Based on the information provided, the correct answer is: B. MARR > ROR > COC In this sequence, the Minimum Acceptable Rate of Return (MARR) is greater than the Rate of Return (ROR), which in turn is greater than the Cost of Capital (COC).
The correct answer is B. MARR > ROR > COC. MARR (Minimum Acceptable Rate of Return) is the minimum rate of return that an investor requires to make an investment. ROR (Rate of Return) is the actual rate of return earned on an investment. COC (Cost of Capital) is the cost of obtaining funds to invest in a project.
The order in which these terms should be considered is MARR first, as it is the minimum required return, followed by ROR, which is the actual return earned, and then COC, which is the cost of obtaining funds to invest.
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Q2: In 2006 the government of Philippines was running a large budget deficit. To correct this, it broadened its value added tax (VAT) base, increased the VAT rate and sought to reduce tax evasion (). It also cut back on government spending plans, including cancelling some road projects and some measures to reduce poverty (i!). These measures did reduce the budget deficit from 3% of GDP in 2006 to 1% of GDP in 2008. The government, however, was not successful in raising its economic growth rate from 4%. It was considering using both monetary and supply side policies in a bid to increase economic growth. Government spending in the Philippines usually forms more than a tenth of the country's aggregate demand but the government is keen to increase the proportion of investment in the country's aggregate demand. The table below shows some of the components of the Philippines' aggregate demand in 2008: Consumption 72% Exports 49% Government spending 12%
Imports 51% a. What is meant by a reduction in the budget deficit? b. What type of tax is value added tax? c. What impact will a cut in government spending have on aggregate demand? d. What percentage contribution did investment make to aggregate demand in 2008. e. Did the Philippines have a trade deficit or trade surplus in 2008? Explain your answer?
The government is either spending less, raising more revenue, or both, resulting in a smaller shortfall between what they spend and what they collect. Value Added Tax (VAT) is an indirect tax applied to the sale of goods and services. It is a consumption tax levied at each stage of production and distribution based on the value added at each stage. Reduced spending on projects and initiatives may lead to lower demand for goods and services, which can have a negative impact on overall economic activity. Investment made an 18% contribution to aggregate demand in 2008. This means that the country imported more goods and services than it exported, resulting in a negative net trade balance.
a. A reduction in the budget deficit means that the gap between government expenditures and government revenues has decreased. In other words, the government is either spending less, raising more revenue, or both, resulting in a smaller shortfall between what they spend and what they collect.
b. Value Added Tax (VAT) is an indirect tax applied to the sale of goods and services. It is a consumption tax levied at each stage of production and distribution based on the value added at each stage.
c. A cut in government spending will likely result in a decrease in aggregate demand, as government spending is a component of aggregate demand. Reduced spending on projects and initiatives may lead to lower demand for goods and services, which can have a negative impact on overall economic activity.
d. The percentage contribution of investment to aggregate demand in 2008 can be calculated by subtracting the other components from 100%. In this case, 100% - (72% + 49% + 12% - 51%) = 18%. Therefore, investment made an 18% contribution to aggregate demand in 2008.
e. To determine if the Philippines had a trade deficit or trade surplus in 2008, compare the value of exports and imports. In this case, exports were 49% while imports were 51%. Since imports exceed exports, the Philippines had a trade deficit in 2008. This means that the country imported more goods and services than it exported, resulting in a negative net trade balance.
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Jamal sells to Harrison one-half of a partnership capital interest that totals $100,000 for $70,000. Harrison's capital account in the partnership should be credited for $70,000. True or false.
True When a partner sells a part of their capital interest in a partnership, the buyer assumes the selling partner's capital interest and capital account in the partnership.
In finance and accounting, interest refers to the cost of borrowing money, typically expressed as a percentage rate over a period of time. It can also refer to the return earned on an investment or savings account. In the context of the given statement, "partnership capital interest" refers to the ownership stake of a partner in a partnership, and the transaction involves the sale of one-half of that ownership stake from one partner to another.
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Week 3 Discussion Forum Required: Read the following questions and post your answer. Then post your response to at least two of your classmates. 1. Discuss the benefits and limitations of a business u
The benefits of a business unit include increased efficiency, increased specialization, better control over costs and revenues, improved communication, and better accountability.
When a business is divided into smaller units, it allows employees to focus on specific tasks and responsibilities, which can increase productivity and quality. Additionally, by dividing the company into smaller units, it can be easier to control costs and revenues, as each unit can be responsible for its own financial performance. Business unit structure are largely centered around increased efficiency and productivity. By dividing the company into smaller units, employees can focus on specific tasks and responsibilities, which can lead to higher quality work and faster turnaround times. Additionally, by allowing each unit to be responsible for its own financial performance, it can be easier to control costs and revenues.
However, there are also limitations to having a business unit structure. One major limitation is that it can create silos and hinder collaboration between different units. This can lead to a lack of communication and a lack of understanding of how different units interact with each other. Additionally, it can be difficult to implement company-wide strategies and initiatives, as each unit may have its own goals and priorities. By dividing the company into smaller units, it can create silos and make it difficult for different units to collaborate and communicate effectively. This can lead to a lack of understanding of how different units interact with each other, which can hinder overall performance.
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the core revenue recognition principle stipulates that companies recognize revenue when goods or services are multiple choice question. transferred to customers realizable contracted for in an explicit contract
Answer: (A) Are transferred to customers.
What is core Revenue Recognition principle? Revenue recognition is a generally accepted accounting principle (GAAP) that identifies the specific conditions in which revenue is recognized and determines how to account for it. The core revenue recognition principle stipulates that companies recognize revenue for goods and services when they are transferred to customers.
This means that revenue should be recognized only when the company has completed its performance obligations under an explicit contract and the customer has accepted the goods or services. The revenue should also be measurable and collectible, which means that the company should reasonably expect to receive payment for the goods or services provided.
Therefore, the correct answer to the multiple choice question is that revenue should be recognized when goods or services are transferred to customers.
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assume that in the short run a firm is producing 500 units of output, has average total costs of $300, and has average variable costs of $220. the firm's total variable costs are.
The firm's total variable costs for producing 500 units of output in the short run are $110,000.
In the short run, a firm's total variable costs are the product of the average variable cost and the quantity produced. From the information provided, we know that the firm is producing 500 units of output and has an average variable cost of $220. Therefore, the firm's total variable costs can be calculated as follows:
Total variable costs = Average variable cost × Quantity produced
Total variable costs = $220 × 500
Total variable costs = $110,000
Therefore, the firm's total variable costs for producing 500 units of output in the short run are $110,000. These costs will vary depending on the level of output produced, as the average variable cost may change as production levels change.
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How a person understands and acts in an organization depends uponA. How the manager treats the personB. The rewards provided by the organizationC. How the person sees and thinks about the situationD. The person's background education and trainingE. Peer pressure from the work group
How a person understands and acts in an organization depends upon several factors.
These factors include:
A. How the manager treats the person: A supportive and respectful manager can positively influence an individual's understanding and actions within the organization.
B. The rewards provided by the organization: Incentives and rewards can motivate employees to perform better and engage more actively in the organization.
C. How the person sees and thinks about the situation: An individual's perception of their role and the organizational environment can significantly impact their behavior and actions.
D. The person's background, education, and training: A person's previous experiences, education, and training can shape their understanding of the organization and how they act within it.
E. Peer pressure from the work group: The social dynamics within the work group can also affect how a person understands and acts in an organization.
In conclusion, a person's understanding and actions in an organization depend on a combination of factors, including management style, rewards, personal perception, background, and peer pressure.
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Which of the following statements is true?
-Some Factors in a make-or-buy decision are not easily quantified.
-A make-or-buy decision is almost always a simple, one-time choice.
-A make-or-buy decision should be based on lowest cost alone
- A company that is vertically integrated relies on outside suppliers for many critical components in the value chain
The following statement, "Some factors in a make-or-buy decision are not easily quantified" is True. option 1 is correct.
A make-or-buy decision is a strategic decision that a company makes regarding whether to produce goods or services in-house (make) or purchase them from an external supplier (buy). This decision is often complex and requires careful analysis of various factors, such as cost, quality, capacity, and availability.
One of the challenges in a make-or-buy decision is that some factors are not easily quantified. For example, a company may need to consider the potential impact of outsourcing on its reputation, intellectual property, and ability to innovate. Other factors that may be difficult to quantify include the impact on employee morale, the company's culture, and the level of control over the production process.
The statement that "a make-or-buy decision is almost always a simple, one-time choice" is false. A make-or-buy decision is often a complex and ongoing process, as the factors that influence the decision may change over time.
The statement that "a make-or-buy decision should be based on lowest cost alone" is also false. While cost is an important factor in a make-or-buy decision, other factors such as quality, capacity, and availability should also be considered.
Finally, the statement that "a company that is vertically integrated relies on outside suppliers for many critical components in the value chain" is false. A vertically integrated company produces goods or services across different stages of the value chain, from raw materials to finished products, and typically relies on its own internal resources rather than external suppliers.
Therefore, option 1 is true.
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What are the limits on dynamic dashboards?
Dynamic dashboards have several limits that users should be aware of. First, the amount of data that can be displayed on a dynamic dashboard is limited by the processing power of the computer or device used to access it.
Second, the number of components that can be included in a dynamic dashboard is also limited by the processing power of the device, as well as the dashboard software used. Third, the level of interactivity and customization that can be achieved on a dynamic dashboard is limited by the software used to create it. Finally, dynamic dashboards may not be compatible with all data sources, which could limit their usefulness for some users.To summarize, the limits on dynamic dashboards include refresh rate, dashboard lters, component limit, concurrent user limit, scheduled emails, and running user context.
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https://brainly.com/question/30410887#SPJ11Suppose you could borrow money to buy a new machine for your business which costs $4,000. You have estimated that this new machine will increase your revenues by $4,500. If the interest rate is 12 percent, should you borrow the money to buy this machine? Why or why not?
Yes, it would be a good idea to borrow the money to buy the new machine for your business. This is because the estimated increase in revenue from the machine is higher than the cost of the machine itself.
Even with the 12 percent interest rate, the additional revenue generated by the machine will cover the cost of borrowing the money and still result in a net profit. Therefore, borrowing the money to invest in the new machine will ultimately benefit your business.
The machine costs $4,000 and is expected to increase your revenues by $4,500. With a 12 percent interest rate, the interest on the loan would be $480 ($4,000 x 0.12). The net gain after paying back the loan and interest would be $20 ($4,500 - $4,000 - $480). Since there is a positive net gain, it would be beneficial to borrow the money and invest in the new machine.
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67Q. When a prospective member enters the club for the first time, the employee should politely ask them if they would like to go on a tour.
When a prospective member enters a club for the first time, it is important for employees to make a good first impression and provide a positive experience. One way to do this is by politely asking the prospective member if they would like to go on a tour of the club.
Offering a tour allows the prospective member to familiarize themselves with the club's facilities and amenities, and to ask questions about membership options, pricing, and other important details. It also shows that the club is welcoming and customer-centric, and that the employees are eager to help new members feel comfortable and informed.
By offering a tour, the club can also showcase its unique features and advantages, and highlight the value of membership. This can be an effective way to convert prospective members into actual members, and to establish long-term relationships based on trust, loyalty, and satisfaction.
In summary, offering a tour to a prospective member is a simple yet effective way to make a good first impression, provide a positive experience, and ultimately, increase membership and customer loyalty.
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NOTE- The question seems to be incomplete, The complete question isn't available on the search engine.
using a headhunter / private recruitment firm to attract and recruit new employees for a position tends to be more expensive, and is often used for those in higher level positions. group of answer choices true false
This statement "using a headhunter / private recruitment firm to attract and recruit new employees for a position tends to be more expensive, and is often used for those in higher level positions" is true because using a head hunter or private recruitment firm can be more expensive than using in-house recruitment methods.
Head hunters and private recruitment firms often specialize in recruiting for higher level positions, such as executive or management roles, which can require more specialized knowledge and experience to identify and attract the right candidates.
However, there are also situations where using a headhunter or private recruitment firm can be cost-effective, particularly when the company is seeking to fill a critical role that requires a specific skill set or experience level that is difficult to find through traditional recruitment methods.
Additionally, headhunters and private recruitment firms can often save companies time and effort by handling the entire recruitment process, from sourcing candidates to conducting initial interviews and background checks, which can free up in-house HR staff to focus on other tasks.
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as a small business owner, you might use a single affiliate or distributor to promote your products and services online. what is the potential risk of working with only a single affiliate?
The potential risk of working with only a single affiliate or distributor: you might experience limited market exposure, reduced sales, and potential revenue loss.
By relying on one affiliate, you are putting all your marketing efforts in a single channel, which could lead to a lack of diversification. If that affiliate underperforms or encounters issues, it can negatively impact your business growth and online presence.
It is advisable to work with multiple affiliates or distributors to minimize these risks, increase market exposure, and boost your chances of generating more sales and revenue. By doing so, you can better distribute your marketing efforts and reduce the dependency on a single affiliate's performance.
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Consider a Hecksher-Ohlin world economy with two countries (China and the USA), two goods/services being produced (manufactured goods and financial services), and two factors of production (high and low skilled labour). Suppose the financial sector uses high-skilled labour relatively more intensively and the ratio of the number of high to low skilled workers is higher in the US than in China. If the world moves from autarky to free trade, we would expect to see that
workers in every sector in both countries would be better off.
workers in the US manufacturing sector and the Chinese financial sector would be worse off.
workers in the US financial sector and the Chinese manufacturing sector would be worse off.
in both countries, workers in the financial sector would be better off and those in the manufacturing sector would be worse off.
The demand for high-skilled labor in the US and low-skilled labor in China would increase while the demand for low-skilled labor in the US.
In a Heckscher-Ohlin world economy with two countries (China and the USA), two goods/services (manufactured goods and financial services), and two factors of production (high and low skilled labor), if the world moves from autarky to free trade, we would expect to see that workers in the US financial sector and the Chinese manufacturing sector would be worse off.
This is because, under free trade, the US would specialize in financial services, which uses high-skilled labor more intensively, and China would specialize in manufactured goods, which rely more on low-skilled labor.
As a result, the demand for high-skilled labor in the US and low-skilled labor in China would increase, leading to higher wages for these workers, while the demand for low-skilled labor in the US and high-skilled labor in China would decrease, causing their wages to fall.
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The retailer Persistent Corp. has budgeted its activity for June according to the following information: Sales at $650,000, all for cash. Merchandise inventory on May 31 was $250,000. The cash balance at June 1 was $25,000. Selling and administrative expenses are budgeted at $60,000 for June and are paid in cash. Budgeted depreciation expense (not part of selling and administrative expenses) for June is $35,000. The planned merchandise inventory on June 30 is $270,000. The cost of goods sold is 75% of the sales price. All purchases are paid for in cash. There is no interest expense or income tax expense. The budgeted cash disbursements for June are:
To calculate the budgeted cash disbursements for June, we'll consider the following factors: cost of goods sold, merchandise inventory, selling and administrative expenses, and depreciation expense. Here is a step-by-step explanation:
1. Calculate the cost of goods sold (COGS): Sales × COGS percentage
$650,000 × 75% = $487,500
2. Calculate the required purchases for June: (Ending merchandise inventory - Beginning merchandise inventory) + COGS
($270,000 - $250,000) + $487,500 = $20,000 + $487,500 = $507,500
3. Determine cash payments for purchases: Since all purchases are paid in cash, this amount is equal to the required purchases for June.
Cash payments for purchases = $507,500
4. Calculate total cash disbursements: Add cash payments for purchases, selling and administrative expenses, and depreciation expense.
$507,500 (purchases) + $60,000 (selling and administrative expenses) + $35,000 (depreciation expense) = $602,500
So, the budgeted cash disbursements for June are $602,500.
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according to the graph, the situation of this economy after the supply shock can be called: answer unselected economic growth unselected stagflation unselected excess supply
The situation of this economy after the supply shock can be called unselected stagflation.
This is because stagflation is characterized by a combination of stagnant economic growth, high unemployment, and high inflation, which can occur as a result of a negative supply shock.According to the graph, the situation of this economy after the supply shock can be called stagflation. Stagflation refers to a combination of stagnant economic growth and high inflation, which can occur when there is a supply shock that disrupts the supply chain and causes prices to rise. This is reflected in the graph by a decrease in output (indicating stagnant growth) and an increase in the price level (indicating inflation). Additionally, excess supply is not a relevant term in this situation, as there is actually a decrease in supply due to the supply shock.
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As a type of countertrade,______________ requires the seller to agree to supply technology or equipment to construct a facility and receives payment in the form of goods produced by the facility.
Counterpurchase is a type of countertrade that requires the seller to agree to supply technology or equipment to construct a facility and receives payment in the form of goods produced by the facility.
This type of countertrade is often used to exchange goods and services between two countries, or to facilitate trade in a country where a lack of foreign currency or hard currency makes it difficult to use traditional methods of payment. It can also be used when one or both parties have difficulty obtaining credit for traditional trade transactions.
Counterpurchase can be used to facilitate trade between countries with different economic systems, such as between a developed and an emerging economy. The seller of the technology or equipment is typically a developed country, while the buyer is typically an emerging economy.
The seller typically provides the technology or equipment at a discount in exchange for the buyer’s promise to use the facility to produce goods that are then sold to the seller. The seller receives the goods produced by the facility as payment for the technology or equipment.
Counterpurchase can be a beneficial tool for both parties in the transaction. The buyer is able to obtain needed technology or equipment without the use of foreign currency or hard currency, while the seller is able to receive payment in the form of goods that may be sold for additional profit. It is also a way to develop and expand an economy in an emerging market.
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Nosker Inc. had the following transactions pertaining to investments in common stock.
Jan. 1 Purchased 2,500 shares of Escalante Corporation common stock (5%) for $152,000 cash
July 1 Received a cash dividend of $3 per share.
Dec. 1 Sold 500 shares of Escalante Corporation common stock for $32,000 cash.
Dec. 31 Received a cash dividend of $3 per share.
Instructions
Journalize the transactions.
These transactions demonstrate how companies can use investments in common stock to generate income and increase the value of their portfolio.
The journal entries for the transactions related to Nosker Inc.'s investments in common stock are as follows:
Jan. 1:
Investment in Escalante Corporation common stock - $152,000
Cash - $152,000
July 1:
Cash dividend received - $3,000
Dividend income - $3,000
Dec. 1:
Cash - $32,000
Investment in Escalante Corporation common stock - $28,500
Gain on sale of investment in common stock - $3,500
Dec. 31:
Cash dividend received - $3,000
Dividend income - $3,000
In the first transaction, Nosker Inc. purchased 2,500 shares of Escalante Corporation common stock for $152,000 cash. This investment is classified as available-for-sale securities. The second and fourth transactions relate to the receipt of cash dividends of $3 per share, resulting in $3,000 of dividend income. The third transaction involves the sale of 500 shares of Escalante Corporation common stock for $32,000 cash. The investment was sold at a gain of $3,500, which is recorded in the gain on sale of investment in common stock account.
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How does one assess the morality of an action according to utilitarianism?
According to utilitarianism, one assesses the morality of an action by considering its overall consequences, specifically the extent to which it maximizes utility or happiness for the greatest number of people.
This ethical theory, primarily associated with philosophers Jeremy Bentham and John Stuart Mill, focuses on maximizing overall well-being and minimizing pain or suffering. To assess an action's morality, a utilitarian first identifies the possible outcomes and evaluates the resulting levels of happiness or unhappiness each would generate. The moral value of the action is determined by the net utility, which is calculated by subtracting the total pain or negative consequences from the total pleasure or positive consequences.
In utilitarianism, an action is morally right if it leads to the greatest overall happiness for most people. Actions that produce less overall happiness, or cause unnecessary suffering, are considered morally wrong. This approach requires impartiality, as one must consider the well-being of all affected parties, rather than favoring a particular individual or group.
However, utilitarianism does not provide clear guidance on how to weigh competing interests or how to measure happiness. Additionally, critics argue that it can justify morally questionable actions if they lead to greater overall happiness. Despite these challenges, utilitarianism remains a significant ethical framework for assessing the morality of actions based on their consequences and their impact on overall well-being.
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According to the long run theory of the exchange rate developedin class, exchange rate changes over the long run shouldreflect:a. differences in money supply growthb. differences in velocityc. differences in inflationd. differences in income growthe. all of the above
According to the long run theory of the exchange rate, changes in the exchange rate over the long run should reflect differences in inflation. Thus, option C is correct.
Long run theory, known as the Purchasing Power Parity (PPP) theory, posits that the exchange rate between two currencies adjusts to equalize the purchasing power of the two currencies. In other words, the exchange rate reflects the relative price levels in each country. When there is a difference in inflation between two countries, the country with the higher inflation rate will see its currency depreciate relative to the other country's currency in the long run. This depreciation occurs because higher inflation leads to a decrease in the purchasing power of that currency. As a result, the exchange rate will adjust to ensure that goods and services in both countries maintain the same relative price.
In summary, according to the long run theory of the exchange rate, exchange rate changes over the long run should primarily reflect differences in inflation between countries. The other factors mentioned (differences in money supply growth, differences in velocity, and differences in income growth) may have some short-term impacts on exchange rates, but in the long run, inflation is the key determinant.
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project l costs $70,000, its expected cash inflows are $13,000 per year for 11 years, and its wacc is 11%. what is the project's npv? round your answer to the nearest cent. do not round your intermediate calculations.
The NPV of the project is -$59,555.76. This indicates that the project is not profitable and should not be pursued.
To calculate the NPV of the project, we need to discount the expected cash inflows back to their present value using the project's WACC of 11%.
First, we need to calculate the present value factor using the formula:
PV factor = 1 / (1 + WACC)^n
Where WACC = 11% and n = number of years
PV factor = 1 / (1 + 0.11)^11
PV factor = 0.3505
Next, we need to multiply the expected cash inflows by the PV factor for each year and sum them up to get the present value of the cash inflows.
PV of cash inflows = ($13,000 x 0.3505) + ($13,000 x 0.3505^2) + ... + ($13,000 x 0.3505^11)
PV of cash inflows = $10,444.24
Finally, we can calculate the NPV by subtracting the initial investment of $70,000 from the present value of the cash inflows.
NPV = PV of cash inflows - Initial investment
NPV = $10,444.24 - $70,000
NPV = -$59,555.76
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you are trying to determine whether to accept project a or project b. these projects are mutually exclusive. as part of your analysis, you should compute the incremental irr by determining the:
To compare mutually exclusive projects A and B, it is important to calculate the incremental IRR (Internal Rate of Return). The incremental IRR is the difference between the IRR of Project A and the IRR of Project B.
To compute the incremental IRR, the cash inflows and outflows of both projects should be compared at different discount rates. The discount rate at which the net present value of the cash inflows and outflows of both projects is zero is the IRR.
The IRR of Project A and the IRR of Project B can then be compared, and the incremental IRR can be calculated as the difference between the two.
If the incremental IRR is positive, then Project A should be selected. If the incremental IRR is negative, then Project B should be selected. If the incremental IRR is zero, then the projects are considered equally desirable, and other factors such as project size and duration may be considered.
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Company A has inventory out and on concisnment and held for sale by
comp[any b which company will include the goods of company
inventory?
Company A will include the goods of company inventory, regardless of whether they are out, on consignment, or held for sale by Company B.
Company that will include the goods in their inventory when Company A has goods out on consignment held for sale by Company B can be known from:
1. Inventory
2. Consignment
3. Held for sale
In this scenario, Company A will include the goods in their inventory. This is because, under consignment arrangements, the consignor (Company A) retains ownership of the goods until they are sold. Company B, as the consignee, only acts as an agent to sell the goods on behalf of Company A. Company A is the owner of the inventory and is responsible for reporting it on their financial statements, even if it is being held by another company. Since Company A still owns the goods held for sale, they must include these goods in their inventory.
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To successfully empower employees to achieve organizational goals, leaders must become flexible resources who assume numerous roles as coaches and facilitators, depending upon the needs of their employees. True or False
True. To successfully empower employees to achieve organizational goals, leaders must indeed become flexible resources who assume numerous roles as coaches and facilitators, depending upon the needs of their employees.
This approach allows for employee growth, adaptability, and alignment with the organization's objectives.
Flexible resources refer to resources that can be easily adapted or changed to meet different needs or demands. In business, flexible resources can include human resources, production processes, technology, and physical assets.
For example, in manufacturing, flexible resources might include production lines that can be quickly reconfigured to produce different products, or machinery that can be easily adapted to accommodate changes in production requirements. In service industries, flexible resources might include employees with a wide range of skills and abilities, or technology that can be used to streamline processes and adapt to changing customer needs.
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Becker Architecture Firm Selected Financial Information December 31, 2019 Current Assets Current Liabilities Long- Term Assets Long- Term Liabilities Total Revenues Total Expenses $70,000 35,000 11,000 62,000 54,000 32,000 Which of the following statements is an accurate interpretation of the current ratio of the Becker Architecture Firm? (Round your answer to two decimal places.) OA. O B. The company has $2.00 of current assets for every $1.00 of current liabilities The company has $0.79 of current assets for every $1.00 of liabilities The company has $0.56 of current assets for every $1.00 of current liabilities The company has $0.18 of current assets for every $1.00 of liabilities C. O D.
Answer: (A) The company has $2.00 of current assets for every $1.00 of current liabilities.
Explanation
We need to calculate value of Current Ratio using following mentioned formula:
Current Ratio = Current Assets / Current Liabilities
Given, Current assets= $70,000
Current liabilities= $35,000
Hence, Current ratio is-
Current Ratio = $70,000 / $35,000
Current Ratio = 2:1
Therefore, an accurate interpretation of the current ratio of the Becker Architecture Firm is: The company has $2.00 of current assets for every $1.00 of current liabilities.
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1. kelli is starting her new business in the mall in the coming weeks. she has finished her business plan and is now looking at planning her startup. her business consists of a clothing store for young women who purchase medium-quality fashionable school and work clothes. she sees customer service as her strong point because she is currently in the same age group and is very clothes conscious herself. her competitors, also located in the mall, are all older women who cater to older women who purchase fashion-conscious clothes. kelli has no business experience, yet is willing to invest her entire inheritance in her new business venture. she is single, 21, and has no current debts. she has an opportunity to rent a space in the local mall if she signs the agreement next week. kelli is excited about being able to pick the clothes on her racks herself and then sell those clothes to young women who would look fashionable in them. in scenario 7-1 above, which of the following legal forms of businesses should kelli choose if she wants to use the irs form 1040 c for income tax reporting?
Based on the scenario provided, Kelli should choose to start a sole proprietorship as her legal form of business if she wants to use IRS Form 1040 C for income tax reporting.
As a sole proprietor, Kelli will have complete control over her business and its operations and will be responsible for all profits and losses. Additionally, she can use her personal tax return (Form 1040) to report her business income and expenses using the Schedule C attachment. This option is suitable for small businesses like Kelli's, with no partners or shareholders.
The IRS Form 1040-C is used by foreign individuals who have received income from sources within the United States and need to file a tax return. It is not related to the legal form of business Kelli should choose for her clothing store.
Based on the information provided, Kelli is starting a new business in the mall selling medium-quality fashionable clothes for young women. She has no business experience but is willing to invest her inheritance in the venture. She is single, 21, and has no debts. Kelli has an opportunity to rent a space in the mall to open her store.
When choosing a legal form of business, Kelli should consider factors such as liability protection, taxation, and management structure. Given that Kelli is starting the business on her own and has no partners, she may want to consider a sole proprietorship or a limited liability company (LLC).
A sole proprietorship is the simplest and most common legal form of business. It offers no liability protection but is easy to set up and requires minimal paperwork. All profits and losses are reported on Kelli's personal tax return using Schedule C of Form 1040.
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a company has earnings per share of $10.30. its dividend per share is $.85 and its market price per share is $135.96. its price-earnings ratio equals:
The price-earnings ratio (P/E ratio) is a common valuation ratio used by investors to assess the relative value of a company's stock.
It is calculated by dividing the market price per share by the earnings per share (EPS). In this case, the given EPS is $10.30, the dividend per share is $.85, and the market price per share is $135.96.
To calculate the P/E ratio, we divide the market price per share by the earnings per share:
P/E ratio = Market price per share / Earnings per share
= $135.96 / $10.30
= 13.2
Therefore, the company's P/E ratio is 13.2. This indicates that investors are willing to pay $13.20 for every $1 of earnings generated by the company. The P/E ratio can be used to compare the relative value of the company's stock to other companies in the same industry or to the overall market. A higher P/E ratio generally indicates that investors have higher expectations for the company's future growth potential.
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You may need to use the appropriate appendix table to answer this question. Males in the Netherlands are the tallest, on average, in the world with an average height of 183 centimeters (cm). Assume that the height of men in the Netherlands is normally distributed with a mean of 183 cm and standard deviation of 10.5 cm. (a) What is the probability that a Dutch male is shorter than 177 cm? (Round your answer to four decimal places.) (b) What is the probability that a Dutch male is taller than 194 cm? (Round your answer to four decimal places.) (c) What is the probability that a Dutch male is between 174 and 192 cm? (Round your answer to four decimal places.) (d) out of a random sample of 1,000 Dutch men, how many would we expect to be taller than 188 cm? (Round your answer to the nearest integer.)
The probability that a Dutch male is shorter than 177 cm is approximately 0.2843; the probability that a Dutch male is taller than 194 cm is approximately 0.8508.
To solve these probability questions, we'll use the standard normal distribution, also known as the Z-distribution, since we have the mean and standard deviation of the population. We can standardize the values and use the standard normal distribution table or a statistical calculator to find the probabilities.
(a) Probability that a Dutch male is shorter than 177 cm:
To calculate this probability, we need to find the area to the left of 177 cm on the standard normal distribution curve.
First, we need to standardize the value 177 cm using the formula:
[tex]Z = (X - \mu) / \sigma[/tex]
where
X is the value, [tex]\mu[/tex] is the mean, and [tex]\sigma[/tex] is the standard deviation.[tex]Z = (177 - 183) / 10.5\\Z = -0.571[/tex]
Using the standard normal distribution table or a statistical calculator, we can find the corresponding probability. The table gives us the probability associated with the Z-value.
Looking up the Z-value [tex]-0.571[/tex] in the standard normal distribution table, we find that the probability is approximately [tex]0.2843.[/tex]
Therefore, the probability that a Dutch male is shorter than 177 cm is approximately [tex]0.2843.[/tex]
(b) Probability that a Dutch male is taller than 194 cm:
To calculate this probability, we need to find the area to the right of 194 cm on the standard normal distribution curve.
First, we need to standardize the value 194 cm using the formula:
[tex]Z = (X - \mu / \sigma[/tex]
[tex]Z = (194 - 183) / 10.5\\Z = 1.048[/tex]
Using the standard normal distribution table or a statistical calculator, we can find the corresponding probability. The table gives us the probability associated with the Z-value.
Looking up the Z-value [tex]1.048[/tex] in the standard normal distribution table, we find that the probability is approximately [tex]0.8508[/tex].
Therefore, the probability that a Dutch male is taller than 194 cm is approximately 0.8508.
(c) Probability that a Dutch male is between 174 and 192 cm:
To calculate this probability, we need to find the area between 174 cm and 192 cm on the standard normal distribution curve.
First, we need to standardize the values using the formula:
[tex]Z1 = (X1 - \mu) / \sigma\\Z2 = (X2 - \mu) / \sigma[/tex]
For 174 cm:
[tex]Z1 = (174 - 183) / 10.5\\Z1 = -0.857[/tex]
For 192 cm:
[tex]Z2 = (192 - 183) / 10.5\\Z2 = 0.857[/tex]
Using the standard normal distribution table or a statistical calculator, we can find the corresponding probabilities for Z1 and Z2. The table gives us the probabilities associated with the Z-values.
Looking up the Z-value [tex]-0.857[/tex] in the standard normal distribution table, we find that the probability is approximately [tex]0.1959[/tex].
Looking up the Z-value [tex]0.857[/tex] in the standard normal distribution table, we find that the probability is approximately [tex]0.8038[/tex].
To find the probability between 174 cm and 192 cm, we subtract the smaller probability from the larger probability:
[tex]0.8038 - 0.1959 = 0.6079[/tex]
Therefore, the probability that a Dutch male is between 174 and 192 cm is approximately [tex]0.6079[/tex].
(d) Number of Dutch men expected to be taller than 188 cm in a random sample of [tex]1.000[/tex]:
To find the number of Dutch men expected to be taller than 188 cm in a random sample of [tex]1.000[/tex], we need to calculate the probability and multiply it by the sample size.
The probability that a Dutch male is taller than 188 cm can be found by finding the area to the right of 188 cm on the standard normal distribution curve.
First, we need to standardize the value 188 cm using the formula:
[tex]Z = (X - \mu) / \sigma[/tex]
[tex]Z = (188 - 183) / 10.5\\Z = 0.476[/tex]
Using the standard normal distribution table or a statistical calculator, we can find the corresponding probability. The table gives us the probability associated with the Z-value.
Looking up the Z-value 0.476 in the standard normal distribution table, we find that the probability is approximately [tex]0.6808[/tex].
Therefore, the probability that a Dutch male is taller than 188 cm is approximately [tex]0.6808[/tex].
To find the number of Dutch men expected to be taller than 188 cm in a random sample of 1,000, we multiply the probability by the sample size:
Number of men = Probability × Sample size
[tex]= 0.6808 \times 1000\\= 680.8[/tex]
Rounding to the nearest integer, we would expect approximately 681 Dutch men out of the random sample of [tex]1.000[/tex] to be taller than 188 cm.
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On january 1 of this year, kona corporation sold bonds with a face value of $1,400,000 and a coupon rate of 8 percent. the bonds mature in four years and pay interest semiannually every june 30 and december 31. kona uses the straight-line amortization method and also uses a premium account. assume an annual market rate of interest of 6 percent. Required:
Prepare the journal entry to record the issuance of the bonds.
1. The journal entry to record the issuance of the bonds is shown in the attached image below.
2. The journal entry to record the interest payment is shown in the attached image below.
3. The bonds payable amount will Victor report on its June 30 balance sheet would be $ 1485505.
A journal entry is a record of a financial transaction in a company's accounting system. It is formatted in a specified way and includes the transaction date, the accounts involved, the sums debited or credited, and a brief description or explanation of the transaction.
The double-entry bookkeeping method is built on journal entries, which guarantee that the accounting formula (Assets = Liabilities + Equity) is accurate and balanced.
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The complete question might be:
On January 1 of this year, Victor Corporation sold bonds with a face value of $1,400,000 and a coupon rate of 8 percent. The bonds mature in four years and pay interest semiannually every June 30 and December 31. Victor uses the straight-line amortization method and also uses a premium account. Assume an annual market rate of interest of 6 percent. (FV of $1, PV of $1, FVA of $1, and PVA of $1) (Use the appropriate factor(s) from the tables provided. Round your final answers to whole dollars.)
Required:
1. Prepare the journal entry to record the issuance of the bonds. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
2. Prepare the journal entry to record the interest payment on June 30 of this year. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
3. What bonds payable amount will Victor report on its June 30 balance sheet?
f penelope, a monopolist, is producing a quantity where mc > mr, then profit: is maximized. is maximized only if mc
If Penelope, a monopolist, is producing a quantity where marginal cost (MC) is greater than marginal revenue (MR), then her profit is not maximized.
In fact, her profit will be maximized at the point where MC is equal to MR. This is because when MC is less than MR, she can increase her profit by producing more units, and when MC is greater than MR, she can increase her profit by producing fewer units. However, when MC equals MR, she is producing the exact amount that will bring her the highest possible profit. Therefore, it is important for Penelope to constantly adjust her production levels to ensure that MC equals MR and her profit is maximized.
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Enviro Company issues 11.00%, 10-year bonds with a par value of $310,000 and semiannual interest payments. On the issue date, the annual market rate for these bonds is 8.00%, which implies a selling price of 124 7/8. The straight-line method is used to allocate interest expense.
1. Using the implied selling price of 124 7/8. what are the issuer’s cash proceeds from issuance of these bonds?
2. What total amount of bond interest expense will be recognized over the life of these bonds?
3. What is the amount of bond interest expense recorded on the first interest payment date?
To calculate the issuer's cash proceeds from the issuance of these bonds, we need to multiply the par value of the bonds by the selling price percentage in decimal form:
Selling price = 124 7/8 = 124.875% or 1.24875
Cash proceeds = Par value x Selling price
Cash proceeds = $310,000 x 1.24875
Cash proceeds = $387,187.50
Therefore, the issuer's cash proceeds from the issuance of these bonds are $387,187.50.
The total amount of bond interest expense that will be recognized over the life of these bonds is calculated as follows:
Interest expense per year = (Par value x Annual coupon rate)
Interest expense per year = ($310,000 x 11.00%) = $34,100
The bonds have a 10-year term, and interest is paid semiannually. Therefore, the total number of interest payment periods is 20 (2 payments per year x 10 years).
Using the straight-line method to allocate interest expense, the total amount of bond interest expense over the life of the bonds is calculated as follows:
Total bond interest expense = (Interest expense per year / Number of interest payment periods) x Number of periods remaining
Total bond interest expense = ($34,100 / 20) x 20
Total bond interest expense = $34,100
Therefore, the total amount of bond interest expense that will be recognized over the life of these bonds is $34,100.
The first interest payment date will occur six months after the issuance of the bonds. The amount of bond interest expense recorded on the first interest payment date is calculated as follows:
Interest expense for the first interest period = (Carrying value of bonds on issuance date x Market interest rate / 2)
Interest expense for the first interest period = ($387,187.50 x 8.00% / 2)
Interest expense for the first interest period = $15,487.50
Therefore, the amount of bond interest expense recorded on the first interest payment date is $15,487.50.
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