The statement "A factor buys a firm's receivables, and then the firm's customer makes payments directly to the factor" is true.
When a factor buys a firm's receivables, the customer of the firm is then directed to make payments directly to the factor. This process is known as factoring, where a third-party company purchases the outstanding invoices of a business in exchange for cash upfront.
This allows the business to receive immediate payment for their outstanding debts and eliminates the need for them to collect payments from customers themselves. The factor then takes on the responsibility of collecting the payment from the customer and may charge a fee for their services.
Overall, factoring can be a beneficial option for businesses looking to improve their cash flow and reduce the burden of collecting payments.
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The value of a fund grows according to the accumulation function a(t)=1+0.012. A deposit of Pis made into the fund at time t = 0. The value of the fund at time t = 8 is 2650. Find P. a.1615.85 b. 1556.07 c. 1436.49
d.1496.28 e.1376.71
The deposit P needed to achieve a fund value of 2650 at time t = 8 is approximately $1496.28.
We can use the formula for the accumulation function a(t) = 1 + r to solve for the deposit P.
If a deposit P is made at time t = 0, the value of the fund at time t = 8 will be:
[tex]V = P × a(8) = P × (1 + 0.012)^8[/tex]
We are given that the value of the fund at time t = 8 is 2650. Therefore, we can solve for P:
[tex]P = V / a(8) = 2650 / (1 + 0.012)^8[/tex]
P ≈ 1496.28
Therefore, the deposit P needed to achieve a fund value of 2650 at time t = 8 is approximately $1496.28.
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The initial deposit made into the fund was approximately $2416.49.
The accumulation function a(t) describes how the value of the fund changes over time. It's given as a continuous function a(t) = 1 + 0.012t, where t is measured in years.
Suppose a deposit of P is made into the fund at time t = 0. Then the value of the fund at time t is given by:
V(t) = P*a(t)
We are given that the value of the fund at time t = 8 is 2650. Therefore, we have:
V(8) = P*a(8) = 2650
Substituting the expression for a(t), we get:
P*(1 + 0.012*8) = 2650
Simplifying this equation, we get:
P*1.096 = 2650
Dividing both sides by 1.096, we get:
P = 2650/1.096
Solving for P, we get:
P ≈ 2416.49
None of the given answer options match this result exactly. However, answer option c. 1436.49 is off by a factor of 10, and answer option e. 1376.71 is off by a factor of 100. Answer option a. 1615.85 is closest, but still significantly off from the actual answer. Therefore, the correct answer is not among the given options.
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what determines the monopoly markup? group of answer choices barriers to entry patents elasticity of demand
The monopoly markup is determined by a combination of barriers to entry, patents, and elasticity of demand. Barriers to entry can include high start-up costs, government regulations, and exclusive access to resources.
These barriers limit competition and allow the monopoly to charge a higher price for their product or service. Patents also play a role in determining the monopoly markup as they provide legal protection for a company's unique product or process, preventing competitors from entering the market.
Finally, elasticity of demand refers to the responsiveness of consumers to changes in price. If the product or service has low elasticity of demand, the monopoly has more pricing power and can charge a higher markup.
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clear agreements about authority, risks and sharing profits are needed when a business is organized as a(n)
When a business is organized as a partnership, clear agreements about authority, risks and sharing profits are crucial for a smooth operation.
Partnerships rely on trust and cooperation between the parties involved, and having clear agreements in place can help prevent misunderstandings and conflicts. Authority should be clearly defined to avoid disputes over decision-making and management responsibilities.
Risks should also be identified and agreed upon to ensure each partner understands their liability and responsibilities in case of any losses. Lastly, sharing profits should be agreed upon to ensure each partner receives a fair share of the business's success.
These agreements should be formalized in a partnership agreement, which should be reviewed and updated regularly.
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The need for controls can be illustrated in the way control interacts with planning. One example of this interaction is the fact that planning prescribes ___ behaviors while controls help to maintain
One example of this interaction is the fact that planning prescribes desired behaviors, while controls help to maintain those behaviors.
What is meant by planning?
Planning involves setting objectives, establishing goals, and developing strategies and action plans to achieve those objectives and goals. It outlines the desired behaviors and actions that individuals or organizations should follow in order to achieve their intended outcomes.
Controls, on the other hand, are mechanisms or processes put in place to ensure that actual behaviors and actions align with the planned behaviors. Controls are designed to monitor and regulate performance, identify any deviations from planned behaviors, and take corrective action when necessary. Controls help to maintain the planned behaviors and actions by providing feedback, measuring progress, and identifying and addressing any variances or discrepancies.
In this way, planning provides the blueprint for desired behaviors, while controls serve as a means to monitor and maintain those behaviors, ensuring that they are executed in line with the planned objectives and goals. The interaction between planning and controls is essential in achieving effective performance management and ensuring that an organization is on track towards its intended outcomes.
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When interest rates fall, the present value of fixed future cash flows: a. Increases. b. First falls, then rises. c. Remains the same. d. Decreases. If an investor combines two securities with a correlation of minus 1: a. The risk of the resulting portfolio will always be greater than the risk of either of the component securities. b. It is possible to end up with zero risk. c. The risk of the resulting portfolio will be the average of the risks of the component securities. d. The risk of the resulting portfolio will be equal to the risks of the component securities. Corporation had sales this year of $1,635 million, and sales are expected to grow by 20 percent next year. Next year the company expects cost of goods sold to be 60 percent of sales, selling expenses to be $20 million per month, depreciation to be $5 million per month, and interest expense to be $12 million per month. Taxes are computed at 21 percent. What is Finlay's expected net income next year? a. $590.8 million. b. $269.2 million. c. $165.9 million. d. $487.4 million.
When interest rates fall, the present value of fixed future cash flows increases. The answer is option a.
If an investor combines two securities with a correlation of minus 1, it is possible to end up with zero risk.
To calculate Finlay's expected net income next year, we can use the following formula: Net Income = (Sales - Cost of Goods Sold - Selling Expenses - Depreciation - Interest Expense) x (1 - Tax Rate),Net Income = ($1,635 million x 1.20 - $1,635 million x 0.60 - $20 million x 12 - $5 million x 12 - $12 million x 12) x (1 - 0.21), Net Income = $590.8 million
Therefore, the expected net income for Finlay next year is $590.8 million.
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if the marginal product per dollar spent on capital is less than the marginal product per dollar spent on labor, then in order to minimize costs the firm should use:
If the marginal product per dollar spent on capital is less than the marginal product per dollar spent on labor, then in order to minimize costs the firm should use more labor and less capital.
Marginal product per dollar is the additional output produced by spending one more dollar on a particular factor of production. In this scenario, the marginal product per dollar spent on labor is higher than the marginal product per dollar spent on capital.
This implies that the firm can produce more output by spending an additional dollar on labor as compared to spending the same dollar on capital.
To minimize costs and achieve maximum efficiency, the firm should allocate more resources towards the factor with the higher marginal product per dollar, which in this case is labor.
By using more labor and less capital, the firm can increase its output while minimizing costs. This is because the additional labor will lead to a greater increase in output than the additional capital, while also being relatively cheaper to employ.
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how does each factor influence the effectiveness of punishment
The effectiveness of punishment can be influenced by several factors. Two key factors are the consistency of the punishment and the timing of its implementation. Consistency ensures that the individual understands the consequences of their actions and is more likely to change their behavior.
Influence can play a significant role in the effectiveness of punishment. If the person administering the punishment has a strong and positive relationship with the person being punished, the punishment is likely to have a greater impact. This is because the person being punished may feel more remorseful and motivated to change their behavior if they know they have disappointed someone they care about. On the other hand, if the person administering the punishment is not respected or trusted, the punishment may be seen as unjust or ineffective, and may even result in resentment or retaliation. Additionally, the severity and consistency of punishment can also influence its effectiveness. If the punishment is too lenient, it may not be seen as a deterrent for future bad behavior. Conversely, if the punishment is too severe or inconsistent, it may be seen as unfair and may even push the person being punished towards more extreme behavior. Overall, the influence of relationships, severity, and consistency should be considered when determining the most effective form of punishment for a given situation.
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Each factor can influence the effectiveness of punishment in different ways.
Let me break it down for you step-by-step:
1. Severity of punishment: The harshness or intensity of the punishment can impact its effectiveness. If punishment is too severe, it may not be perceived as fair, and its effectiveness might be reduced. On the other hand, if the punishment is not severe enough, it may not serve as a strong deterrent.
2. Consistency: The consistency of punishment refers to how reliably a punishment is applied. Consistent punishment is more effective because it creates a clear connection between the undesired behavior and its consequences, making it more likely that the individual will avoid repeating the behavior in the future.
3. Immediacy: The time between the undesired behavior and the punishment can also affect its effectiveness. Punishments that occur immediately after the behavior are generally more effective, as they create a clear association between the behavior and its negative consequences.
4. Certainty: Certainty refers to the likelihood that a punishment will be applied when a rule is broken. A higher certainty of punishment is more effective, as it reinforces the idea that undesirable behavior will consistently result in negative consequences.
5. Individual differences: Personal factors, such as an individual's temperament, values, and previous experiences, can also influence the effectiveness of punishment. For example, some people may respond more to punishment than others due to their unique characteristics.
In summary, the effectiveness of punishment can be influenced by several factors, including severity, consistency, immediacy, certainty, and individual differences. Understanding how these factors interact can help in designing and implementing more effective punishment strategies.
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an institution is required to make the financial interests of an investigator funded by the u.s. public health service (phs) publicly accessible if:
An institution is required to make the financial interests of an investigator funded by the U.S. Public Health Service (PHS) publicly accessible if they are involved in PHS-funded research. The aim is to promote objectivity in research by identifying and managing financial conflicts of interest that may arise.
The institution must have a written policy in place that requires investigators to disclose any significant financial interests related to their institutional responsibilities. These disclosures must be made at the time of application for PHS-funded research, annually thereafter, and within 30 days of discovering or acquiring a new financial interest.
If a financial conflict of interest is identified, the institution must develop and implement a management plan to ensure that the research is conducted objectively and the integrity of the research is maintained.
The financial interests of the investigator must also be made publicly accessible through a searchable website or by responding to written requests within five business days.
Overall, the disclosure and management of financial conflicts of interest help to ensure the credibility and transparency of PHS-funded research.
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dabasso is a coffee grower in uganda. the price he charges for local customers is less than the price of coffee that is imported from other countries. dabasso counts on the fact that the ugandan government has placed a(n) on imported coffee because it makes it easier for dabasso to compete. group of answer choices quota exchange control tariff boycott
O out of 0.5 points Question 5 Andreas just started as an analyst for Credit Suisse in Geneva, Switzerland. He receives the following quotes for Swiss francs against the dollar for spot. 1.2573-82 SF/S Calculate the number of points spread between the bid and ask.
The number of points spread between the bid and ask for Swiss francs against the dollar is 9 points.
Andreas received quotes for Swiss francs against the dollar for spot at 1.2573-82 SF/S. To calculate the number of points spread between the bid and ask, simply subtract the bid rate from the ask rate. In this case, the bid rate is 1.2573 and the ask rate is 1.2582. The difference between these two rates is:
1.2582 - 1.2573 = 0.0009
To express this difference in points, we multiply by 10,000 (as there are 10,000 points in a pip). So, the points spread is:
0.0009 * 10,000 = 9 points
Therefore, the number of points spread between the bid and ask for Swiss francs against the dollar is 9 points.
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At the beginning of the year, you owned $5,000 Disney stock, $10,000 of Bank of New York stock, and $15,000 of IBM stock. During the year, Disney, Bank of New York and IBM returns -4.8%, 19.4% and 12.8%, respectively. What’s your portfolio’s return? p = 1 ∗ 1 + 2 ∗ 2 + 3 ∗ 3
To calculate your portfolio's return, we need to use the weighted average of the returns of the individual stocks. First, we need to calculate the total value of your portfolio at the beginning of the year, which is the sum of the value of each stock:
$5,000 + $10,000 + $15,000 = $30,000
Next, we need to calculate the total return of your portfolio, which is the sum of the weighted returns of each stock. To do this, we need to multiply each stock's return by its weight (i.e., the percentage of your portfolio that it represents), and then add up the results. The weights are calculated by dividing the value of each stock by the total value of your portfolio:
Disney: ($5,000 / $30,000) * (-4.8%) = -0.8%
Bank of New York: ($10,000 / $30,000) * 19.4% = 6.5%
IBM: ($15,000 / $30,000) * 12.8% = 6.4%
Portfolio return = (-0.8%) + 6.5% + 6.4% = 12.1%
Therefore, your portfolio's return for the year is 12.1%.
In summary, your portfolio's return is a weighted average of the returns of the individual stocks. The weights are based on the percentage of your portfolio that each stock represents. By using this formula, we can calculate the overall return of a portfolio and evaluate its performance.
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44.19 and 4.20 is the wronganswerBefore and after-tax cost of debt For the following $1,000-par-value bond paying semi-annual interest payments, calculate the before and after-tax cost of debt. Use the 21% corporate tax rate. Issuer Name Walt Disney Co. Coupon Rate 5.30% Years to Maturity 30 Price $989.67 .. The before-tax cost of debt for Walt Disney Co. is 5.37 %. (Round to two decimal places.) The after-tax cost of debt for Walt Disney Co. is 4.19 %. (Round to two decimal places.)
The before-tax cost of debt for Walt Disney Co. is 5.37%, and the after-tax cost of debt is 4.19%.
Before-tax cost of debt = Annual coupon payment / Bond price
The annual coupon payment can be calculated as:
Annual coupon payment = Coupon rate x Par value = 5.30% x $1,000 = $53
The bond price given is $989.67.
Plugging in these values, we get:
Before-tax cost of debt = $53 / $989.67 = 0.0537 or 5.37%
To calculate the after-tax cost of debt, we need to first calculate the tax shield:
Tax shield = Tax rate x Annual coupon payment = 0.21 x $53 = $11.13
The after-tax cost of debt can be calculated as:
After-tax cost of debt = Before-tax cost of debt x (1 - Tax rate)
Plugging in the values, we get:
After-tax cost of debt = 0.0537 x (1 - 0.21) = 0.0419 or 4.19%
Therefore, the before-tax cost of debt for Walt Disney Co. is 5.37%, and the after-tax cost of debt is 4.19%.
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what is the term for a national of one country appointed to a management position in another country?
The term commonly used for a national of one country appointed to a management position in another country is "expatriate."
What is management?Management is the process of planning, organizing, directing, and controlling resources (people, finances, materials, and time) to achieve specific goals and objectives. It involves making decisions and taking actions to efficiently and effectively allocate resources, coordinate activities, and motivate employees to achieve desired outcomes. Good management involves setting clear goals, developing a strategy to achieve them, delegating tasks, monitoring progress, providing feedback, and making adjustments as necessary. It also requires effective communication skills, problem-solving abilities, and leadership qualities. The field of management includes various areas such as human resources, operations, finance, marketing, and more. Effective management is essential for the success of organizations, whether they are businesses, non-profit organizations, or government agencies.
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fixed-price contracts are considered which of the following? very flexible very rigid always cheaper than any other option useless when considering a systems design always the best option for any project
Fixed-price contracts are considered a strangle includes holding both a put and a call on the same underlying asset. The correct answer is a. very flexible very rigid always.
Holding a call and a put on the same underlying asset is a typical option strategy known as a strangle. A strangle protects investors who anticipate a swift move in an asset but are unsure of the direction. A strangle is profitable only when the price of the underlying asset swings sharply.
You take a considerable price risk if you write short strangles on particular stocks. On an index, selling strangles is significantly safer. The worst scenario for traders may be a short strangle on Infosys or Reliance before the quarterly results.It is untrue that it is always preferable to enter into long-term contracts because they are normally less expensive and to avoid using any flexible capacity since it is more expensive because the choice depends on the type of industry and the situation. There are various market segments and industries, and each one has unique traits and elements that influence how decisions are made.
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a
bond has a coupon rate of 5.5% with interest paid semi-annialy. The
face value of the bonds is $1000 and the bknd mature in 2 years.
What is the intrinsic value of the bons with a required return of
The intrinsic value of the bond is $1,022.02 To calculate the intrinsic value of the bond, we need to use the following formula:
Intrinsic value = (C / r) x [1 - (1 / (1 + r)^n)] + (F / (1 + r)^n)
Where:
C = Coupon payment
r = Required rate of return
n = Number of periods
F = Face value
Using the given information, we can substitute the values in the formula:
C = $27.50 (5.5% x $1000 / 2)
r = Required rate of return
n = 4 (2 years x 2 semi-annual periods)
F = $1000
Let's assume that the required rate of return is 6%.
Intrinsic value = ($27.50 / 0.06) x [1 - (1 / (1 + 0.06)^4)] + ($1000 / (1 + 0.06)^4)
Intrinsic value = $1,022.02
Therefore, the intrinsic value of the bond with a required return of 6% is $1,022.02.
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businesses that provide steady employment may qualify for a reduction in unemployment taxes based on: multiple choice question. experience rating system
Businesses that provide steady employment may qualify for a reduction in unemployment taxes based on experience rating system. The correct answer is A.
The experience rating system is a method used by states to determine the unemployment insurance tax rates for individual employers. It is based on the past employment history of a business, including the number of former employees who have filed for unemployment benefits. Employers who have had fewer layoffs and claims for benefits are typically rewarded with lower tax rates, while those with more claims are assessed higher rates.
The idea behind this system is to incentivize businesses to maintain stable employment, as it benefits both the employer and the state's unemployment insurance program.
The correct answer is A.
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Brewster's is considering a project with a life of 7 years, an initial cost of $156,000, and a discount rate of 12 percent. The firm expects to sell 1,200 units a year at a cash flow per unit of $56. The firm will have the option to abandon this project after 5 years at which time it could sell the project for $95,000. At what level of sales should the firm be willing to abandon this project at the end of year 5?
The firm is interested in knowing how the project will perform if the sales forecasts for Years 6 and 7 of the project are revised such that there is a 40 percent chance the unit sales will be 800, otherwise they expect to sell 1,450 units per year. What is the net present value of this project given these revised sales forecasts?
The net present value if continued is positive and higher than the NPV if abandoned, the firm should continue the project beyond year 5 and The net present value of the project with the revised sales forecast is $269,102.56.
To determine the level of sales at which the firm should be willing to abandon the project at the end of year 5, we need to calculate the net present value (NPV) of the project if it is continued and the NPV if it is abandoned after year 5. Then, we can compare the two and see which option yields the higher NPV.
NPV if continued:
First, we need to calculate the annual cash flows for years 1-5 and the salvage value in year 5:
Year 1: (1,200 units x $56) = $67,200
Year 2: (1,200 units x $56) = $67,200
Year 3: (1,200 units x $56) = $67,200
Year 4: (1,200 units x $56) = $67,200
Year 5: (1,200 units x $56) + $95,000 = $161,000
Using the formula for the present value of an annuity and the present value of a lump sum, we can calculate the present value of the annual cash flows and the salvage value:
PV of annual cash flows = $67,200[(1-(1/1.12)⁵)/0.12] = $267,116.88
PV of salvage value = $95,000/(1.12)⁵ = $52,771.81
NPV if continued = -$156,000 + $267,116.88 + $52,771.81 = $163,888.69
NPV if abandoned:
If the project is abandoned after year 5, the salvage value is $95,000. We can calculate the present value of the salvage value:
PV of salvage value = $95,000/(1.12)⁵ = $52,771.81
NPV if abandoned = -$156,000 + $52,771.81 = -$103,228.19
To calculate the net present value (NPV) of the project with the revised sales forecast, we need to calculate the annual cash flows for years 1-7:
Year 1-5: same as before
Year 6-7: ($56 x 1,450 x 0.4) + ($56 x 800 x 0.6) = $40,320 + $27,360 = $67,680
Using the same formula as before, we can calculate the present value of the annual cash flows and the salvage value:
PV of annual cash flows = $67,200[(1-(1/1.12)⁵)/0.12] + $67,680[(1-(1/1.12)²)/0.12(1.12)⁵] = $372,330.75
PV of salvage value = $95,000/(1.12)⁵ = $52,771.81
NPV = -$156,000 + $372,330.75 + $52,771.81 = $269,102.56
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What is the standard equation for calculating the future worth (F) when given the annual rate of retum (1) and the present rate (P)?
A.F=P(/1-i)^n
b. F=P(1+N)^i
C. F = P(1+i)^(n-1)
d. F=P(1+i)^n
The standard equation for calculating the future worth (F) when given the annual rate of return (1) and the present rate (P) is F=P(1+i)^n. The correct option is D.
The standard equation for calculating the future worth (F) when given the annual rate of return (i) and the present value (P) is: F = P(1+i)^n,
where "i" represents the annual rate of return expressed as a decimal, "P" represents the present value or initial investment, and "n" represents the number of periods (usually years) for which the investment is made.
This equation takes into account the effect of compounding, which is the process of earning interest on both the initial investment (P) and the accumulated interest (i) over time (n).
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True or False. Management compares the costs of undertaking a quality improvement program to the costs of continuing without the quality improvement program.
True. management must compare the costs associated with implementing a quality development program against the fees of not imposing one.
The cost of enforcing a best improvement software includes the price of education employees, purchasing new system, and the time required to make changes.
But, if this system is successful, it may cause elevated performance, reduced waste, and improved patron pleasure, all of which could translate to fee savings inside the long time. on the other hand, continuing with out a first-class improvement software can result in extended prices related to mistakes, waste, and rework.
Consequently, it is essential for management to keep in mind the expenses of each options and make an knowledgeable decision based on the capacity advantages and risks of every.
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True. management must compare the costs associated with implementing a quality development program against the fees of not imposing one.
The cost of enforcing a best improvement software includes the price of education employees, purchasing new system, and the time required to make changes. But, if this system is successful, it may cause elevated performance, reduced waste, and improved patron pleasure, all of which could translate to fee savings inside the long time. on the other hand, continuing with out a first-class improvement software can result in extended prices related to mistakes, waste, and rework. Consequently, it is essential for management to keep in mind the expenses of each options and make an knowledgeable decision based on the capacity advantages and risks of every.
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Assume a class named Dollars exists. Write the headers for member functions that overload the prefix and postfix ++ operators for that class. Note: You do not need to code the function body. You only code the function definition. in c++
To overload the prefix and postfix ++ operators for a class named Dollars in C++, the headers for the member functions would be:
Prefix increment operator:
Dollars& operator++();
Postfix increment operator:
Dollars operator++(int);
The prefix increment operator returns a reference to the updated object, while the postfix increment operator returns a copy of the original object before the increment is applied. In both cases, the operator is defined as a member function of the Dollars class and can modify the object's state. These operators can be used to increment the value of Dollars objects by a certain amount, making them more convenient to work with in certain situations.
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Complete Question:
Assume you have a class named Dollars in C++. Write the headers for member functions that overload the prefix and postfix ++ operators for that class. Note that you only need to write the function definitions, not the entire class definition.
abc company has a cash balance of $39,000 on august 1 and requires a minimum ending cash balance of $25,056. cash receipts from sales budgeted for august are $245,056. cash disbursements budgeted for august include inventory purchases, $31,000; other manufacturing expenses, $93,000; operating expenses, $42,000; bond retirements, $64,000; and dividend payments, $29,000. required: prepare a cash budget for abc company for august.
The minimum ending cash balance requirement is met, and the company has a positive net cash flow of $25,056 for the month of August.
Here's the cash budget for ABC Company for August:
Beginning Cash Balance: $39,000
Add: Cash Receipts from Sales: $245,056
Total Cash Available: $284,056
Less: Cash Disbursements:
Inventory Purchases: $31,000
Other Manufacturing Expenses: $93,000
Operating Expenses: $42,000
Bond Retirements: $64,000
Dividend Payments: $29,000
Total Cash Disbursements: $259,000
Net Cash Flow: $25,056
Ending Cash Balance: $25,056
Note: The ending cash balance is the same as the minimum ending cash balance required by ABC Company. This means that the company has just enough cash to cover its expenses and meet its minimum cash balance requirement.
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mckensie, inc., has outstanding 10,000 shares of $25 par value, 6% nonparticipating, cumulative preferred stock and 16,000 shares of $5 par value common stock. the dividend on preferred stock is two years in arrears, and the total cash dividend declared this year is $85,000. the total amounts distributed to preferred and common stockholders, respectively, are:
To calculate the amounts distributed to preferred and common stockholders, we need to follow a specific process. Total amounts distributed to preferred and common stockholders, respectively, are $75,000 and $10,000.
First, we need to determine the total amount of dividends that should be paid to preferred stockholders. Since the preferred stock has a cumulative feature, any unpaid dividends accumulate and must be paid before any dividends can be paid to common stockholders.
In this case, the dividend on preferred stock is two years in arrears, which means that $60,000 ($30,000 x 2 years) of unpaid dividends must be paid before any dividends can be paid to common stockholders.
Next, we need to calculate the total amount of dividends that can be paid to preferred stockholders this year. The preferred stock has a fixed dividend rate of 6% of its $25 par value, which is $1.50 per share. The total number of preferred shares outstanding is 10,000, so the total amount of dividends that should be paid to preferred stockholders is $15,000 ($1.50 x 10,000 shares).
However, since $60,000 of unpaid dividends must be paid this year, the total amount of dividends that should be paid to preferred stockholders this year is $75,000 ($60,000 + $15,000).
Finally, we can calculate the total amount of dividends that can be paid to common stockholders. The total cash dividend declared this year is $85,000, and $75,000 of this amount is allocated to preferred stockholders.
Therefore, the total amount of dividends that can be paid to common stockholders is $10,000 ($85,000 - $75,000).
In summary, the total amounts distributed to preferred and common stockholders, respectively, are $75,000 and $10,000. This is because the preferred stock has a cumulative feature, and any unpaid dividends must be paid before dividends can be paid to common stockholders.
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face 2 face corporation reports 250 outstanding shares, 1,250 authorized shares, and 125 shares of treasury stock. how many shares are issued?
We must take the number of treasury shares out of the total number of shares outstanding in order to determine the number of issued shares.
Issued shares = Outstanding shares - Treasury shares
We can enter the 250 outstanding shares and 125 shares of treasury stock that the Face 2 Face Corporation reports into the algorithm above to obtain the following result:
Issued shares = 250 - 125 = 125
Therefore, the number of issued shares for Face 2 Face Corporation is 125 shares.
Treasury shares are stock certificates issued by a firm that has since been repurchased by it. Since outside investors are no longer holding them, these shares are not regarded as outstanding shares. Instead, they are kept as an asset in the company's treasury.
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quotation is the price of one unit of the foreign currency in u.s. dollars, and the amount of foreign currency needed to purchase $1 is a(n)
The term used to describe the amount of foreign currency needed to purchase $1 is known as the exchange rate.
The exchange rate represents the value of one currency in relation to another currency. In the case of a quotation, the exchange rate is expressed as the price of one unit of the foreign currency in U.S. dollars.
The exchange rate is determined by various factors, including supply and demand in the foreign exchange market, political and economic conditions, and interest rate differentials between countries. Fluctuations in the exchange rate can have significant impacts on international trade, investment, and the economy as a whole. Businesses and individuals who engage in international transactions must carefully consider exchange rates and their potential effects on profitability and purchasing power.
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government policy that attempts to manage the economy by controlling the money supply and thus interest rates. NAFTA (North American Free Trade Agreement).
The government policy you are referring to is called monetary policy. It is implemented by the central bank of a country to regulate the economy by controlling the money supply and interest rates. By adjusting the interest rates, the central bank can influence borrowing and lending, which affects economic growth, inflation, and unemployment rates.
NAFTA is a trade agreement between the United States, Canada, and Mexico that went into effect in 1994. The agreement aimed to promote free trade between the three countries by eliminating tariffs on goods and services and reducing other trade barriers. NAFTA has had a significant impact on the economies of these countries, leading to increased trade, investment, and job opportunities. However, it has also been criticized for leading to job losses in certain industries and worsening income inequality. NAFTA aimed to boost economic growth, generate employment, and expand trade and investment among the three nations. Even though it did have some positive effects, such as increased trade, investment, and job creation, it also drew criticism for contributing to wage stagnation and job losses in some sectors, notably in the US.
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What would be the PV of the $8,500 received in 13 years if a bank offering the 6.2% rate had quarterly compounding? a. $3,938.34 b. $3,804.33 c. $3.888.66 d. $3,819.99
The present value of the $8,500 received in 13 years at a 6.2% annual interest rate with quarterly compounding is approximately $3,938.34 (option a).
To find the present value (PV) of the $8,500 received in 13 years with a 6.2% annual interest rate and quarterly compounding, we will use the formula:
PV = FV / (1 + r/n)^(nt)
where:
- PV is the present value
- FV is the future value, which is $8,500
- r is the annual interest rate (in decimal form), which is 0.062 (6.2%)
- n is the number of times interest is compounded per year (quarterly compounding means 4 times per year)
- t is the number of years, which is 13
First, let's calculate r/n:
r/n = 0.062 / 4 = 0.0155
Next, we'll find nt:
nt = 4 * 13 = 52
Now, we can calculate (1 + r/n)^(nt):
(1 + r/n)^(nt) = (1 + 0.0155)^(52) ≈ 2.1553
Finally, we'll find the present value:
PV = FV / (1 + r/n)^(nt) = $8,500 / 2.1553 ≈ $3,938.34
Therefore, the present value of the $8,500 received in 13 years at a 6.2% annual interest rate with quarterly compounding is approximately $3,938.34 (option a).
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A company using the perpetual inventory system paid $250 cash to have goods delivered from one of its suppliers. How would the payment of $250 for transportation-in be classified? Multiple Choice A. An asset use transaction B. An asset exchange transaction C. An asset source transaction D. A claims exchange transaction
You asked how the payment of $250 for transportation-in would be classified under a company using the perpetual inventory system. The correct classification for this payment is A.
An asset use transaction. This is because the company is using its cash, an asset, to pay for the transportation-in of goods, which is an expense associated with acquiring inventory.
Acquiring inventory refers to the process of purchasing or obtaining goods that a business intends to sell to its customers. It involves selecting suppliers, negotiating prices and terms, managing inventory levels, and ensuring timely delivery and quality control.
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Use the work you completed for Parts, I, II, and III with your CLC group to inform your analysis for this assignment. Write a 500-750-word analysis of the significance of the three Matrices regarding their relevance for strategic planning. Describe the key information for each of the three matrices and how information from each will influence recommendations for strategic plans to improve the position of the company. Without prematurely determining and formalizing strategic goals and objectives, begin thinking about possible strategies to capitalize and add value to the organization based on the analysis of this information.
Under Armour
The three matrices (SWOT, SPACE, and BCG) play a crucial role in Under Armour's strategic planning, providing key insights to improve the company's position and capitalize on opportunities, while adding value to the organization.
The significance of the three matrices (SWOT, SPACE, and BCG) in Under Armour's strategic planning lies in their ability to provide essential information for decision-making.
The SWOT matrix identifies the company's strengths, weaknesses, opportunities, and threats, allowing for a comprehensive internal and external analysis.
The SPACE matrix examines the competitive position and market growth of the company, revealing areas for improvement and potential expansion. Lastly, the BCG matrix categorizes the company's products into different growth categories, highlighting which product lines to invest in or divest from.
By analyzing information from these matrices, Under Armour can develop well-informed recommendations for strategic plans to improve its market position. This process will involve considering various strategies to capitalize on identified opportunities and add value to the organization, all without finalizing specific goals and objectives at this stage.
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sale of equipment equipment was acquired at the beginning of the year at a cost of $33,250. the equipment was depreciated using the double-declining-balance method based on an estimated useful life of ten years and an estimated residual value of $650. question content area a. what was the depreciation for the first year?
Using the double-declining-balance method, the depreciation for the first year of the equipment is $6,650.
To calculate the depreciation for the first year of the equipment using the double-declining-balance method, we need to consider the cost of the equipment, its estimated useful life, and its estimated residual value.
To find the depreciation for the first year, follow these steps:1. Determine the initial cost of the equipment: $33,250
2. Determine the estimated useful life: 10 years
3. Determine the estimated residual value: $650
4. Calculate the straight-line depreciation rate:
(1 / estimated useful life) = (1 / 10) = 0.1 or 10%
5. Double the straight-line depreciation rate: 2 * 10% = 20%
6. Calculate the first-year depreciation:
Initial cost * doubled depreciation rate = $33,250 * 20% = $6,650
The depreciation for the first year of the equipment using the double-declining-balance method is $6,650.
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Question 3 (0.1 points) How many firms develop offerings to satisfy needs of all customers? Less than 1% 1-3% 04-7% More than 7%
Less than 1% of firms develop offerings to satisfy the needs of all customers.
The development of offerings to satisfy the needs of all customers is not a common strategy among firms as it can be difficult, if not impossible, to create a product or service that meets the needs and preferences of all customers. This is especially true in today's market where customers have diverse preferences and tastes.
Instead, many firms adopt a more targeted approach to product development, focusing on specific customer segments or niches that they can serve effectively. By tailoring their offerings to the needs of a particular group of customers, firms can differentiate themselves from competitors, build strong customer relationships, and achieve higher profit margins.
Overall, the trend in modern marketing is towards segmentation and targeting, with firms seeking to develop offerings that meet the needs of specific customer groups rather than trying to appeal to everyone. This approach is more likely to be successful in today's market, where customers are increasingly demanding and have high expectations of the products and services they buy.
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