coral company has the following financial statement information: current assets $30,000; noncurrent assets $70,000; current liabilities $20,000; noncurrent liabilities $40,000; and stockholders' equity $40,000. what is the debt to equity ratio?

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Answer 1

The debt-to-equity ratio is 1.50. The debt-to-equity ratio, also known as the D/E ratio, is a measurement of a company's ability to pay off its debt.

What is the debt-to-equity ratio?A company's objective may not always be to have the lowest ratio. According to Lemieux, a relatively low debt-to-equity ratio may indicate that a business is financially strong and has grown significantly over time.However, it may also be an indication of inefficient resource allocation. No doubt, the level of risk that shareholders can bear must be respected, but Lemieux speculates that a very low ratio may be an indication of overly cautious management that fails to take advantage of growth prospects.The minority owners of publicly traded corporations frequently criticize the board of directors because their overly cautious management delivers them too poor returns, he adds.The debt-to-equity ratio, also known as the D/E ratio, is a measurement of a company's ability to pay off its debt. It is calculated by subtracting the total debt from the total shareholders' equity of a company.

(20,000 + 40,000) / 40,000 = 1.5

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garrett is graduating from college in twelve months, but he will need a loan in the amount of $6,785 for his last two semesters. he may either receive an unsubsidized stafford loan with an interest rate of 6.8%, compounded monthly, or his parents may get a plus loan with an interest rate of 7.8%, compounded monthly. the stafford loan has a grace period of six months from the time of graduation. which loan will have a higher balance at the time of repayment and by how much?

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The loan from his parents will have higher balance of $69.7, compared to the loan from the university.

Formula for the future value:

FV = PV (1 + r)ⁿ

Where:

PV = present value

r = interest rate per period

n = number of periods

Loan from the university:

interest rate/month = 6.8%/12 = 0.0057

At grace period, usually it is interest-free.

Hence,

FV = 6,785 (1 + 0.0057)¹²

     = 7,263,9

Loan from parents:

interest rate/month = 7.8%/12 = 0.0065

Hence,

FV = 6,785 (1 + 0.0065)¹²

     = 7,333,6

Therefore, the loan from his parents has higher balance by (7,333,6 -  7,263,9) = $69.7

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beta electronics issued its 5%, 10-year bonds payable at a price of $845,000 (face value is $800,000). the company uses the straight-line amortization method for the bond discount or premium. interest expense for the first year is:

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The company uses the straight-line amortization method for the bond discount or premium making the net Bond Interest Expense $35,500.

$[tex]\frac{45,000}{10}[/tex] years = $4,500 per year.

The amount of cash paid for interest is $800,000 ×.05 = $40,000.

making the net Bond Interest Expense $40,000 - $4,500 = $35,500.

A part of every charge goes toward the loan essential, and an element goes towards interest. as the mortgage amortizes, the quantity going in the direction of the fundamental starts offevolved out small, and regularly grows larger month through the month.

In accounting, amortization refers to expensing the acquisition value minus the residual value of intangible property in a systematic manner over their estimated "useful economic lives" on the way to reflect their intake, expiry, obsolescence, or every other decline in price because of the use or the passage of time.

Amortization schedules show how a mortgage's most important stability owed goes down over time because of the quantities of overall most important and interest paid growth. because the loan progresses, more of a charge is applied to the essential stability owed, and much less is paid in the hobby.

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the prepaid insurance account has a normal balance of $5,625 at the beginning of the month. the company used $1,470 of insurance coverage during the month. which of the following statements is correct? a. retained earnings and stockholders' equity will both increase. b. the company should debit insurance expense for $1,470 and credit prepaid insurance for $1,470. c. the company should credit insurance expense for $1,470 and debit prepaid insurance for $1,470. d. retained earnings will decrease and stockholders' equity will increase.

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The company should debit Insurance Expense for $1,470 and credit Prepaid Insurance for $1,470.

A way to control your risk is through insurance. When you purchase insurance, you protect yourself against unforeseen financial losses. If something unfavorable occurs to you, the insurance company pays you or a person of your choice. If an accident occurs and you don't have insurance, you might be liable for all expenses. Value flows into and out of a business are shown by debits and credits. For a company's books to remain balanced, they must be equal. Asset, expense, and loss accounts gain value as a result of debits. Liability, equity, revenue, and gain accounts are all valued higher thanks to credits.

Money is removed from your bank account when a debit is made. A credit is what a debit is the opposite of.

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how should the lrbd structure its sourcing strategy? what are appropriate metrics to judge the sourcing strategy? can these metrics be used to align the different functions that are part of the supply chain?

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Supply chain metrics are defined by setting specific parameters that are used to quantify and define supply chain performance.

What is a supply chain?Supply chain management is a process that spans the entire organization, from suppliers to customers or branches. The supply chain challenge is lengthy. scope; geographic reach; the number of internal and external stakeholders and participants; and overall complexity. No other activity has it all: suppliers and factories around the world and customers around the world.Supply chains are not linear. There is a supply chain within a supply chain. Seeing a non-linear supply chain as linear contributes to performance issues and operational measurement.Supply chain management is a process often measured by logistics costs. This approach is the main source of problems. Such calculations do not measure the supply chain or its performance and may include non-supply chain factors. Additionally, the way supply chain costs are treated in accounting is outdated. It goes back 100 years to the recognition of supply chain management and global action.The supply chain is changing. The Amazon effect has inspired the start of the global supply chain revolution. It goes beyond e-commerce/B2C and cuts across industries and markets.

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amanda is considering using psychographics to segment the market for her dog-sitting business. this approach to segmentation offers her an advantage because

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Using psychographic segmentation is advantageous as it will allow Amanda to better customize her products,  services, and even her branding campaigns to the targeted customers.

Using powerful marketing techniques, psychographic segmentation divides potential customers into groups based on traits like their personalities, passions, beliefs, socioeconomic class, and lifestyle. It provides a more complete picture of the audience and provides information on their purchasing behavior.

This enables marketers to create goods, services, and marketing plans that are tailored to the unique requirements of their target market. This would also allow the marketers to allocate their resources in a more effective manner.

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what role can be played by a highly competent national subsidiary located in a strategically critical market?

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A highly skilled national subsidiary positioned in a strategically essential market can serve as a strategic leader. Hence, the right answer is a strategic leader.

What is a strategic leader?

Strategic leadership is the capacity to persuade individuals to make voluntary decisions that improve the organization's long-term prospects while maintaining short-term financial stability. Different leadership styles have an influence on an organization's vision, development direction, and potential success. To cope with change successfully, all executives must have the skills and tools for both strategy design and implementation.

Strategic leadership strategies help firms decide on their mission and best business practices, which are crucial for being competitive and relevant. The ability to learn and adapt has become critical for long-term viability. Failure to adapt to new technology, climate change, and economic considerations risks making the organization obsolete.

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true or false: if you promise to make a gift of $1 million to a church, which begins new construction based on your promise, you can be held legally obligated to make the gift.

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It is true that if you promise to make a gift of $1 million to a church, which begins new construction based on your promise, you can be held legally obligated to make the gift.

A promise to make a donation is known as a donative promise. Preston, for instance, guarantees Henry a car. A mere donative commitment is often void because there is no consideration, according to the law.

Consideration is what compels the parties to enter into the agreement. It is possible to tell a contract from a gift by whether or not there is payment. A gift is a voluntary, unremunerated transfer of property that is made without any expectation of payment.

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sunny sky paid $30,000 cash for a piece of land to be used for a new corporate headquarters building. the journal entry to record this transaction will include a $30,000 . (check all that apply.) multiple select question. credit to land debit to cash debit to land expense debit to land debit to building credit to cash

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Sunny Sky paid $30000 cash for a piece of land to be used for a new corporate headquarters building. The journal entry to record this transaction will include a $30000 Credit to cash and Debit to land.

What is Credit to cash?

A corporation can obtain short-term finance using Cash Credits (CC). To put it another way, a cash credit is a brief loan given to a business by a bank. An organisation can use it to withdraw funds from a bank account without maintaining a credit balance. Only loans up to the borrowing limit are permitted from the account.

A short-term business loan known as cash credit is given to companies to maintain their working capital, whereas overdraft facilities are given to companies and people who want to withdraw more money than their available bank account balance.

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) percy's wholesale supply has earnings before interest and taxes of $121,000. both the book and the market value of debt is $190,000. the unlevered cost of equity is 14.7 percent while the pretax cost of debt is 8.6 percent. the tax rate is 35 percent. what is the firm's weighted average cost of capital?

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The firm's  Percy wholesale weighted average cost of capital is 13.07%

Average cost of capital :

The weighted average cost of capital( WACC) is the mean rate that a business pays to capitalize its means. It's figured by comprising the rate of all of the company’s sources of capital( both debt and equity), ladened by the balance of each component.The weighted average cost of capital is the rate that a company is anticipated to pay on average to all its security proprietors to finance its means. The WACC is generally pertained to as the establishment's cost of capital. Importantly, it's mandated by the external market and not by operation

Equating the weighted average cost of capital :

Value of Unlevered Firm = EBIT × (1 - tax) ÷ Unlevered Cost of Equity

Value of Unlevered Firm = $121,000 × (1 - 0.35)  ÷ 0.1470

Value of Unlevered Firm = $535,034

Value of Levered Firm = Value of Unlevered Firm + tax × Value of Debt

Value of Levered Firm = $535,034 + 0.35 × $190,000

Value of Levered Firm = $601,534

Value of Equity = Value of Levered Firm - Value of Debt

Value of Equity = $601,534 - $190,000

Value of Equity = $411,534

Weight of Debt = Value of Debt ÷ Value of Levered Firm

Weight of Debt = $190,000 ÷ $601,534

Weight of Debt = 0.3159

Weight of Equity = 1 - Weight of Debt

Weight of Equity = 1 - 0.3159

Weight of Equity = 0.6841

Debt-Equity Ratio = Weight of Debt / Weight of Equity

Debt-Equity Ratio = 0.3159 ÷ 0.6841

Debt-Equity Ratio = 0.4618

Levered Cost of Equity = Unlevered Cost of Equity + (Unlevered Cost of Equity - Cost of Debt) × (1 - tax) × (Debt-Equity Ratio)

Levered Cost of Equity = 0.1470 + (0.1470 - 0.0860) × (1 - 0.35) × 0.4618

Levered Cost of Equity = 0.1470 + 0.0183

Levered Cost of Equity = 0.1653 or 16.53%

WACC = Weight of Debt × Cost of Debt × (1 - tax) + Weight of Equity × Cost of Equity

WACC = 0.3159 × 8.60% × (1 - 0.35) + 0.6841 × 16.53%

WACC = 1.76% + 11.31%

WACC = 13.07%

Hence , the weighted average cost of capital is 13.07%

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a u.s. treasury bill with 108 days to maturity is quoted at a discount yield of 2.00 percent. assume a $1 million face value. what is the bond equivalent yield?

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The bond equivalent yield of U.S. treasury bill is 1.37%.

What is bond equivalent yield?

Financially speaking, the bond equivalent yield (BEY) is a statistic that allows investors to figure out the yearly percentage yield for fixed-come assets, even if they are discounted short-term bets that only pay out on a monthly, quarterly, or semi-annual basis. Investors can contrast the performance of these investments with that of conventional fixed income assets, which last for a year or more and generate yearly yields, thanks to the BEY numbers that are readily available to them. This enables investors to build their total fixed-income portfolios with more knowledge and to make better decisions. The bond equivalent yield is computed by dividing the difference between the bond's face value and its purchase price by the bond's price.

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use the following bond quotation: issuer symbol callable coupon maturity rating price yield walmart wmt.im no 4.875 7/8/2040 aa2 104.09 4.54 attempt 1/10 for 10 pts. part 1 what is the yield to maturity? 4 decimals attempt 1/10 for 10 pts. part 2 if the bond has a face value of $1,000, how much does it currently cost (in $, and ignoring accrued interest)? 0 decimals

Answers

The bond's current value is $1402.1.

According to the question,

Face value = 1000

Coupon rate = 4.875%

Interest paid per year = 1000*4.875%

= 48.75

Current yield = Annual coupon paid /Price

Price of bond = 1000*140.21%

= 1402.1

Current yield = 48.75/1402.1

= 3.48%

In terms of finance, when any interest payment is received by the holder of the bond from the date the bond is issued until the bond is matured. Coupons are normally described in terms of the "coupon rate", the coupon-rate is calculated by adding the sum of all coupons which is to be paid per year, and then it is divided by the face value of the bond. The various types of bonds include fixed-rate bonds, zero-coupon bonds, perpetual bonds, and more.

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the times interest earned ratio is computed as: multiple choice interest expense times income before interest expense and income taxes. income before interest expense and income taxes divided by interest expense. income before interest expense divided by interest expense. income before income taxes divided by income taxes.

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The correct answer is option (c) earnings before interest and tax divided by interest expense.

What is times interest earned ratio?

Based on its current income, a company's ability to pay off its debt is gauged using the times interest earned (TIE) ratio. EBIT divided by the total interest due on bonds and other debt is the calculation used to determine a company's TIE number.

An organisation is deemed to be at an acceptable risk from the standpoint of an investor or creditor if its times interest earned ratio is greater than 2.5. Less than 2.5 times interest earned is regarded as being a much higher risk for bankruptcy or default for a company.

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you are a health it consultant in a company which is developing different kind of clinical support tools. you are preparing a presentation about clinical decision support tools for a meeting with the leadership of a hospital, which could be your future client. you would like to add one slide which will describe the biggest challenges of achieving meaningful clinical decision support, as well as your solutions. what are bullets that you will add to the slide?

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This leads us to believe that there are a few common reasons why doctors abuse clinical decision support systems, such as:

changed processessluggish alertnessloss of autonomyAnxiety.

The phrase "clinical decision support system" describes a category of health data that makes use of technology to provide staff, medical professionals, patients, or other individuals with the knowledge and information they require to improve healthcare.

It uses a variety of techniques to improve the quality of therapy outcomes. Making decisions in the healthcare workflow is improved. Even so, it could still be detrimental to the supplier.

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read each statement and determine if it is true or false. a. a monopolistic competitor, much like a firm in perfect competition, sells its product at a point where the price is equal to the marginal cost. true false

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A monopolistic competitor, much like a firm in perfect competition, sells its product at a point where price is equal to marginal cost.-----False

What Is Monopolistic Competition?

Monopolistic competition exists when numerous companies offer contending products or services that are analogous, but not perfect, backups. The walls to entry in a monopolistic competitive assiduity are low, and the opinions of any one establishment don't directly affect its challengers.

Why is it called monopolistic competition?

In substance, monopolistically competitive requests are named as similar because, while enterprises are contending with one another for the same group of guests to some degree, each establishment's product is a little bit different from that of all the other enterprises.

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you purchased one silver future contract at $2 per ounce. what would be your profit (loss) at maturity if the silver spot price at that time is $3.50 per ounce? assume the contract size is 5,000 ounces and there are no transactions costs.

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The profit at maturity would be $7500 profit

Future contract is a binding commitment to buy or sell a certain commodity asset, securities, or both at a defined price at a predetermined future date. For the purpose of facilitating trading on a futures exchange, futures contracts are standardized for both quality and quantity. When purchasing a futures contract, the buyer assumes the responsibility for purchasing and receiving the underlying asset at the contract's expiration. The underlying asset must be available and delivered by the futures contract seller by the expiration date.

Profit or Loss at the time of maturity = (Maturity price - Purchase price) * Number of ounces

= (3.50 - 2) * 5000

=1.50*5000

= $7500

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a tariff is a group of answer choices limit on how much of a good can be exported. limit on how much of a good can be imported. tax on an exported good. tax on an imported good.

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A tariff is a 'tax on an imported good'. Thus, option D 'tax on an imported good' is the correct answer.

One of the methods governments deal with trading bodies they disagree with is through tariffs. A tariff is referred to as a tax imposed by one government in a given on the goods and services imported from another country in order to raise revenues, protect competitive advantages, exert political leverage, or protect domestic industries.

Tariffs often result in higher consumer prices. It means that tariffs are taxes put on imports; increasing the price of products and services bought from another country and making them less attractive to domestic customers.

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stanley is building a robot in the year 2054. fulfilling a fantasy and taking advantage of the technology available, he decides to make his robot have a female form and be physically appealing. to have the most success in this, what should he do?

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Stanley is building a robot in the year 2054.To have the most success in this, he can Create a robot with a face that is the composite of attractive faces.

Technology:

Technology makes the people a better place. It gives us the freedom to live in a better way and helps make our life easy. Technology helps in better communication, treatment of conditions, has helped passed space, and wherever you look around, it's there. It not only helps elaborate the current but also the future.

Which technology will impact the future?

Artificial intelligence technology, or AI, and machine literacy relate to the capability of machines to learn and act intelligently, meaning they can make opinions, carry out tasks, and indeed prognosticate unborn issues grounded on what they learn from data.

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what do the aba model guidelines for the utilization of paralegal services say about the use of screens in conflicts cases involving paralegals?

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According to the state guidelines for the use of paralegals, a paralegal's role in maintaining client confidentiality is to safeguard the client-confidentiality agreement and client confidences.

To avoid disclosing the client's information or using the client's information to disadvantage them in court, the ABA Guidelines recommend "exercising care" around the client. In a similar vein, the client confidentiality rules of the paralegal associations are largely identical. They are all in agreement regarding the significance of the confidentiality agreement with the client and the obligation to maintain confidentiality.

Professional conduct helps to separate the personal from the professional; It restricts relationships to the current business setting. A judge, for instance, cannot talk directly to a plaintiff or defendant. While completing transactions on behalf of customers, bank tellers act as representatives of the company.

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Full Question = What do the state guidelines say about the paralegal's role in client confidentiality? What do the ABA Guidelines for the Utilization of Paralegal Services say? What about the paralegal's associations' rules? Are these sources in accord?

a countervailing duty is a tariff that is levied to counteract a) the dumping of goods in the domestic market by foreign firms. b) a sudden surge of imports which hurt a domestic industry. c) subsidies given to foreign firms by their own governments. d) the tariff on domestic goods that are enacted by foreign governments.

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An assessment put in place to make up for government subsidies given to foreign corporations is known as a countervailing duty.

What exactly does the word "subsidy" mean?

A government payment to individuals or organizations, whether direct or indirect, usually in the form of money or a specific tax cut, is known as a subsidy. Economic theory suggests that subsidies can be utilized to lessen externalities and market flaws and increase economic efficiency.

Exactly what is a subsidy?

The purpose of subsidies is to support or maintain what are regarded as critical facets of the infrastructure or economy of a country. Even while subsidies may directly benefit the individual industry or firms in question, economists maintain

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a company that buys products to use in the production or creation of other goods or services is a(n)

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A  company that buys products to use in the production or creation of other goods or services is a convenience buyer. A consumer good classified as a convenience good is one that is easily accessible and regularly bought.

A convenience good often does not require a lengthy decision-making process because it is easily accessible. Newspapers and candy are examples of convenience items, as opposed to speciality goods like vehicles, which are more expensive and frequently have higher opportunity costs for the consumer. Convenience product pricing is crucial to ensuring that consumer demand does not decline with the ups and downs of mainstream markets.

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profit margin for an investment center measures: multiple choice investment center income earned per dollar of sales. how efficiently an investment center generates sales from its invested assets. investment center income compared to target investment center income. departmental contribution to overhead. investment center income generated from its invested assets.

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Profit margin for an investment center measures investment center income earned per dollar of sales.

The profit margin is the percentage of revenue that a company keeps as profit. The higher the profit margin, the more profitable the company is. Investment refers to the act of putting money into something with the expectation of earning a return.

When you invest in a company, you are buying shares of that company and hoping that the company will be successful and the value of your shares will increase. The relationship between profit margin and investment is that the higher the profit margin, the more attractive the company is to investors.

Hence the correct option is "First".

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braxwell corporation acquired the following assets associated with a manufacturing facility for a lump-sum price of $9,900,000. according to independent appraisals, the fair values were $3,675,000, $1,225,000, $3,675,000, and $3,675,000 for the building, patent, land, and equipment, respectively. the initial value of the patent would be:

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Braxwell corporation acquired the following assets associated with a manufacturing facility for a lump-sum price of $9,900,000. The initial value of the patent would be $9,90,000

Total independent values =  $3,675,000 + $1,225,000 + $3,675,000 + $3,675,000 = $12,250,000

we must allocate the purchase cost proportionally:

purchase cost of building = $3,675,000/$12,250,000 x $9,900,000 = $297,000

purchase cost of patent = $1,225,000/$12,250,000 x $9,900,000 = $9,90,000

purchase cost of land = $3,675,000/$12,250,000 x $9,900,000 = $297,000

purchase cost of equipment = $3,675,000/$12,250,000 x $9,900,000 = $297,000

Thus the initial value of the patent would be $9,90,000.

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which of the following is (are) considered further audit procedure(s) that may be designed after assessing the risks of material misstatement? substantive tests of details substantive analytical procedures a. yes yes b. yes no c. no yes d. no no

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Substantive tests of details and analytical procedures are considered further audit procedures that may be designed after assessing the risks of material misstatement.

What are substantive tests of details and substantive analytical procedures?

The terms "substantive tests of details" and "substantive analytical procedures" are used interchangeable, but technically, substantive testing procedures include substantive tests of details and analytical procedures.

Substantive test of details relates to obtaining source documentation and reconciling, vouching, tracing and the like whereas substantive analytical procedures relate more to using financial as well as nonfinancial information to derive expected balances and comparing to the actually reported balance.

Your question seems messy. It most probably refers to this: "Which of the following is (are) considered a further audit procedure(s) that may be designed after assessing the risks of material misstatement? Substantive Tests of Details: ... Substantive Analytical Procedures: ..." Also, the multiple choices are: (a) yes, yes, (b) yes, no, (c) no, yes, (d) no, no. In that case, the correct option is a.

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which department of the us federal government provides the most all-inclusive source of information regarding export opportunities? multiple choice question. department of commerce department of homeland security the food and drug administration federal trade regulations office

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The department of the US federal government provides the most all-inclusive source of information regarding export opportunities Department of Commerce.

Which U.S. federal government department offers the most comprehensive source of information about export opportunities?

The U.S. Commercial Service (CS), a division of the U.S. Department of Commerce's International Commerce Administration, gives businesses a broad range of experience in international trade, whether they are just starting out exporting or looking to grow into new markets.

What federal organization assists American companies in exporting goods created in the country?

The United States Department of Commerce's International Trade Administration's trade promotion division is called the United States Commercial Service (USCS).

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long-motivated by his wish to operate his own business, andrew is considering purchasing an existing business. as he carefully weighs this option, he is likely to find that

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Andrew is likely to find The value of an existing business is determined by what the business owns, what it earns, And what makes it unique

Purchasing an existing company gives you more control but less direction.

Exactly what it sounds like, purchasing an existing company. Usually, the buyer gains complete control of the company. The biggest benefit is having a preexisting blueprint that can incorporate crucial elements like a developed customer base, specified operating costs, and fully trained employees. Regardless of the type of business, almost any type of business could be purchased or sold.

You typically have total control over the direction of an existing business when you buy it. Your company might struggle as you figure out how to run things if there is no clear vision, support system, or outside direction.

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kenny, inc., is looking at setting up a new manufacturing plant in south park. the company bought some land six years ago for $5.3 million in anticipation of using it as a warehouse and distribution site, but the company has since decided to rent facilities elsewhere. the land would net $7.4 million if it were sold today. the company now wants to build its new manufacturing plant on this land; the plant will cost $26.5 million to build, and the site requires $1.32 million for an access road to a major highway. what is the proper cash flow amount to use as the initial investment in fixed assets when evaluating this project? why?

Answers

The proper cash flow amount to use as the initial investment in fixed assets when evaluating this project is $38,410,100

Cash flow amount = Opportunity costs + costs + upgrading costs

Cash flow amount = $7,700,000 + $29,300,000 + $1,410,000

Cash flow amount = $38,410,000

Cash flow refers to the net change in cash and cash equivalents coming into and leaving a business. Money received and spent serves as a representation of inflows and outflows, respectively. The cash inflows a business experiences from ongoing operations and outside sources of investment are all detailed in a financial statement called a cash flow statement. It also covers any cash withdrawals made during a specific time period to pay for investments and business expenses.

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wyanot company issued 1,000 shares of its 5%, $100 par value, cumulative preferred stock for $110 cash per share. the journal entry to record this transaction includes: multiple select question. $10,000 credit to additional paid-in capital - preferred. $100,000 debit to cash. $5,000 credit to preferred stock. $100,000 credit to preferred stock. $110,000 debit to cash.

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The journal entry is $110,000 debit to cash -$100,000 credit to preferred stock -$10,000 credit to additional paid in capital- Preferred

How do you record shares in accounting?Common stock is initially recorded at par value, and any sums received in excess of that amount are reported in an account called capital in excess of par value.The recording is based on the fair value of the shares forfeited if they were issued in exchange for an item or service as opposed to cash. A memo entry to record the change in the number of shares and the par value per share is all that is required in a journal entry for a stock split (if the stock has a par value). When an employee exercises stock options, the difference—representing the increase in share value during the service period—is deducted from Additional Paid-In Capital and is credited to Common Stock for the number of shares x par value, debited from Cash for the number of shares x exercise price, and finally deducted from Cash for the remaining shares x par value.

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suppose the federal government reduces taxes on the profits earned from investment in physical capital--machines and factories. according to our model, this policy will result in

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Suppose the federal government reduces taxes on the profits earned from investment in physical capital--machines and factories. according to our model, this policy will result in an increase in real GDP and an ambiguous effect on prices.

Investment is the fidelity of plutocrats to buy of an asset to attain an increase in value over a period of time. Investment requires the immolation of some present asset, similar as time, plutocrat, or trouble. In finance, the purpose of investing is to induce a return from the invested asset. Your investing personality determines the type of investor you're and how you should make your investments. Your investing personality is principally your fiscal threat profile that takes into account colorful factors like age, fiscal history, circumstances, and your investment pretensions.

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a company has $23,000 in cash and cash equivalents, $81,000 in short-term investments, $120,000 in net current receivables, $55,000 in inventory, $10,000 of prepaid insurance and $5,000 of supplies. the total current liabilities of the firm are $298,000. the quick ratio of the company is:

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The total current liabilities of the firm are $298,000. the quick ratio of the company is 0.76

What is the Quick ratio?The quick ratio gauges a company's short-term liquidity position and quantifies its liabilities to pay short-term obligations with its most liquid assets.It is also known as the acid test ratio because it shows whether a company has the ability to immediately pay off current liabilities with its near-cash assets (assets that can be quickly converted to cash). A quick test intended to yield immediate results is known by the slang term "acid test."The quick ratio is viewed as a more restrained metric than the current ratio, which counts all current assets as coverage for current liabilities.By dividing a company's most liquid assets, such as cash, cash equivalents, marketable securities, and accounts receivable, by its total current liabilities, one can determine the quick ratio.Excluded from this list are certain current assets like prepaids and inventory because they might not be as easily convertible to cash or might need significant discounts to be liquidated.A company's liquidity and financial health are better indicated by a higher ratio result; conversely, a lower ratio indicates a greater likelihood that the company will have difficulty making debt payments.    

cash & cash equivalents 24000

short term investments 83000

net current receivables 123000

total current assets   230000

Quick ratio = 230,000/302000

Quick ratio = 0.761589

Hence, the quick ratio is 0.76.

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samsung is sharing in the costs of the most recent best buy advertising campaign. samsung lcd televisions will be highlighted in all ads. this is an example of .

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Samsung is sharing in the costs of the most recent best buy advertising campaign. Samsung lcd televisions will be highlighted in all ads. this is an example of cooperative advertising.

What kind of marketing focuses on the identity and reputation of a company or sector?

Institutional advertising is a type of marketing that makes use of sponsored media to advance the reputation, goals, or name of your organization. Institutional advertising can be used to spread knowledge about a problem or cause, to spark interest in a good or service, or even just to build brand recognition and loyalty.

Which of the following outcomes from a sales promotion multiple choice question is preferred?

Customers utilize a coupon to test a new product once, and if they like it, they go on to buy it again and again.

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