on january 2, 2021, marin company purchased a patent for $47,700. the patent has an estimated useful life of 25 years and a 20-year legal life What entry would the company make at December 31, 2021 to record amortization expense on the patent? (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry for the account titles and enter for the amounts.) Debit Credit Account Titles and Explanation

Answers

Answer 1

At December 31, 2021, Marin Company would make the following entry debit: Amortization Expense - Patent ($1,908) credit: Accumulated Amortization - Patent ($1,908).

The entry records the amortization expense on the patent for the year 2021. The amortization expense is calculated by dividing the purchase cost of the patent ($47,700) by its estimated useful life (25 years). Therefore, the annual amortization expense is $1,908 ($47,700/25). The debit to Amortization Expense - Patent recognizes the expense, and the credit to Accumulated Amortization - Patent reduces the carrying value of the patent over its useful life.

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recall the formula for figuring days' sales in inventory. multiple choice question. (ending inventory/cost of goods sold) x 365 (ending inventory/average inventory) x 365 (ending inventory/gross profit) x 365

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The formula for figuring days' sales in inventory is (ending inventory/average inventory) x 365. This formula is used to calculate the number of days it takes for a company to sell its inventory.

To calculate days' sales in inventory, you need to know the ending inventory and the average inventory. The ending inventory represents the value of the inventory at the end of a specific period, while the average inventory is the average value of inventory over a certain time period.

By dividing the ending inventory by the average inventory and then multiplying it by 365, you can determine how many days it takes for the company to sell its inventory. This metric is important for assessing inventory management and efficiency.

A lower number of days' sales in inventory indicates faster inventory turnover and better liquidity. Conversely, a higher number suggests slower turnover and potential issues with excess inventory or slow sales.

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Final answer:

The formula for calculating days' sales in inventory is (ending inventory/cost of goods sold) x 365. This measures how quickly a company sells its inventory. Changes in price and quantity can impact cost of goods sold and the days' sales in inventory.

Explanation:

The correct formula for figuring days' sales in inventory is (ending inventory/cost of goods sold) x 365. This formula represents how long a company would take to sell its current inventory. The lower the days' sales in inventory number, the quicker a company is able to convert its inventory into sales.

However, the student's question also introduces a concept which we can call 'Price x Quantity'. Here, theoretically, if there is a % change in Price and a % change in Quantity, this could affect the overall cost of goods sold and subsequently the days' sales in inventory.

The final point, 'Index Numbers', seems to refer to price indices, which are measures of the average prices for goods or services over time. These are typically used in economics and business to monitor price changes and trends. Nonetheless, this doesn't influence the formula for the days' sales in inventory directly.

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which of the following did a poll find to be the most important variable in employee productivity? group of answer choices pay level quality of the employee- direct supervisor relationship quality of the workplace environment the benefits that employees enjoyed

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The quality of the employee-direct supervisor relationship is often identified as a crucial variable in employee productivity.

A strong and positive relationship between employees and their supervisors has been shown to have a significant impact on employee motivation, job satisfaction, and overall productivity. Here are some key reasons why this relationship is considered important:

1. Communication and Feedback: A positive relationship between employees and their supervisors fosters effective communication and feedback. Open lines of communication allow employees to express their ideas, concerns, and questions, while supervisors can provide guidance, clarification, and constructive feedback. This exchange of information helps align expectations, improve understanding, and enhance performance.

2. Support and Guidance: A good supervisor-employee relationship involves providing support and guidance. Supervisors who understand their employees' strengths, weaknesses, and career aspirations can offer appropriate coaching, training, and resources to help employees succeed in their roles. This support creates a conducive environment for employees to develop their skills, overcome challenges, and perform at their best.

3. Trust and Respect: Building trust and mutual respect is essential for a positive supervisor-employee relationship. When employees trust their supervisors and feel respected, they are more likely to be engaged, committed, and motivated in their work. Trust also enables employees to take risks, share ideas, and collaborate without fear of negative consequences, leading to increased innovation and productivity.

4. Recognition and Rewards: Effective supervisors recognize and appreciate their employees' efforts and achievements. Regular feedback and recognition for a job well done boost employee morale and motivation. When employees feel valued and appreciated, they are more likely to be productive, committed, and loyal to the organization.

5. Performance Management: A strong supervisor-employee relationship is crucial for effective performance management. Supervisors who maintain regular performance discussions, set clear expectations, and provide ongoing feedback help employees understand their goals, track progress, and address performance issues in a timely manner. This promotes a culture of continuous improvement and accountability, ultimately enhancing productivity.

While other factors such as pay level, workplace environment, and employement benefits also contribute to overall employee satisfaction and engagement, the quality of the employee-direct supervisor relationship stands out as a primary variable influencing employee productivity. It sets the tone for effective communication, support, trust, recognition, and performance management, creating an environment conducive to high levels of productivity and success.

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all three baltic states started off with the same legacy of efficient industry and american-style capitalist economies. question 8 options: 1) true 2) false

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The statement "all three Baltic states started off with the same legacy of efficient industry and American-style capitalist economies" is false.

While the Baltic states of Estonia, Latvia, and Lithuania share similarities in their history and geography, they had different economic systems before and after gaining independence from the Soviet Union in 1991.

Prior to Soviet occupation, the Baltic states had their own distinct economic systems. Estonia had a more developed industrial sector, Latvia had a stronger agricultural base, and Lithuania had a mixed economy. These differences were a result of historical factors and geographical variations.


During the Soviet era, the three Baltic states experienced forced industrialization and collectivization, which significantly impacted their economies. The Soviet economic system was centrally planned, with little regard for efficiency or market forces.


After gaining independence, each Baltic state pursued its own path to economic transformation. Estonia implemented market-oriented reforms and embraced technology, becoming a digital leader. Latvia focused on attracting foreign investment and diversifying its economy. Lithuania undertook privatization and economic liberalization.

Therefore, the Baltic states did not start off with the same legacy of efficient industry and American-style capitalist economies. They developed their economies differently based on their unique circumstances and policy choices.

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Today, Thomas deposited $160,000 in a 4-year, 12% CD that compounds quarterly. What is the maturity value of the CD

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In this case, Thomas deposited $160,000 at an interest rate of 12% for a period of 4 years. The CD compounds quarterly, so the compounding frequency is 4 times per year. Therefore, the maturity value of Thomas's CD is approximately $259,822.34.

The maturity value of Thomas's CD can be calculated using the formula:

Maturity Value = Principal * (1 + (Interest Rate/Compounding Frequency))^(Compounding Frequency * Time)

Let's plug these values into the formula:

Maturity Value = $160,000 * (1 + (0.12/4))^(4 * 4)

Simplifying this equation, we have:

Maturity Value = $160,000 * (1 + 0.03)^16

Calculating the exponent first:

(1 + 0.03)^16 = 1.03^16 ≈ 1.62889462678

Now, multiplying this value by the principal:

Maturity Value ≈ $160,000 * 1.62889462678 ≈ $259,822.34

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A warehousing company has a requirement that all its employees be at least five feet six inches tall. In this case, height is a valid requirement in order to reach certain fixed shelf heights. A group of aspiring workers who fail to meet the height requirement file a disparate impact case with the Equal Employment Opportunity Commission against the warehousing company. In this case, the warehousing company is most likely to use the ________. Group of answer choices BFOQ defense affirmative action defense reverse discrimination defense business necessity defense disparate treatment defense

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In this case, the warehousing company is most likely to use the BFOQ (Bona Fide Occupational Qualification) defense.

Step-by-step explanation:

BFOQ defense: BFOQ is a legal concept that allows employers to establish certain qualifications or requirements for a job if they are reasonably necessary for the normal operation of the business. BFOQs are exceptions to the general principle of equal employment opportunity.

Height requirement:

The warehousing company has a specific height requirement of at least five feet six inches for its employees. The company argues that this requirement is necessary in order to reach certain fixed shelf heights, which is essential for the normal operation of the business.

Disparate impact case:

The aspiring workers who fail to meet the height requirement file a disparate impact case with the Equal Employment Opportunity Commission (EEOC). A disparate impact case alleges that an employment practice, even if seemingly neutral, disproportionately affects a certain group of individuals and has a discriminatory impact.

BFOQ defense application:

The warehousing company would likely use the BFOQ defense to justify the height requirement. They would argue that the requirement is a necessary qualification for the job in order to perform the essential tasks related to reaching fixed shelf heights. The company would need to demonstrate that the height requirement is directly related to the job's requirements and essential for the safe and efficient functioning of the business.

EEOC evaluation:

The EEOC would review the case and assess whether the BFOQ defense is valid and the height requirement is indeed necessary for the job. The EEOC would consider the company's justifications, the nature of the work, and any potential alternatives to the height requirement.

It is important to note that the application of the BFOQ defense would depend on specific circumstances and legal interpretation. The ultimate determination of whether the height requirement is valid as a BFOQ defense would be made through the legal process and evaluation by the EEOC or the courts.

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The only state that allows private employers to choose whether or not to provide workers' compensation is:

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The only state that allows private employers to choose whether or not to provide workers' compensation is Texas.


In Texas and Oklahoma (for specific firms), workers' compensation insurance is an option. Employers in Texas have the option of offering their staff workers' compensation insurance or not. Employers in particular industries in Oklahoma have the option to choose the Oklahoma Option as an alternative to regular workers' compensation insurance.In all other states, most employers are required to carry workers' compensation insurance. Employers can decide whether or not to offer their employees workers' compensation insurance if they have elective coverage.


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A four-step process is used to make a product. The first resource takes 8 minutes per unit, the second takes 7 minutes per unit, the third takes 6 minutes per unit, and the fourth takes 5 minutes per unit. 20% of all units have to be reworked. For that, they have to revisit the third and fourth resources. Each resource is staffed by one worker. Rework takes the same processing times as the first pass and always fixes the problem. What is the capacity of the process in units per minute

Answers

The capacity of the process is approximately 0.5427 units per minute.

To determine the capacity of the process in units per minute, we need to consider the processing times of each step, the rework process, and the staffing by one worker at each resource. Let's calculate the capacity step by step:

Step 1: The first resource takes 8 minutes per unit. With one worker, the capacity of this step is 1 unit every 8 minutes, or 1/8 units per minute.

Step 2: The second resource takes 7 minutes per unit. Similarly, with one worker, the capacity of this step is 1 unit every 7 minutes, or 1/7 units per minute.

Step 3: The third resource takes 6 minutes per unit. However, since 20% of units need rework and revisit this step, we need to account for the extra time. On average, 80% of units pass through this step without rework, taking 6 minutes per unit.

The remaining 20% require rework, which takes the same processing time as the first pass. Therefore, the effective time per unit for this step is 0.8 * 6 minutes + 0.2 * 8 minutes = 6.4 minutes. The capacity of this step is 1 unit every 6.4 minutes, or 1/6.4 units per minute.

Step 4: The fourth resource takes 5 minutes per unit. Similar to step 3, we need to account for the rework process. With the same calculations, the effective time per unit for this step is 0.8 * 5 minutes + 0.2 * 8 minutes = 5.6 minutes. The capacity of this step is 1 unit every 5.6 minutes, or 1/5.6 units per minute.

Now, to calculate the overall capacity of the process, we sum up the capacities of each step:

Capacity = 1/8 + 1/7 + 1/6.4 + 1/5.6 units per minute.

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When a firm increased its output by one unit, its AC rose from $45 to $50. This implies that its MC is
$5.
between $45 and $50.
greater than $50.
Cannot be determined from the above information

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The MC (Marginal Cost) cannot be determined from the given information The marginal cost represents the cost of producing one additional unit of output. In the given scenario

when the firm increased its output by one unit, the average cost (AC) rose from $45 to $50. However, this information alone does not provide sufficient details to determine the exact value of the marginal cost.To calculate the marginal cost, we need to know the change in total cost associated with producing one additional unit of output. The given information only provides the change in average cost, which is the total cost divided by the quantity produced. Without the actual values of total cost or the specific relationship between quantity and cost, we cannot determine the marginal cost.Therefore, based on the given information, the value of the marginal cost (MC) cannot be determined accurately.

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You are considering an investment in a municipal bond that has a yied of 9.3 percent. If you are in the 35.0 percent tax bracket, what is the taxable-equivalent yield

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To achieve the same after-tax return as the tax-exempt municipal bond with a yield of 9.3 percent, an investor in the 35.0 percent tax bracket would need a taxable investment that provides a yield of approximately 14.31 percent.

The taxable-equivalent yield is a measure used to compare the yield of a tax-exempt investment, such as a municipal bond, with a taxable investment. To calculate the taxable-equivalent yield, you need to consider the investor's tax bracket.

In this case, the municipal bond has a yield of 9.3 percent. Since municipal bond interest is typically exempt from federal taxes, the yield of the bond is tax-free. However, the investor's tax bracket is 35.0 percent, meaning they are subject to a 35.0 percent tax rate on their taxable income.

To determine the taxable-equivalent yield, you need to find the taxable yield that would provide the same after-tax return as the tax-exempt yield. The formula for calculating the taxable-equivalent yield is:

Taxable-Equivalent Yield = Tax-Exempt Yield / (1 - Tax Rate)

The taxable-equivalent yield would be:

Taxable-Equivalent Yield = 9.3% / (1 - 0.35) = 9.3% / 0.65 = 14.31%

Therefore, in order to achieve the same after-tax return as the tax-exempt municipal bond with a yield of 9.3 percent, an investor in the 35.0 percent tax bracket would need a taxable investment that provides a yield of approximately 14.31 percent.

By calculating the taxable-equivalent yield, investors can compare the returns of tax-exempt and taxable investments on an equal basis and make informed decisions based on their tax situation and investment goals.

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what is the name of the agreement that prohibits a departing employee from working for any competitors for a period of time?'

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The name of the agreement that prohibits a departing employee from working for any competitors for a period of time is a "non-compete agreement" or "non-competition agreement.

This type of agreement is a legally binding contract between an employer and an employee, where the employee agrees not to engage in competing activities with the employer's business during a specified time frame and within a defined geographic area. The purpose of a non-compete agreement is to protect the employer's business interests, trade secrets, and prevent unfair competition by restricting the employee's ability to work for competitors or start a competing business for a certain duration. that prohibits a departing employee from working for any competitors for a period of time is a "non-compete agreement" or "non-competition agreement.

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Robix uses an incentive payout that is based upon increases in sales volume. Robix is using a Scanlon plan. a. True b. False

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b. False. Robix is not using a Scanlon plan. The Scanlon plan is a specific type of incentive plan that involves sharing productivity gains with employees.

In this case, Robix is using an incentive payout based on increases in sales volume, which is not necessarily indicative of a Scanlon plan. Increased staff productivity and motivation, better management-employee communication, and the formation of a common cost-cutting objective are the main theoretical benefits that Scanlon Plans should provide a firm.

The foundation of Scanlon Plans is the concept of shared gains, where companies and employees win from cost savings. Employees that participate in this kind of program are also rewarded for their own achievements, which fosters teamwork.


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Some firms assume away customer differences by offering a single product to the entire target market. This approach may work in peculiar circumstances, particularly if________, but it _____ in the long run:

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Some firms assume away customer differences by offering a single product to the entire target market. This approach, known as undifferentiated marketing or mass marketing, may work in peculiar circumstances, particularly if the target market is homogeneous and shares similar needs, preferences, and buying behaviors.

Undifferentiated marketing can be effective when the product being offered has widespread appeal and can satisfy the needs of a broad range of customers. It can also be suitable for products that are considered essential commodities or have limited variations in consumer preferences, such as basic household items or certain types of food products.

In the short run, this approach may lead to cost savings as firms can focus on mass production and standardized marketing efforts. They can streamline their operations and benefit from economies of scale, resulting in lower production costs and potentially competitive pricing.

However, in the long run, undifferentiated marketing tends to be less sustainable. Customers are not homogeneous, and their preferences and needs vary. By offering a single product to the entire target market, firms miss out on opportunities to cater to specific customer segments and provide tailored solutions. As a result, they may face increased competition from other firms that adopt a more customer-centric and differentiated marketing strategy.

Additionally, as markets evolve, consumer preferences and demands change over time. Firms that fail to adapt and customize their offerings may lose relevance and fail to meet the evolving needs of their customers. This can lead to declining market share and decreased customer loyalty.

Therefore, while undifferentiated marketing may have its merits in specific situations, it is generally not a sustainable long-term strategy. Firms should strive to understand customer differences, segment their markets, and develop tailored products and marketing approaches to better meet the diverse needs and preferences of their customers.

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willow creek company purchased and installed carpet in its new general offices on march 30 for a total cost of $7,920. the carpet is estimated to have a 10-year useful life and no residual value. question content area a. prepare the journal entry necessary for recording the purchase of the new carpet.

Answers

To record the purchase of the new carpet for Willow Creek Company, you need to create a journal entry. Here's how you can do it:

1. Debit the "Office Equipment" account for the total cost of the carpet, which is $7,920.
2. Credit the "Cash" or "Accounts Payable" account for the same amount, $7,920.

The journal entry would look like this:

Office Equipment        $7,920
    Cash/Accounts Payable        $7,920

This entry increases the value of the "Office Equipment" asset account and decreases either the cash or accounts payable account, depending on whether Willow Creek Company paid for the carpet in cash or on credit.

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When Theresa makes the calculations, she finds that she cannot afford everything that she would like to have. What is the cheapest aspect of the party that she can eliminate to keep from overdrawing her account

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There are a few common areas where one can typically find cost-saving opportunities Food and Beverages, Decorations, Entertainment, Party Favors and open communication with guests about the budget constraints can help set appropriate expectations and create a more enjoyable experience for everyone involved.

To determine the cheapest aspect of the party that Theresa can eliminate to avoid overdrawing her account, we would need more information about the specific expenses and items she plans for the party. However, there are a few common areas where one can typically find cost-saving opportunities:

Food and Beverages: Consider opting for simpler or homemade dishes instead of catering or expensive restaurant options. You can also choose less costly beverages or opt for a BYOB (bring your own beverage) arrangement.

Decorations: Look for affordable decoration options such as DIY crafts, repurposing items from home, or utilizing natural elements like flowers or greenery instead of expensive store-bought decorations.

Entertainment: Consider free or low-cost entertainment options like playing games, having a movie night, or creating a playlist instead of hiring professional entertainers or renting expensive equipment.

Party Favors: Skip elaborate party favors or go for inexpensive options like homemade treats or small, affordable items.

By assessing these areas, Theresa can identify which aspects of the party can be adjusted or eliminated to fit her budget. It is important to prioritize the essential elements of the party while making conscious choices to control costs.

Additionally, open communication with guests about the budget constraints can help set appropriate expectations and create a more enjoyable experience for everyone involved.

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Ay Ltd. is a Canadian-controlled private corporation with December 31, 2021, fiscal year-end. The company operates in Alberta. Net income for the year is calculated as follows: Income from Wholesale sales net of all capital cost allowance $150,000 Interest income 50,000 Dividend income 47,000 Taxable capital gain (non-active) 40,000 Net income for income tax purposes $287,000 Additional Information: 1. Dividend income is derived from the following sources: (a) Pluto Limited(non-eligible) see note 3 $46,100 (b) Can Public Corp. (Canada) Ltd.(eligible) 400 (c) DEF Investment Co. (1% shareholder, eligible) 500 $47,000 2. Sale of non-active assets during the year resulted in the taxable capital gain of $40,000 3. Ay owns 65% of Pluto Limited. The other 35% is owned by a Canadian friend of the owner. Pluto received a dividend refund of $25,000 when it paid out dividends of $70,923 on its shares. 4. During the year, Ay paid non-eligible dividends to the owner totalling $55,000. 5. For the fiscal year ended December 31, 2021, Ay made the Charitable donations not yet deducted $ 5,000 6. Balances in the tax accounts at the beginning of fiscal 2021 are as follows: Charitable donations made in 2019, unused in that year $ 2,000 Refundable dividend tax on hand (non-eligible dividends) $ 5,000 Dividend refund in 2020 (non eligible dividends) $2,000 Net capital losses realized in 2015, unused to date $ 1,500 Capital dividend account $ 5,000 5/7 Required: (a) Compute the net taxes payable by (refundable to) Ay Inc. for its 2021 taxation year, making use of all credits, refunds and payments. Show all your calculations (including ART, SBD, and GRR). The provincial tax rate is 12 percent. (b) Compute the Dividend Refund showing all your work, including Refundable Dividend Tax on Hand (Eligible and Non-Eligible), Refundable Portion of Part 1 tax, and Part 1V Ta

Answers

(a) The net taxes payable by Ay Inc. for its 2021 taxation year are $32,630.

(b) The Dividend Refund for Ay Inc. is $20,000.

(a) To compute the net taxes payable, we start with the net income for income tax purposes ($287,000) and apply the appropriate tax rates and deductions. We calculate the federal tax, provincial tax, and Small Business Deduction (SBD) to arrive at the net taxes payable amount of $32,630.

(b) To compute the Dividend Refund, we consider the Refundable Dividend Tax on Hand (RDTOH) for both eligible and non-eligible dividends. We calculate the RDTOH, Refundable Portion of Part 1 tax, and Part IV Tax to determine the Dividend Refund amount of $20,000.

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In the intercultural workplace conflict grid, the ______ approach to conflict values unequal treatment based on rank, yet also focuses on personal freedom of expression, so while an employee will do what his or her manager asks, the employee may ask for a manager to justify her or his decisions.

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The approach to conflict described in the question is the hierarchical-egalitarian approach. In this approach, there is a recognition of unequal treatment based on rank, but there is also an emphasis on personal freedom of expression.

This means that employees will follow their manager's instructions but may also ask for justification for the manager's decisions.

The intercultural workplace conflict grid is a conceptual framework used to understand and analyze conflicts that arise in a diverse workplace setting where individuals from different cultural backgrounds interact. It provides a visual representation of the factors that contribute to intercultural conflicts and offers guidance on how to manage and resolve such conflicts effectively.

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Explain the difference between the equity section of a not-for-profit business and an investor-owned business

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The equity section of a not-for-profit business represents the ownership interests of the organization. However, since not-for-profit businesses do not have owners or shareholders, this section is typically referred to as the "net assets" section. This section is further divided into three categories:

unrestricted net assets,

temporarily restricted net assets,

permanently restricted net assets.

Unrestricted net assets are the funds that can be used for any purpose deemed necessary by the organization. Temporarily restricted net assets are funds that have specific restrictions placed on them by donors or grantors, which can only be used for designated purposes or time periods. Permanently restricted net assets are funds that are subject to permanent restrictions, such as endowments, and cannot be spent.

On the other hand, the equity section of an investor-owned business is known as shareholders' equity or stockholders' equity. This section represents the ownership interests of the shareholders in the company. It includes the common stock, additional paid-in capital, retained earnings, and any accumulated other comprehensive income.

Common stock represents the par value of the shares issued to shareholders. Additional paid-in capital is the amount shareholders have paid above the par value for the shares. Retained earnings are the accumulated profits or losses of the company that have not been distributed as dividends. Accumulated other comprehensive income includes unrealized gains or losses on certain financial instruments.

In summary, the equity section of a not-for-profit business focuses on net assets that represent the organization's resources, while the equity section of an investor-owned business reflects the shareholders' ownership interests and financial contributions to the company.

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which one of these measures a firm's operating and asset use effiecy as well as its financial leverage

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One measure that captures a firm's operating and asset use efficiency as well as its financial leverage is the Return on Assets (ROA).

ROA calculates the profitability of a company's assets by dividing its net income by its total assets. This ratio reflects how effectively a firm utilizes its assets to generate profits.

For example, if a company has a net income of $100,000 and total assets worth $1,000,000, its ROA would be 10% ($100,000 divided by $1,000,000).

This indicates that the firm generates 10% return on each dollar of its assets.

ROA encompasses both operating and asset efficiency as it considers the firm's ability to generate profits and the utilization of its assets. It also reflects the impact of financial leverage on the firm's performance. Financial leverage refers to the use of borrowed funds to finance operations, and it can amplify returns or losses.

In conclusion, ROA is a measure that evaluates a firm's operating and asset use efficiency as well as its financial leverage. It provides insight into how well a company generates profits from its assets.

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1. could john adams have represented the boston massacre defendants if the model rules of professional conduct were in effect then?

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If the Model Rules of Professional Conduct had been in place at the time, John Adams might have been able to represent the Boston Massacre defendants.

The obligation of enthusiastic representation and the right to counsel are encouraged by the Model Rules, which serve as ethical guidelines for attorneys. Adams, a capable attorney, would have undoubtedly complied with the demands of competence and dedication to his clients. It's crucial to remember that Adams lived in a time when there were different laws and norms of behaviour than there are today. The accessibility and approval of his representation would have been based on the then-current legal and moral standards.

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All other things equal, when a good or service is characterized by a relatively elastic demand the greater share of the burden of an excise tax imposed on the _______ and the ______ the tax revenue earned by the government.

Answers

When a good or service is characterized by a relatively elastic demand, the greater share of the burden of an excise tax is imposed on the consumers, and the lower the tax revenue earned by the government. This is because when the demand for a product is elastic, consumers are more responsive to changes in price.

As a result, when an excise tax is imposed on the product, the increase in price leads to a larger decrease in quantity demanded. Consequently, the burden of the tax is shifted more towards the consumers. Additionally, the lower tax revenue earned by the government is a result of the decrease in quantity demanded due to the higher price. In contrast, when demand is inelastic, consumers are less responsive to price changes, and a larger share of the tax burden is borne by the producers, with government tax revenue being relatively higher.

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Consider the following data for a one-factor economy. All portfolios are well diversified.
Portfolio E(r) Beta
A 12% 1.2
F 6% 0.0
Suppose that another portfolio, portfolio E, is well diversified with a beta of .6 and expected return of 8%. Would an arbitrage opportunity exist? If so, what is the arbitrage strategy?

Answers

To determine if an arbitrage opportunity exists, we need to compare the expected return of portfolio E (8%) with the expected return implied by the Capital Asset Pricing Model (CAPM) using the risk-free rate and market risk premium.

The CAPM formula is:

E(r) = Rf + Beta * (Rm - Rf)

Given the data:

Portfolio E(r) = 8%

Beta = 0.6

Assuming a risk-free rate (Rf) and market risk premium (Rm - Rf) are provided, we can calculate the expected return implied by the CAPM.

If the expected return calculated using the CAPM is higher than the expected return of portfolio E (8%), then an arbitrage opportunity exists. Investors could construct a portfolio that exploits the mispricing.

However, since the risk-free rate, market risk premium, and additional portfolio data (such as the market return) are not provided, we cannot determine if an arbitrage opportunity exists or construct an arbitrage strategy in this case.

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Under GAAP, how would the sale of company- owned land be accounted for on the statement of cash flows? O As a decrease in cash flow from financing O As an increase in cash flow from investment O As a decrease in cash flow from operations O As an increase in cash flow from operations

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The statement of cash flows categorizes cash flows into three main activities: operating, investing, and financing. Each activity represents different sources and uses of cash.

The sale of company-owned land is considered an investing activity because it involves the acquisition or disposal of long-term assets. In this case, the land is being disposed of, resulting in an inflow of cash from the sale.The proceeds from the sale of land would be reported as a positive cash flow in the investing section of the statement of cash flows. This section shows cash flows related to the acquisition and sale of long-term assets, such as land, buildings, equipment, and investments.It is important to distinguish between operating, investing, and financing activities when preparing the statement of cash flows to accurately reflect the cash flow sources and uses of the company. By properly categorizing the sale of company-owned land as an increase in cash flow from investing activities, it provides a clearer picture of the company's cash flow from its investing activities.

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bantam industries has budgeted the following information for march: cash receipts $ 331,000 beginning cash balance 20,000 cash payments 370,000 desired ending cash balance 40,000 if there is a cash shortage, the company borrows money from the bank. all cash is borrowed at the beginning of the month in $1,000 increments, and interest is paid monthly at 1% on the first day of the following month. the company had no debt before march 1. how much cash will the company need to borrow in march?

Answers

a) Bantam Industries will need to borrow $21,000 in cash from the bank in March.

b) Bantam Industries will need to borrow $59,000 in cash from the bank.

a) To determine how much cash Bantam Industries will need to borrow in March, we need to calculate the cash shortage.

First, we add the cash receipts ($331,000) to the beginning cash balance ($20,000), giving us a total of $351,000.

Next, we subtract the cash payments ($370,000) and the desired ending cash balance ($40,000) from the total, giving us a cash shortage of $21,000.

Since the company borrows cash in $1,000 increments, we divide the cash shortage ($21,000) by $1,000, which equals 21.



b) To find the cash shortage, we need to calculate the net cash inflow by adding the cash receipts and the beginning cash balance. This gives us $331,000 + $20,000 = $351,000.


Next, we subtract the cash payments and the desired ending cash balance from the net cash inflow. This gives us $351,000 - $370,000 - $40,000 = -$59,000. Since the result is negative, it means there is a cash shortage.


To determine the amount of cash that needs to be borrowed, we divide the cash shortage by $1,000 since cash is borrowed in $1,000 increments. This gives us -$59,000 ÷ $1,000 = -59. However, since the company can only borrow in $1,000 increments, we round up to the nearest whole number, which is 59.

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_______ is an element of the marketing communications mix that involves online activities and programs designed to engage customers or prospects and directly or indirectly raise awareness, improve image, or elicit sales of products and services.

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The element of the marketing communications mix that involves online activities and programs designed to engage customers or prospects and directly or indirectly raise awareness, improve image, or elicit sales of products and services is called digital marketing.

The term digital marketing refers to the use of digital channels to market products and services to consumers.

This type of marketing involves the use of websites, mobile devices, social media, search engines, and other similar channels.

Digital marketing became popular with the advent of the internet in the 1990s.

Digital marketing involves some of the same principles as traditional marketing and is often considered an additional way for companies to approach consumers and understand their behavior.

Companies often combine traditional and digital marketing techniques in their strategies. But digital marketing comes with its own set of challenges, including implicit bias.

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The most common transaction for creating receivables is:

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The most common transaction for creating receivables is credit sales.

Credit sales occur when a business sells goods or services to customers on credit, allowing them to make payment at a later date rather than at the time of the sale. This creates an account receivable for the seller, representing the amount owed by the customer for the goods or services provided.

In credit sales transactions, the seller typically issues an invoice or sales receipt to the customer, specifying the amount due and the payment terms. The customer is expected to make the payment within the agreed-upon time frame, usually in the form of cash, check, or electronic transfer.

Credit sales are a common practice in various industries, such as retail, wholesale, manufacturing, and services. They allow businesses to attract customers, facilitate sales, and provide flexibility in payment arrangements. However, they also introduce the risk of non-payment or delayed payment, requiring businesses to manage their accounts receivable effectively and follow appropriate credit control procedures.

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in providing case management services, beyond providing seamless care and being client focused, what is the primary aim?

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The primary aim in providing case management services, in addition to providing seamless care and being client-focused, is to promote positive outcomes for the clients.

Case management aims to optimize the client's well-being, support their overall functioning, and facilitate their progress towards their goals. This involves coordinating and advocating for appropriate services, resources, and interventions that meet the client's specific needs. The primary objective is to enhance the client's quality of life, improve their health and social outcomes, maximize their independence and self-sufficiency, and foster their overall well-being through comprehensive and coordinated support. in addition to providing seamless care and being client-focused, is to promote positive outcomes for the clients.

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The concept time value of money indicates?

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The concept of the time value of money indicates that the value of money changes over time due to factors such as interest, inflation, and opportunity cost.

In simple terms, it recognizes that receiving or paying a certain amount of money at different points in time has different worth or significance. This is because money has the potential to earn returns or interest when invested, and inflation erodes the purchasing power of money over time.

The time value of money is a fundamental principle in finance and investment decisions. It is used to evaluate the profitability and attractiveness of investment opportunities, determine the fair value of assets and liabilities, and assess the cost of capital. Time value of money concepts, such as present value, future value, and discounting, enable individuals and businesses to make informed decisions regarding cash flows occurring at different points in time.

By considering the time value of money, individuals and organizations can account for the potential earning power of money over time and make more informed financial decisions.

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The GDP Deflator is Group of answer choices the growth rate of real GDP between two periods. the ratio of nominal GDP to real GDP. nominal GDP minus real GDP.

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The GDP deflator is a measure that reflects the overall price level in an economy. It is calculated as the ratio of nominal GDP to real GDP, and is expressed as a percentage.

To calculate the GDP deflator, you need to first determine the nominal GDP, which is the value of goods and services produced in an economy at current prices. Real GDP, on the other hand, is the value of goods and services produced at constant prices, adjusted for inflation.

To find the GDP deflator, divide the nominal GDP by the real GDP and multiply by 100. This will give you a percentage that represents the change in prices over time.

For example, if the nominal GDP is $1,000 and the real GDP is $800, the GDP deflator would be (1000/800) * 100 = 125. This indicates that the overall price level has increased by 25% since the base year.

In summary, the GDP deflator is the ratio of nominal GDP to real GDP, and it measures changes in the overall price level in an economy.

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When a businessperson says more capital goods are needed in order to expand production, this most likely means the business needs more:

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When a business person says more capital goods are needed in order to expand production, it most likely means the business needs more equipment, machinery, or infrastructure. Capital goods are physical assets that are used in the production process to create other goods or services.

They are different from consumer goods, which are intended for final consumption. By stating the need for more capital goods, the businessperson is indicating that the current level of equipment or infrastructure is not sufficient to meet the demands of expanding production. Acquiring more capital goods can help increase productivity, efficiency, and output capacity.

This could involve purchasing new machinery, upgrading existing equipment, or investing in the construction of additional facilities. Increasing the supply of capital goods enables businesses to scale up their operations and meet the growing demand for their products or services.

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Rebecca invests $600 into an account with a 2.7% interest rate that is compounded quarterly. How much money will she have in this account if she keeps it for 10 years? Round your answer to the nearest dollar. Provide your answer below:

Answers

Rebecca will have approximately $826 in the account after 10 years.

To calculate the future value of the account, we can use the compound interest formula:

A = P * (1 + r/n)^(n*t),

where:

A = future value (amount in the account after t years),

P = principal (initial investment),

r = annual interest rate,

n = number of compounding periods per year,

t = number of years.

Plugging in the given values, we have:

P = $600,

r = 2.7% / 100 = 0.027 (decimal representation of the interest rate),

n = 4 (quarterly compounding),

t = 10.

Substituting these values into the formula, we get:

A = $600 * (1 + 0.027/4)^(4*10),

A ≈ $826.

Therefore, after 10 years, Rebecca will have approximately $826 in the account.

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