Cash Outflows: $139,000 + $77,000 + $37,000 + $8,000 + $160 + $16,000 = $277,160
Net Cash Flow (Inflows - Outflows): $380,000 - $277,160 = $102,840
Ending Cash Balance: Beginning cash balance + Net cash flow
Ending Cash Balance: $76,000 + $102,840 = $178,840
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11. This year, teachers can eam a $250 tax credit on money they spend in their classrooms. How will this tax credit affect the teachers' tax returns?
A. The $250 will come directly off of the amount of taxes the teachers owe.
B. The $250 will be subtracted from the teachers' gross incomes.
C.This credit will put them in higher tax brackets.
D.This credit is not big enough to make any impact on the teachers' taxes.
Answer: A. The $250 will come directly off of the amount of taxes the teachers owe.
Explanation:
When given a tax credit of a certain amount, it means that you can deduct that amount from the taxes you owe which means that the taxes you are to pay will be reduced. If you received a tax credit of $500 for instance and you owed taxes of $2,000, your taxes would become $1,500.
In this scenario therefore, with the teachers receiving a tax credit of $250, taxes that the teachers owe will be reduced by $250.
Cash price is $1,200. after making a down payment of $100, the payments are $140/month for 9 months. what is the apr as a %
The APR for this loan is 14.5%. This indicates the annualized interest rate applied to the loan amount and reflects the cost of borrowing over the given period.
It is essential to consider the APR when comparing loan options to understand the total cost and make informed financial decisions.
The APR (Annual Percentage Rate) of the loan can be calculated based on the cash price, down payment, monthly payments, and the duration of the loan.
To determine the APR, we need to consider the total amount financed, which is the cash price minus the down payment. In this case, the total amount financed is $1,200 - $100 = $1,100. The total cost of the loan can be calculated by multiplying the monthly payment by the number of months, which is $140 * 9 = $1,260.
Using these values, we can use the formula to calculate the APR:
APR = ((Total Cost / Total Amount Financed) - 1) * (12 / Number of Months) * 100
In this case, the APR would be ((1260 / 1100) - 1) * (12 / 9) * 100 = (1.145 - 1) * (1.333) * 100 = 14.5%
Therefore, the APR for this loan is 14.5%.
The APR is a crucial indicator of the cost of borrowing and represents the yearly interest rate applied to the loan amount. In this scenario, we are given the cash price of $1,200 and a down payment of $100. This means that the total amount financed is $1,200 - $100 = $1,100.
The loan terms state that there will be nine monthly payments of $140. To calculate the APR, we need to determine the total cost of the loan. This can be found by multiplying the monthly payment ($140) by the number of months (9), resulting in a total cost of $1,260.
Using the formula for APR calculation, we substitute the values into the equation: APR = ((Total Cost / Total Amount Financed) - 1) * (12 / Number of Months) * 100. Plugging in the values, we get ((1260 / 1100) - 1) * (12 / 9) * 100 = (1.145 - 1) * (1.333) * 100 = 14.5%.
Therefore, the APR for this loan is 14.5%. This indicates the annualized interest rate applied to the loan amount and reflects the cost of borrowing over the given period. It is essential to consider the APR when comparing loan options to understand the total cost and make informed financial decisions.
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An international business is a firm that
Part 2
A. hires non-U.S. citizens.
B. produces a wide range of products.
C. is not from the United States.
D. engages in international trade or investment.
Option D: An international business is a firm that engages in international trade or investment.
Therefore, the correct answer is option D. An international business is a company that conducts business across national borders. This can include importing and exporting goods, investing in foreign markets, and operating in multiple countries.
It is not necessarily defined by the nationality of its employees, the range of products it produces, or the country in which it is headquartered. International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational scale. It involves cross-border transactions of goods and services between two or more countries.
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uber has created new product lines aimed at growing revenue, such as establishing uber eats, which is a food ordering and delivery platform. this strategy is known as
This strategy is known as "diversification", which is when a business expands its operations into new markets or creates new product lines. Uber has used diversification to grow their revenue by establishing Uber Eats, a food ordering and delivery platform.
Diversification is a business strategy that involves expanding a company's operations into new markets or product lines that are different from its existing offerings. This is often done to reduce risk and increase the stability of a company by reducing its dependence on a single product or market. There are two main types of diversification: related diversification and unrelated diversification. Diversification can be a successful strategy for companies looking to expand their operations and reduce risk, but it requires careful planning and execution to be effective.
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What kind of policy has nepal adopted in foreign policy
To create a balanced budget one, must make sure to...
a) spend as little as possible
b) pay credit card payments first
c) spend less than or equal to income
d) pay off debts first
Answer:
c) spend less than or equal to income
by spending less than or equal to, you are balancing a budget. You are creating a balance between income and expense, which supports a steady/consistent, and logical budget.
^entire answer has been updated.
according to this article, why might regulators and society be concerned about disney purchasing fox?
According to the article, the regulators and the society be concerned about Disney purchasing as the Disney and fox both are the major producer of the movies where as their deal is said to have reduced a number of movies.
The Disney-Fox merger was prompted by both the companies who were wanting more leverage over other cable also the internet-service providers. The Walt Disney Co. is seen to beeacquiring most of the assets of 21st Century Fox for $52.4 billion in stock,
However, also creating a content behemoth that will have the power to reshape the sports and entertainment landscapes. Thus, their combined heft will now give them even more leverage over cable companie. Thus, the. Thus, the regulators and the society will be concerned about Disney purchasing.
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Prepaid expenses require what type of adjusting entry? Question options: Matched Accumulated Accrued Deferral
Answer:
deferral
Explanation:
Adjusting entries are when changes are made to already recorded journal entries.
Categories of adjusting entries :
accrued revenuesaccrued expensesunearned revenuesprepaid expensesdepreciation.Prepaid expenses are payments made for services yet to be delivered.
For example, paying for a year's worth of subscription on your streaming service
Prepaid expenses is an example of deferred payment, so the adjustment should be a deferral
According to public choice economists, the federal government has expanded because
A. the federal government is efficient in its spending.
B. deficit spending has reduced the perceived cost of current government operations.
C. taxpayers pay the full cost of current government operations.
D. the public likes to pay higher taxes to finance more programs.
Economists believe that the federal government has expanded because B. deficit spending has reduced the perceived cost of current government operations.
What do economists think of the federal expenditure?They believe that because the government can finance more expenditure with debt, they have engaged in more expenses than they can actually afford.
This means that the government no longer views the cost of government operations as high because they can engage in deficit spending.
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On January 1, 2020, Oriole Corporation issued $610,000, 7%, 10-year bonds at face value. Interest is payable annually on January 1 Orlole Corporation has a calendar year end. Prepare all entries related to the bond issue for 2020. (Credit account titles are automatically indented when the amount is entered. Do not Indent manually) 2020 Account Titles and explanation Debit Credit
Jan. 1, 2020:
Debit: Cash $610,000
Credit: Bonds Payable $610,000
December 31, 2020
Debit: Interest Expense $42,700 ($610,000 * 7%)
Credit: Interest Payable $42,700
On January 1, 2020, Oriole Corporation issued $610,000, 7%, 10-year bonds at face value. The first journal entry records the receipt of cash from the bond issuance and the corresponding liability for the bond amount. The debit to Cash represents the cash inflow from the bond issuance, while the credit to Bonds Payable represents the liability for the bond amount that Oriole Corporation has to pay back to bondholders over the 10-year period.
Since the bonds were issued at face value, there is no premium or discount amortization required in the first year. Premium or discount amortization arises when bonds are issued at a price that is different from their face value. For example, if the bonds were issued at a price higher than their face value, there would be a premium, and the premium would be amortized over the life of the bond.
On December 31, 2020, Oriole Corporation would accrue interest expense for the period from January 1, 2020, to December 31, 2020. This is because interest is payable annually on January 1, and the financial statements need to reflect the interest expense that has accrued during the year.
The debit to Interest Expense represents the expense that Oriole Corporation incurred for borrowing the money through the bonds. The credit to Interest Payable represents the liability for the interest that Oriole Corporation owes to bondholders for the interest accrued during the year. No cash is involved in this entry as the interest payment is due on January 1, 2021.
It is important to note that since Oriole Corporation has a calendar year-end, the first interest payment will be made on January 1, 2021, and will be recorded in the 2021 financial statements.
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You are the manager of Taurus Technologies, and your sole competitor is Spyder Technologies. The two firms’ products are viewed as identical by most consumers. The relevant cost functions are C(Qi) 4Qi, and the inverse market demand curve for this unique product is given by P 160 2Q. Currently, you and your rival simultaneously (but independently) make production decisions, and the price you fetch for the product depends on the total amount produced by each firm. However, by making an unrecoverable fixed investment of $200, Taurus Technologies can bring its product to market before Spyder finalizes production plans. Should you invest the $200? Explain.
Answer:
No
Explanation:
Well,i say this because if Taurus is able to launch its product way before other competitors they will make more profit and can use those $200 to invest on other parts of the business like hiring more workers or buying machines to help in productivity and therefore make more sales and be able to expand profit.
How old will someone who graduated high school at 18 be until they get a Masters Degree in civil engineerings ?
Answer:22 years
Explanation:
A ceiling design that has a rectangular center that is either popped out or inverted to add an effect.
Answer:
tray ceilings
Tray Ceiling - Usually seen in dining rooms and kitchens, tray ceilings are built upwards in a cut out resembling a tray. It has a rectangular center that is either popped out or inverted to add an effect
Explanation:
Hope it helps
Libscomb Technologies' annual sales are $5,223,062 and all sales are made on credit, it purchases $3,575,756 of materials each year (and this is its cost of goods sold). Libscomb also has $576,797 of inventory, $542,091 of accounts receivable, and $488,029 of accounts payable. Assume a 365 day year.
What is Libscomb's Operating Cycle (in days)?
It takes 58.99 days to convert inventory into sales and 37.89 days to collect the payment from customers. The operating cycle can be defined as the duration of time that is required for a company to turn its current assets into cash. For the calculation of the operating cycle, we have to take into account the accounts receivable period and inventory period of a company.
Given the following data of Libscomb Technologies:
Annual sales = $5,223,062
Materials cost = $3,575,756
Inventory = $576,797
Accounts receivable = $542,091
Accounts payable = $488,029
Days of the year = 365
Operating Cycle is given by the following formula: Operating cycle = Accounts Receivable period + Inventory period. The formula of the inventory turnover ratio is Inventory turnover ratio= Cost of goods sold /Average inventory. The cost of goods sold for Libscomb Technologies is $3,575,756. The inventory of Libscomb Technologies is $576,797.
Using these values, we can calculate the inventory turnover ratio as follows: Inventory turnover ratio = $3,575,756 / $576,797 = 6.19.The formula of the receivables turnover ratio is Receivables turnover ratio= Sales/Average accounts receivable. The annual sales for Libscomb Technologies is $5,223,062. The average accounts receivable for Libscomb Technologies is $542,091. Using these values, we can calculate the receivables turnover ratio as follows: Receivables turnover ratio = $5,223,062 / $542,091 = 9.63.
Now we can calculate the operating cycle. Operating cycle = Days of the year/ Inventory Turnover Ratio + Days of the year/ Receivables Turnover Ratio. Operating cycle = 365 / 6.19 + 365 / 9.63 = 58.99 days + 37.89 days ≈ 96 days. Therefore, the operating cycle of Libscomb Technologies is 96 days. Libscomb Technologies takes around 96 days to convert its current assets into cash. It takes 58.99 days to convert inventory into sales and 37.89 days to collect the payment from customers.
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A company makes a product and has no way to determine which ones are faulty until an unhappy customer returns it. Three percent of the products are faulty and will cost the company $200 each in customer service and repairs. If the company does not refund the customer when repairing the item, how much should the company charge to make a profit of $2.00 per item
Answer:
$8.00 per item
Explanation:
A company makes product and its 3% of products are faulty. There is no other quality inspection test which can identify the faulty products during the manufacturing process. The faulty products are only identified when the customer arrives to return it. The faulty product costs the company $200 each and company wants to make profit of $2.00 per item. It should charge price of $8.00
The calculation is as follows,
let selling price is \(x\)
\(x\) - (0.03 * 200) = 2.00
after rearranging the equation we get;
\(x\) = 2 + 6
\(x\) = 8
Answer:
c) $8.00
Explanation:
correct 2021
Which analogy best represents the relationship between jobs and careers?
A career is like “a muffin or a cookie,” and a job is like “baked goods.”
A career is like “tools,” and a job is like “a hammer or a screwdriver.”
A career is like “a building block,” and a job is like “a castle or a tower.”
A career is like “a speedboat or a powerboat,” and a job is like “a sailboat.”
Answer:
A career is like “tools,” and a job is like “a hammer or a screwdriver.”
Explanation:
yes
Which of these measurements could be the measurements for a D size drawing
Calculate the scale factor and the missing measurements using the original figure's measurements and the scale drawing. the scale is.
Which of these measures could be used to create a drawing that is D size?D-size paper is available in two different sizes: 22" x 34" for engineering drawings and 24" x 36" for architectural designs (or 609.6 x 914.4 millimeters) (or 558.8 x 863.6 millimeters). Of course, there are several sizes of drawing paper.
When redecorating or looking for that one piece of furniture to fill a void, floor plans that have been scaled are the ideal guidance. Drawing your room out to scale will help you better visualize your design ideas if you're having trouble doing so.give you a cool blueprint, please. A pencil, paper, and a tape measure are all you need to get started on creating an accurate drawing.
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The complete question is:
Which of these measurements could be the measurements for a D size drawing?
What is down payment with regarding to buying a house?
7. Connor has identified the need to make changes in the efficiency of his customer service
department. In general, he will make changes in which three of the following categories?
Answer:
A) coordinate recruitment and compensation activities
all internal organizational practices should be aligned around ____.
All internal organizational practices should be aligned around: achieving the organization's strategic goals and objectives.
It is essential for a company to ensure that its practices, such as decision-making processes, communication channels, performance management systems, and employee development programs, support the overall mission, vision, and values of the organization.
By aligning these practices, organizations can create a cohesive and efficient work environment where employees understand their roles and responsibilities, and how they contribute to the organization's success. This alignment also fosters a strong organizational culture, which can lead to improved employee engagement, motivation, and productivity.
Moreover, when internal practices are aligned with the organization's strategic goals, resources can be better allocated, and efforts can be focused on achieving desired outcomes. It enables the organization to respond effectively to changes in the external environment and facilitates continuous improvement and innovation.
In summary, aligning all internal organizational practices around the organization's strategic goals and objectives is crucial for creating a successful and sustainable organization that can adapt to changing market conditions and achieve long-term success.
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match each label to the appropriate scenario. note that some labels may be used more than once, while other labels may not be used at all. additionally, some scenarios may apply to multiple labels, while other scenarios will only apply to one label.
Demand and supply increases in this scenario:
Gasoline: a new housing development goes up. Several new gas stations are built nearby
Demand increases and supply decreases in this scenario:
Taxis: public transit workers at a popular tourist attraction go on strike as a holiday weekend approaches
Demand and supply decreases in this scenario:
Pumpkins: an early frost destroyed much of the pumpkin crop. A newspaper reports zucchini is better for pie than pumpkin.
Demand decreases and supply increases in this scenario:
Corn: news media run stories about people with corn allergies. The corn crop is unusually large.
The factors that lead to a change in the demand of a good
Change in the price of a substitute good: if the price of a substitute good increases, the demand for the good increases and if the price of the substitute decreases, the demand for the good decreases. Reports: If a favourable report is released about a good, the demand for the good would increase. If the opposite is the case, the demand for the good would decrease. Change in weather: When winter is approaching, the demand for winter coats would increase and it would decline in summer.Factors that lead to a change in supply
A change in the number of suppliers: if the number of suppliers of a good increases, there would be an increase in supply of the good. If the number of suppliers declines, there would be a fall in supply. Natural disaster: A flood would reduce the supply of a good.Please find attached more information needed to answer this question. A similar question was answered here: https://brainly.com/question/14456267
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Brian owns a company that makes inexpensive replacement parts for bicycles. He's ready to increase the scale of his business and wants to use Google Display Ads to drive sales. Which feature of a Google Display Ads will help Brian achieve his business objectives?
Answer:
His ads can appear on websites relevant to bicycles, and therefore connect him to his potential audience.
Explanation:
Search engine optimization in marketing involves including keywords in the content so that when users search for materials related to such content, the content would appear among the relevant results. For businesses that want to improve the sales of their products by making use of Google Display Ads, it is important to use keywords as the content of the advertising so that the advertisements can appear on websites relevant to the potential audience.
The main goal of advertising would be defeated if the products are marketed to people who have no interest in them. If Brian's bicycles are marketed on a website containing content for children, it would be difficult for him to make sales. Google Display Ads ensure that the right audience see the advertisements.
Tutorial Chapter 2 Risk and Refinements in Capital Budgeting HIGIE ST12-1 Risk-adjusted discount rates CBA Company is considering two mutually exclusive projects, A and B. The following table shows the CAPM-type relation- ship between a risk index and the required return (RADR) applicable to CBA Company. Risk index Required return (RADR) 0.0 7.0% (risk-free rate, R) 0.2 8.0 0.4 9.0 0.6 10.0 0.8 11.0 1.0 12.0 1.2 13.0 1.4 14.0 1.6 15.0 1.8 16.0 2.0 17.0 Project data are as follows: Project A Project B Initial investment (CF) -$15,000 -$20,000 Project life 3 years 3 years $10,000 Annual cash inflow (CF) $7,000 0.4 Risk index 1.8 a. Ignoring any differences in risk and assuming that the firm's cost of capital is 10%, calculate the net present value (NPV) of each project. b. Use NPV to evaluate the projects, using risk-adjusted discount rates (RADRs) to account for risk. c. Compare, contrast, and explain your findings in parts a and b.
a)
NPV of Project A= $3,304
NPV of Project B= -$2,902.2
b)
Project A's Risk index = 0.4, RADR = 9.0%, NPV = $3,864.0
Project B's Risk index = 1.8, RADR = 16.0%, NPV = -$2,051.3
c)
The incorporation of risk through RADRs and NPVs show that Project B's returns are not sufficient to cover the required return and are hence unacceptable.
a) Calculation of net present value (NPV) of Project A and B under risk-neutral approach
NPV of Project A= $3,304
NPV of Project B= -$2,902.2
b) Use of net present value (NPV) for evaluating the projects by using risk-adjusted discount rates (RADRs) for incorporating risks:
Project A's Risk index = 0.4
RADR = 9.0%
NPV = $3,864.0
Project B's Risk index = 1.8,
RADR = 16.0%,
NPV = -$2,051.3
c) Comparison and explanation of the findings in parts a and b:
Under a risk-neutral approach, NPV values indicate that Project A has a positive value of $3,304.0, while Project B has a negative value of -$2,902.2. Both projects should be accepted since the NPV is positive under a risk-neutral approach.
Nonetheless, a more realistic scenario is that Project A has a risk index of 0.4, while Project B has a risk index of 1.8. This implies that RADRs will differ for both projects.
Based on RADRs, Project A has a positive value of $3,864.0, and Project B has a negative value of -$2,051.3. These results indicate that the company should accept Project A and reject Project B.
The incorporation of risk through RADRs and NPVs show that Project B's returns are not sufficient to cover the required return and are hence unacceptable.
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what does the CTSO “FEA”
describe??? PLEASE ANSWER QUICK
Answer:
Explanation:The Future Educators Association (FEA), sponsored by PDK International, is a. student organization that provides students. interested in education-related careers. with activities and materials that help them.
if im wrong, sorry.
according to phillips, why was being a slave trader such an unpleasant job?
The Phillips referred to here is probably Wendell Phillips, an American abolitionist. As a slave trader, he noted the following reasons why it was such an unpleasant job:
Slave traders had to deal with people who were in chains and treated as commodities, which could be morally and emotionally challenging for many people.
Slave traders had to be involved in the capture, confinement, and transportation of slaves, which often involved violence and brutality.
Slave traders had to deal with the risks and uncertainties of the slave trade, including fluctuations in prices and the possibility of being caught and prosecuted for their illegal activities.
Overall, being a slave trader involved many ethical, legal, and moral challenges that made it an unpleasant job for many people.
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With the recent surge in the showing of commercials to movie theater audiences, many companies have found it to be an innovative medium to reach large numbers of consumers. For instance, several beverage products, including sports drinks, soft drinks, and bottled water, advertise heavily in theaters, where they know a very broad and diffuse cross-section of consumers can be reached. Advertising in this medium relies on _________.
Answer:
Self selection.
Explanation:
Marketing can be defined as the process of developing promotional techniques and sales strategies by a firm, so as to enhance the availability of goods and services to meet the needs of the end users or consumers through advertising and market research. Thus, it comprises of all the activities such as, identifying, anticipating set of medium and processes for creating, promoting, delivering, and exchanging goods and services that has value for customers. It typically, involves understanding customer needs, building and maintaining healthy relationships with them in order to scale up your business.
Advertisement refers to the promotional multimedia messages designed and developed to make the products or services of a company known to its customers and potential customers.
In this scenario, advertising relies on self selection.
The federal agency created by the Civil Rights Act of 1964 is the Equal Employment Opportunity Commission (EEOC). When was the EEOC given the authority to enforce the rights given in the Civil Rights Act?
1972
1970
1984
1964
The EEOC was given the authority to enforce the rights given in the Civil Rights Act of 1964 in 1972.
The EEOC is a federal agency responsible for enforcing federal laws that make it illegal to discriminate against a job applicant or an employee based on factors such as race, color, religion, sex, national origin, age, disability, or genetic information.
The Civil Rights Act of 1964 was a landmark piece of legislation that prohibited discrimination on the basis of race, color, religion, sex, or national origin. However, it wasn't until the EEOC was given the authority to enforce these rights in 1972 that it became possible for individuals to file complaints of discrimination and have them investigated and resolved by a federal agency.
Since then, the EEOC has played a crucial role in promoting equal opportunity and combating discrimination in the workplace.
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GRUBHUB PERKS GIVE YOU DEALS ON THE FOOD YOU LOVE
THE KIND OF DEALS THAT MAKE YOU B O O G I E
DO DO DO DO TU TU TU TU
DO DO TU TUG UT UTURUWEUG
DOVRIOGJGHIJRG
DO
DO
DO
GET THE FOOD YOU LOVE i cant even finish it
Answer:
Grubhub perks give you deals on the food you love.
The kind of deals that make you boogie.
[music]
Purple guy: *bites borger and dances*
Sushi guys: *appear and eat the sushi*
Sallad girl: *eats salad and stands up*
Milkshake girl: *does the splits and sluprs milkshake*
Everyone: *dances all at once*
camera moves to purple guy and shows him dancing
[music stops] camera changes to house and kid looks at purple guy
purple guy: points at kid
kid: says huh and blinks
[music starts again]
Kid: *dancing*
Get the food you love with perks *doorbell rings* from Grubhub!
Grub what you love
Explanation:
An important part of the customer service responsibilities of a cable company is the speed with which service troubles can be repaired. Historically, the data show that the likelihood is .75 that troubles in a residential service can be repaired on the same day. For the first five troubles reported on a given day, find the mean number of troubles repaired on the same day. 3.75 2.50 1.94 .94
The mean number of troubles repaired on the same day for the first five reported troubles is 1.94, based on a historical probability of 0.75 for same-day repairs.
To calculate the mean number of troubles repaired on the same day, we need to multiply the probability of a trouble being repaired on the same day (0.75) by the total number of troubles reported (5) and then divide it by the total number of reported troubles. Mathematically, this can be expressed as:
Mean = (Probability of same-day repair) * (Total number of reported troubles) / (Total number of reported troubles)
Mean = (0.75 * 5) / 5 = 0.75
Therefore, the mean number of troubles repaired on the same day is 0.75, which can be rounded to 1.94.
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