Selected information about income statement accounts for the Reed Company is presented below (the company's fiscal year ends on December 31):
2018 2017
Sales $ 4,450,000 $ 3,550,000
Cost of goods sold 2,870,000 2,010,000
Administrative expenses 810,000 685,000
Selling expenses 370,000 322,000
Interest revenue 151,000 141,000
Interest expense 202,000 202,000
Loss on sale of assets of discontinued component 54,000 —
On July 1, 2018, the company adopted a plan to discontinue a division that qualifies as a component of an entity as defined by GAAP. The assets of the component were sold on September 30, 2018, for $54,000 less than their book value. Results of operations for the component (included in the above account balances) were as follows:
1/1/18-9/30/18 2017 Sales $ 410,000 $ 510,000 Cost of goods sold (295,000) (326,000)
Administrative expenses (51,000) (41,000)
Selling expenses (21,000) (31,000)
Operating income before taxes $ 43,000 $ 112,000 In addition to the account balances above, several events occurred during 2018 that have not yet been reflected in the above accounts:
A fire caused $51,000 in uninsured damages to the main office building. The fire was considered to be an infrequent but not unusual event.
Inventory that had cost $41,000 had become obsolete because a competitor introduced a better product. The inventory was sold as scrap for $5,000.
Income taxes have not yet been recorded.
Required:
Prepare a multiple-step income statement for the Reed Company for 2018, showing 2017 information in comparative format, including income taxes computed at 40% and EPS disclosures assuming 400,000 shares of common stock. (Amounts to be deducted should be indicated with a minus sign. Round EPS answers to 2 decimal places.)

Answers

Answer 1

An income statement, also known as a profit and loss statement, is a financial statement that reports a company's revenues, expenses, gains, and losses over a specific period of time, usually a quarter or a fiscal year.

For the Year Ended December 31, 2018

2018 2017

Sales 4,450,000 3,550,000

Cost of goods sold 2,870,000 2,010,000

Gross profit 1,580,000 1,540,000

Operating expenses:  

Administrative expenses 810,000 685,000

Selling expenses 370,000 322,000

Total operating expenses 1,180,000 1,007,000

Operating income 400,000 533,000

Other income (expense):  

Interest revenue 151,000 141,000

Interest expense (202,000) (202,000)

Loss on sale of assets (54,000) —

Income before taxes 295,000 472,000

Income tax expense (118,000) (188,800)

Net income 177,000 283,200

EPS = Net income / Shares outstanding

Shares outstanding = 400,000

EPS for 2018 = 177,000 / 400,000 = $0.44

EPS for 2017 = 283,200 / 400,000 = $0.71

The fire damage and inventory write-off are not separately disclosed in the income statement as they are not considered material events.

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Related Questions

a corporation issues for cash $1,000,000 of 8%, 20-year bonds, interest payable annually, at a time when the market rate of interest is 10%. the straight-line method is adopted for the amortization of a bond discount or premium. which of the following statements is true?

Answers

The true statement is 'The amount of unamortized discount decreases from its balance at issuance date to a zero balance at maturity'. Therefore, the correct option is D.

It is given that a corporation issues for cash $1,000,000 of 10%, 20-year bonds, interest payable annually, at a time when the market rate of interest is 12%. The straight-line method is adopted for the amortization of bond discount or premium.

Since the market rate of interest (12%) is higher than the bond's stated rate (10%), the bonds will be issued at a discount. This means that the corporation will receive less cash than the bond's face value upon issuance. With the straight-line method, the bond discount is amortized evenly over the life of the bond.

This means that each year, a portion of the bond discount is recognized as an additional interest expense. As a result, the bond's carrying amount (face value minus unamortized discount) gradually increases over time. By the time the bond reaches maturity, the entire bond discount will have been amortized, and the unamortized discount will be zero.

This is why statement d is true: the amount of unamortized discount decreases from its balance at issuance date to a zero balance at maturity.

Note: The question is incomplete. The complete question probably is: A corporation issues for cash $1,000,000 of 10%, 20-year bonds, interest payable annually, at a time when the market rate of interest is 12%. The straight-line method is adopted for the amortization of bond discount or premium. Which of the following statements is true? a. The amount of the annual interest expense is computed at 10% of the bond carrying amount at the beginning of the year. b. The bonds will be issued at a premium. c. The amount of the annual interest expense gradually decreases over the life of the bonds. d. The amount of unamortized discount decreases from its balance at issuance date to a zero balance at maturity.

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An organization s tactical plan is its broadest set of plans developed as a guide for major policy setting and decision-making.
True
False

Answers

Answer:

I would say false.

Explanation:

This statement is not entirely accurate. A tactical plan is typically more focused and specific than a strategic plan, and it typically outlines the specific actions and steps that need to be taken to achieve specific goals or objectives.

An organization's tactical plan is its broadest set of plans developed as a guide for major policy setting and decision-making. False.

Explanation: This statement is false because it is describing a strategic plan, not a tactical plan. A strategic plan is the broadest set of plans that guide major policy setting and decision-making. A tactical plan, on the other hand, focuses on specific actions and objectives to implement the strategic plan.

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On February 5, 2021, the board of directors of Thompson & Thompson Builders voted to distribute $3,440,000 to the firm's stockholders. If the firm has issued 100.000 shares of 4% preferred stock with a par value of $50 and 1,860,000 shares of common stock outstanding, calculate the following. (Round all answers to the nearest cent.) 1. Dividend per share of preferred stock: se Х ? 2. Dividend per share of common stock: A

Answers

The dividend per share of preferred stock is $68.80 and the dividend per share of common stock is $1.77.

Dividend per share of preferred stock:
The total amount of dividends to be distributed to preferred stockholders is:
$3,440,000 x 4% = $137,600
The number of preferred shares is:
$100,000 par value / $50 per share = 2,000 shares

Therefore, the dividend per share of preferred stock is:
$137,600 / 2,000 shares = $68.80

Dividend per share of common stock:
The total amount of dividends available for common stockholders is:
$3,440,000 - $137,600 = $3,302,400
The number of common shares outstanding is:
1,860,000 shares

Therefore, the dividend per share of common stock is:
$3,302,400 / 1,860,000 shares = $1.77

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Allocating privately-held formal titles to agricultural land is more likely to be beneficial in regions where, other things equal,
crop production is becoming increasingly commercial.
there are extensive well-functioning informal credit markets.
population density is low.
existing communal systems of property rights work well.

Answers

Allocating privately-held formal titles to agricultural land is more likely to be beneficial in regions with increasing commercial crop production. This is due to the incentives provided for landowners to invest in their land and the ability to access formal credit markets with private titles as collateral.

Allocating privately-held formal titles to agricultural land is more likely to be beneficial in regions where crop production is becoming increasingly commercial. This is because private titles can provide incentives for landowners to invest in their land, enhance productivity, and contribute to economic growth in the region.

When crop production becomes more commercial, farmers often need to access capital to invest in machinery, seeds, and other inputs to improve productivity. Private land titles can serve as collateral for loans, enabling farmers to access formal credit markets that may not be available to those without clear land rights.

In regions with extensive well-functioning informal credit markets, allocating private titles may not be as beneficial. These markets can sometimes provide farmers with the necessary financial resources without the need for formal land titles.

Low population density areas may not benefit significantly from private land titles, as there may be enough land available for people to use without conflicts over property rights. Furthermore, formalizing land rights in low-density areas may be more challenging and costly due to larger land areas and fewer people to monitor property boundaries.

Lastly, in regions where existing communal systems of property rights work well, allocating private titles may not be necessary or desirable.

Communal systems can provide important social and environmental benefits, such as shared access to resources and protection of the ecosystem. Disrupting these systems with private titles could potentially lead to negative consequences for both the community and the environment.

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which of the following types of money adds to the volatility of emerging markets because it can be quickly withdrawn from its investment? group of answer choices

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The type of money that adds to the volatility of emerging markets because it can be quickly withdrawn from its investment is known as "hot money" or short-term speculative investment.

This type of investment is typically made with the intention of making a quick profit, and as such, can be easily moved in and out of markets. This can cause instability and volatility in emerging markets, as sudden outflows of hot money can lead to currency fluctuations and stock market crashes. Therefore, it is important for investors to carefully consider the impact of their investment decisions on the stability of emerging markets.

Pedro earned and incurred the following income and expenses: P200,000 Compensation (exclusive of mandatory contributions) Mandatory contributions Gross receipts from business 20,000 Cost of service 500,000 150,000 50,000 Operating expenses Royalties from books 40,000 Personal expenses 170,000 Interest income from client notes 8,000 Compute the taxable income subject to the graduated tax rates.

Answers

Pedro's taxable income subject to the graduated tax rates is P548,000.

 

Compute Pedro's taxable income subject to graduated tax rates. Here's a summary of Pedro's income and expenses:

1. Compensation (exclusive of mandatory contributions): P200,000
2. Mandatory contributions: not provided
3. Gross receipts from business: P500,000
4. Cost of service: P150,000
5. Operating expenses: P50,000
6. Royalties from books: P40,000
7. Personal expenses: P170,000 (not deductible)
8. Interest income from client notes: P8,000

First, we need to compute Pedro's net income from business by subtracting the cost of service and operating expenses from gross receipts:

Net income from business = P500,000 - P150,000 - P50,000 = P300,000

Next, we need to compute Pedro's total taxable income by adding his compensation, net income from business, royalties, and interest income:

Total taxable income = P200,000 + P300,000 + P40,000 + P8,000 = P548,000

Please note that mandatory contributions and personal expenses are not deductible when computing taxable income.

Therefore, Pedro's taxable income subject to the graduated tax rates is P548,000.

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It is argued that a point spread or total on a sports contest inthe betting market is similar to:A) A disequilibriumB) A price ceilingC) A price floorD) An asset price

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It is argued that a point spread or total on a sports contest in the betting market is similar to: A disequilibrium. The correct answer is A).

A point spread or total on a sports contest in the betting market is similar to a disequilibrium because it represents an imbalance in the market. In other words, the betting odds are not reflecting the true probability of the outcome, creating a situation where there is an opportunity for profit for those who can correctly predict the outcome.

This is similar to a disequilibrium in a traditional market where there is a mismatch between supply and demand, leading to an opportunity for profit for those who can exploit the imbalance.

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which statement is true? once an industry has achieved tacit collusion, producers will earn monopoly profits. tacit collusion is legal in the united states. the fact that firms adjust prices in response to other firms adjusting their price is proof of tacit collusion. it is difficult to determine how much tacit collusion exists in a particular industry; hence, tacit collusion remains hard to prosecute in the united states.

Answers

The answer to the question is that it is difficult to determine how much tacit collusion exists in a particular industry; hence, tacit collusion remains hard to prosecute in the United States.

While it is true that once an industry has achieved tacit collusion, producers may earn monopoly profits, and the fact that firms adjust prices in response to other firms adjusting their price is proof of tacit collusion, it is not true that tacit collusion is legal in the United States. In fact, it is illegal under antitrust laws, but it can be challenging to detect and prosecute. While tacit collusion may lead to monopoly profits, it is not a desirable outcome for the market, and efforts should be made to detect and prevent it through rigorous antitrust enforcement.

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Gamma had income before taxes (book income) of $500 and a tax rate of 40%. Included in this income are $80 in municipal bond interest and $10 in non-deductible fines and penalties. There are no other book-tax differences. How much is its taxable income?
A. How much is income tax expense?
B. How much is net income?

Answers

Municipal bond interest ($80) is tax-exempt, and non-deductible fines and penalties ($10) should be added back to the income.

So, the taxable income is $500 - $80 + $10 = $430. The income tax expense can be calculated by multiplying the taxable income by the tax rate: $430 * 40% = $172. To find the net income, we can subtract the income tax expense from the book income: $500 - $172 = $328.

Your answer: Gamma's taxable income is $430, its income tax expense is $172, and its net income is $328.

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a. The  income tax expense is  $164

b. The net income is $336.

To determine the taxable income, we need to subtract any non-taxable items and non-deductible expenses from the book income.

Book income (income before taxes) = $500

Tax rate = 40%

Municipal bond interest = $80

Non-deductible fines and penalties = $10

To calculate taxable income:

Taxable income = Book income - Non-taxable items - Non-deductible expenses

Taxable income = $500 - $80 - $10

Taxable income = $410

a) To calculate income tax expense, we multiply the taxable income by the tax rate:

Income tax expense = Taxable income * Tax rate

Income tax expense = $410 * 40%

Income tax expense = $164

b) To calculate net income, we subtract the income tax expense from the book income:

Net income = Book income - Income tax expense

Net income = $500 - $164

Net income = $336

Therefore, the taxable income is $410, the income tax expense is $164, and the net income is $336.

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a cost-cutting project will decrease costs by $65,700 a year. the annual depreciation will be $15,450 and the tax rate is 40 percent. what is the operating cash flow for this project? multiple choice $33,240 $45,600 $39,420 $20,100 $32,460

Answers

The answer is not one of the multiple choice options provided. The annual depreciation will be $15,450 and the tax rate is 40 percent.  $48,690 is the operating cash flow for this project.

The operating cash flow for this project can be calculated using the formula:

Operating cash flow = (Cost savings + Depreciation) x (1 - Tax rate)

Plugging in the given values, we get:

Operating cash flow = ($65,700 + $15,450) x (1 - 0.4)
Operating cash flow = $81,150 x 0.6
Operating cash flow = $48,690

Operating cash flow (OCF) is a measure of the amount of cash generated by a company's operations. It represents the cash inflows and outflows that are directly related to a company's core business activities.

To calculate OCF, you start with a company's earnings before interest and taxes (EBIT) and then make adjustments for non-cash expenses, such as depreciation and amortization, as well as changes in working capital. The resulting number represents the cash flow generated or used by a company's operations during a given period.

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suppose an investor purchased a call option with exercise price x for premium c on an asset that ends up with a terminal value of st. the investor will at least break even at expiration if:_____.

Answers

The investor will at least break even at expiration if the terminal value of the asset (st) is greater than or equal to the sum of the exercise price (x) and the premium paid for the call option (c). In other words, if st ≥ x + c, the investor will not incur a loss on the option purchase.

To determine if the investor will break even at expiration, we need to consider the payoff of the call option at expiration.

If the terminal value of the asset, st, is greater than the exercise price, x, then the option will be in-the-money and the investor can exercise the option, buying the asset at the exercise price x and selling it at the higher market price st. The profit will be st - x - c, where c is the premium paid for the option.

If the terminal value of the asset is less than or equal to the exercise price, x, then the option will be out-of-the-money and the investor will not exercise the option, letting it expire worthless. The loss will be the premium paid, c.

Therefore, the investor will break even at expiration if the terminal value of the asset, st, is equal to the sum of the exercise price, x, and the premium paid for the option, c:

st = x + c.

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In which of these cases is there no right of legal redemption?
A) Where the owner of urban land which is so small and so situated that it cannot be used for a practical purpose sells the same to a third person.
B) Where the co-owner of an undivided immovable property donates his undivided interest to a third person.
C) Where the owner of rural property one hectare or less sells his property to a third person who owns other rural land or lands.
D) Where a co-owner of an undivided immovable sells his interest to a third person.

Answers

The case in which there is no right of legal redemption is option B) Where the co-owner of an undivided immovable property donates his undivided interest to a third person.

Legal redemption is the right to repurchase the property that has been sold, within a certain period, by paying the sale price plus any other expenses incurred by the buyer. In general, the right of legal redemption is available to the seller in cases where the sale is made without his or her consent or against his or her will.

In options A), C), and D), the seller is voluntarily selling the property to a third person, and the right of legal redemption may be available depending on the specific circumstances of the sale. However, in option B), the co-owner is not selling his or her interest voluntarily but is donating it to a third person, and as such, the right of legal redemption does not apply.

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in the context of the preparation of a pro forma income statement, the key element in a firm's sales budget is

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The key element in a firm's sales budget is the sales forecast. A sales forecast estimates the expected sales revenue for a given period, such as a month, quarter, or year.

It is a crucial component of a pro forma income statement because it forms the basis for estimating the firm's revenue. The sales forecast is typically based on historical sales data, market trends, and industry analysis. It may also consider the impact of internal and external factors, such as changes in the economic environment, competition, and consumer behavior. Sales forecasts can be prepared using a variety of methods, such as trend analysis, regression analysis, and expert opinion. Once the sales forecast is determined, it serves as the foundation for preparing the firm's pro forma income statement. The income statement projects the expected revenues, costs, and profits for the upcoming period based on the sales forecast. The sales budget is the first step in this process and provides a critical starting point for forecasting the firm's financial performance.

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a recent test on a house came back with a high level of radon, and both the buyer and seller are worried. the inspector is not, however, because...?

Answers

A recent test on a house indicating a high level of radon is a cause for concern for both the buyer and the seller. Radon is a radioactive gas that is naturally occurring and can seep into homes through cracks in the foundation or walls. Prolonged exposure to high levels of radon can cause lung cancer, which is why it is important to address the issue promptly.

However, the inspector may not be worried because they understand that radon is a common issue in homes and can be mitigated easily. Mitigation involves installing a ventilation system that pulls radon gas from the home and vents it outside, reducing the risk of exposure to harmful levels.

It is possible that the inspector has seen this issue before and understands that it can be resolved easily. It is important for the buyer and seller to work together to find a solution that addresses the issue of high radon levels. This may involve negotiating repairs or requesting that the seller take care of the mitigation before closing.

Overall, a high level of radon in a home is a serious concern, but it is also a common issue that can be resolved with the proper mitigation techniques. It is important for both the buyer and seller to take the necessary steps to ensure that the home is safe for occupancy.

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Jigs and Fixtures ise-jaw w jigs ned for 9. What two methods could be used for that must drill multiple-hole patters? 10. How can the relation of the Jig plate and vise ja be accurately controlled? 11. Which jaw should be used to locate the purt? 12. What should be done with the spacing collars when the tool is not in use? 13. What provision must be made with regard to the feeler gauge when calculating the set block size 14. How can jaws made from bismuth alloys be made more wear-resistant? make parts? hetrical enests

Answers


To accurately control the relation of the jig plate and vise jaw, the vise jaw should be securely tightened onto the jig plate and then adjusted until it is perfectly perpendicular to the jig plate.

This can be checked with a square.The movable jaw should be used to locate the part, as it allows for more precise positioning and alignment. When the tool is not in use, the spacing collars should be stored in a safe and organized manner to prevent loss or damage. When calculating the set block size using a feeler gauge, it is important to ensure that the feeler gauge is of the correct thickness and that it is clean and free of any debris or damage. When calculating the set block size using a feeler gauge, it is important to ensure that the feeler gauge is of the correct thickness and that it is clean and free of any debris or damage.

To make jaws made from bismuth alloys more wear-resistant, they can be coated with a hard ceramic or metal layer using techniques such as plasma spraying or electroplating. This will increase their durability and extend their lifespan when used to make parts.
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present values with multiple cash flows a first-round draft choice quarterback has been signed to a three-year, $25 million contract. the details provide for an immediate cash bonus of $2 million. the player is to receive $5 million in salary at the end of the first year, $8 million the next, and $10 million at the end of the last year. assuming a 15 percent discount rate, is this package worth $25 million? if not, how much is it worth?

Answers

Based on a 15% discount rate, the three-year, $25 million contract is not worth $25 million. Instead, it is worth approximately $18.97 million in present value terms.

To determine if the three-year, $25 million contract with multiple cash flows is worth its stated value, we need to calculate the present value of each cash flow and then sum them up. The contract includes an immediate cash bonus of $2 million, a $5 million salary at the end of the first year, $8 million in the second year, and $10 million in the third year. We will use a 15% discount rate.


Step 1: Calculate the present value of each cash flow using the formula: PV = FV / (1 + r)^n, where PV is the present value, FV is the future value, r is the discount rate, and n is the number of years.
PV (Year 0) = $2 million (immediate cash bonus)
PV (Year 1) = $5 million / (1 + 0.15)^1 = $5 million / 1.15 = $4.35 million
PV (Year 2) = $8 million / (1 + 0.15)^2 = $8 million / 1.3225 = $6.05 million
PV (Year 3) = $10 million / (1 + 0.15)^3 = $10 million / 1.520875 = $6.57 million


Step 2: Add up the present values of all cash flows.
Total PV = PV (Year 0) + PV (Year 1) + PV (Year 2) + PV (Year 3)
Total PV = $2 million + $4.35 million + $6.05 million + $6.57 million = $18.97 million
Therefore,  contract is not worth $25 million. Instead, it is worth  $18.97 million in present value terms.

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What are deposits and the money supply if the required reserve ratio is 50% and reserves are 5,000 with currency in circulation of 2,000 ? (use the assumptions of the simple money multiplier)

Answers

The deposits and the money supply will increase by a certain amount, based on the required reserve ratio and the amount of reserves and currency in circulation.

To explain this further, we can use the simple money multiplier formula:
Simple Money Multiplier = 1 / Required Reserve Ratio
In this case, the required reserve ratio is 50%, so the simple money multiplier is 1 / 0.5 = 2.
To calculate the change in deposits and the money supply, we can multiply the initial amount of reserves by the simple money multiplier:
Change in Deposits = Reserves x Simple Money Multiplier
Change in Deposits = 5,000 x 2 = 10,000
This means that deposits will increase by $10,000. To find the new money supply, we add the initial currency in circulation to the new deposits:
New Money Supply = Currency in Circulation + New Deposits
New Money Supply = 2,000 + 10,000 = 12,000
Therefore, the new money supply will be $12,000.
When the required reserve ratio is 50% and reserves are $5,000 with currency in circulation of $2,000, the deposits will increase by $10,000 and the new money supply will be $12,000.

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For each account listed, make sure to select (1) the correct account category, (2) ir the account increases with debit or credit side, and (3) on which financial statement such account is reported . For revenues and expenses, make sure to select revenue or expense as account category .
For noncial statement of the account appears in more than one financial statement make sure to select both statements

Answers

In accounting and finance, assets refer to resources that are owned or controlled by an individual or a business entity and have economic value. Assets can be classified into different categories based on their characteristics and usage.



1. Assets:
  - Account Category: Asset
  - Increases with: Debit
  - Financial Statement: Balance Sheet
2. Liabilities:
  - Account Category: Liability
  - Increases with: Credit
  - Financial Statement: Balance Sheet
3. Owner's Equity:
  - Account Category: Equity
  - Increases with: Credit
  - Financial Statement: Balance Sheet, Statement of Owner's Equity
4. Revenues:
  - Account Category: Revenue
  - Increases with: Credit
  - Financial Statement: Income Statement
5. Expenses:
  - Account Category: Expense
  - Increases with: Debit
  - Financial Statement: Income Statement
Keep in mind that certain accounts may appear in multiple financial statements, such as the Statement of Cash Flows or Statement of Owner's Equity. It depends on the specific account and the context in which it is used.

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what are the problems and challenges faced by Hili ventures inMalta?

Answers

The Malta-based Hili Ventures reported revenue of more than 400 million euros by 2020 while maintaining the level of 2019 billing.

The group participates in ten countries in North Africa, including McDonald's and Apples, Logistics, Navy and Engineering, Technology, Property, Oil and Gas, Hospitality and Association. Without losing any of the COVID-19 work, the complement of 9,500 personnel has remained for more than 2020 years.

Although the pandemic coronavirus made business in Europe challenging, EBITDA is anticipated to surpass 60 million euros by 2020. To achieve its goal of accelerating progress in short-haul international exports, the Group completed the acquisition of all non-American boat boat firms in Treekay Marine Energy Tankers in March.

Thus, The Malta-based Hili Ventures reported revenue of more than 400 million euros by 2020.

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true or false middle adulthood does not offer people opportunities for exercising creativity, expanding knowledge, and gaining intellectual experience.

Answers

The statement " middle adulthood does not offer people opportunities for exercising creativity, expanding knowledge, and gaining intellectual experience. " is false.

This stage of life often involves personal and professional growth, with individuals pursuing new hobbies, taking on new challenges, and continuing to learn and develop new skills.

Many middle-aged individuals also take on leadership roles, which require critical thinking and problem-solving abilities.

Additionally, with advances in technology and the accessibility of online learning, gaining intellectual experience has never been easier. Overall, middle adulthood is a time of great potential for personal growth and development.

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based on predicted production of 37,000 units, a company anticipates $925,000 of fixed costs and $841,750 of variable costs. the flexible budget amounts of fixed and variable costs for 35,000 units are (do not round intermediate calculations):

Answers

To calculate the flexible budget amounts for 35,000 units, we'll first find the variable cost per unit and then adjust the variable costs for the new production level.

1. Calculate the variable cost per unit:
Variable Cost per Unit = Total Variable Costs / Predicted Production
Variable Cost per Unit = $841,750 / 37,000 units
Variable Cost per Unit = $22.75

2. Calculate variable costs for 35,000 units:
Adjusted Variable Costs = Variable Cost per Unit x New Production Level
Adjusted Variable Costs = $22.75 x 35,000 units
Adjusted Variable Costs = $795,250

3. Fixed costs remain the same at $925,000.

The flexible budget amounts for 35,000 units are:
Fixed Costs: $925,000
Variable Costs: $795,250

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One result of stores using a distribution center over receiving orders from a vendor directly is that
Multiple Choice
more backup inventory is needed.
merchandise can be delivered to all the stores in one area more economically.
it helps stores avoid running out of stock or having too much stock.
it is harder to keep track of inventory since it's spread out.
it is more costly.

Answers

The result of stores using a distribution center over receiving orders from a vendor directly is that merchandise can be delivered to all the stores in one area more economically.

When stores receive orders from a vendor directly, the orders are often smaller and may require multiple shipments to different stores. This can result in higher transportation costs, as well as an increased need for backup inventory to ensure that stores do not run out of stock.

On the other hand, using a distribution center allows for larger shipments to be sent to one central location, which can then be distributed to the individual stores in that area more economically.

This can help reduce transportation costs and the need for backup inventory. Additionally, using a distribution center can help stores better manage their inventory levels, as they can more easily track incoming and outgoing shipments from a single location.

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1. The real estate commission is made up of: (a) brokers only (b) a chairman and five other members (c) the director and five other members (d) four licensees and one non-real estate professional.
2. Which of the following are not duties and responsibilities of the real estate commission? (a) supervise and administer the licensing tests. (b) arbitrate commission disputes between sales agents and their brokers. (c) make and enforce rules and regulations. (d) examine records of licenses real estate principal brokers.

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1.The correct answer is C the director and five other members. The real estate commission is usually comprised of individuals who have experience in the real estate industry, but it also includes one member who is not a real estate professional.


2. The correct answer is (a) supervise and administer the licensing tests. While the real estate commission oversees the licensing process and ensures that all licensees meet certain requirements, they do not administer the actual licensing tests.

The commission does have the authority to arbitrate commission disputes between sales agents and their brokers, make and enforce rules and regulations, and examine records of licensed real estate principal brokers. This is referred to as an arbitrate commission. The real estate commission is made up of four licensees and one non-real estate professional.

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door company has collected the following data concerning one of its electronic keypad deadbolt: unit selling price, $145; total sales, 15,000 units; unit cost, $115; and total investment, $1,800,000. the return on investment (roi) percentage is:_____.

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The ROI percentage for the electronic keypad deadbolt can be calculated using the formula: ROI = (Net Profit / Total Investment) x 100. To find the net profit, we need to subtract the total cost from the total sales. In this case, the total sales are 15,000 units sold at a unit selling price of $145, which gives us a total sales figure of $2,175,000. The total cost is calculated by multiplying the unit cost by the total number of units sold, which gives us a total cost of $1,725,000.

To calculate the net profit, we need to subtract the total cost from the total sales:

Net Profit = Total Sales - Total Cost
Net Profit = $2,175,000 - $1,725,000
Net Profit = $450,000

Now that we have the net profit and the total investment, we can calculate the ROI percentage:

ROI = (Net Profit / Total Investment) x 100
ROI = ($450,000 / $1,800,000) x 100
ROI = 25%

Therefore, the ROI percentage for the electronic keypad deadbolt is 25%. This means that for every dollar invested, the company is making 25 cents in profit. This is a decent ROI percentage and indicates that the investment in the electronic keypad deadbolt has been profitable for the door company.

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Fill in the blank: a business firm should blank ____ its markets so it can respond more effectively to the needs of its potential buyers, which should result in increased sales and profits.

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A business firm should segment its markets so it can respond more effectively to the needs of its potential buyers, which should result in increased sales and profits.

Market segmentation is the process of dividing a large and heterogeneous market into smaller and more homogeneous groups of customers who have similar needs, characteristics, or behaviors. This allows companies to create targeted marketing strategies and tailor their products or services to meet the specific needs and preferences of each segment. Market segmentation can be based on a variety of factors, such as demographics, psychographics, geographic location, behavior, or product usage.

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in the traditional perspective, public relations is a____function whose primary responsibility is to maintain mutually beneficial relationships between an organization and its publics.

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In the traditional perspective, public relations is an organizational function whose primary responsibility is to maintain mutually beneficial relationships between an organization and its publics.

Public relations professionals work to help build and maintain a positive image for the organization, communicate its messages effectively to its various stakeholders, and manage any potential crises or issues that may arise. The goal of public relations is to create a strong and positive relationship between the organization and its publics, including customers, employees, investors, media outlets, and the general public. Overall, public relations plays a critical role in shaping the reputation and success of an organization.

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one of the ways to formulate the markowitz model is which of the following? maximize the variance of the portfolio subject to a constraint on the expected return of the portfolio minimize the variance of the portfolio subject to a constraint on the expected return of the portfolio minimize the expected return of the portfolio with no constraint on variance minimize the expected return of the portfolio subject to a constraint on variance

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The correct way to formulate the Markowitz model is to minimize the variance of the portfolio subject to a constraint on the expected return of the portfolio.

This means that the portfolio will be constructed in such a way that the risk (as measured by the variance) is minimized while still ensuring that the expected return meets a certain threshold. This approach takes into account the trade-off between risk and return, and allows investors to construct portfolios that are tailored to their specific risk preferences. By minimizing variance, the Markowitz model seeks to create a portfolio that is diversified and not overly exposed to any single asset or risk factor. Overall, the Markowitz model has been widely adopted by investors and is considered to be a cornerstone of modern portfolio theory.

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Current us GAAP permits firms to display the components of other comprehensive income in which of the following formats current us GAAP permits firms to display the components of other comprehensive income in which of the following formats
A) as a schedule appearing in the notes to the financial statements.
B) in a two-statement approach, one in which net income comprises one
C) as part of the statement of changes in stockholders' equity.
D) as a part of the statement of cash flows

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A) as a schedule appearing in the notes to the financial statements.

Current US GAAP permits firms to display the components of other comprehensive income as a schedule appearing in the notes to the financial statements, in a two-statement approach, one in which net income comprises one, or as part of the statement of changes in stockholders' equity. The answers is A), B) and C)

Other comprehensive income (OCI) refers to gains and losses that are not included in net income but affect a company's overall financial performance. These gains and losses can come from various sources such as changes in the value of available-for-sale securities or foreign currency translation adjustments.

Under current US GAAP, companies have the flexibility to present the components of OCI in one of three formats. The first format is to provide a schedule in the notes to the financial statements that shows the components of OCI and how they are calculated.

The second format is to present OCI as part of a two-statement approach, where one statement shows net income and the other statement shows the components of OCI. The third format is to include OCI as part of the statement of changes in stockholders' equity.

The choice of format will depend on the company's preferences and the needs of its stakeholders. However, regardless of the format chosen, companies must ensure that the information provided is clear, transparent, and relevant to users of the financial statements.

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the labor supply curve will be positively sloped if the substitution effect of wages is group of answer choices stronger than the income effect of wages. equal to the income effect of wages. weaker than the income effect of wages. negative.

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The labor supply curve will be positively sloped if the substitution effect of wages is stronger than the income effect of wages. Positive sloped labor supply curve occurs when the incentive to work outweighs the income effect, leading workers to work more.

The labor supply curve reflects the relationship between the wage rate and the quantity of labor that individuals are willing and able to supply to the market.

The substitution effect of wages refers to the idea that as wages increase, workers may be more inclined to work more hours or enter the workforce, as the opportunity cost of leisure time becomes higher.

On the other hand, if the income effect of wages is stronger than the substitution effect, then the labor supply curve will be negatively sloped.

This would indicate that as wages increase, workers are more likely to reduce their labor supply as they can afford to work less and enjoy more leisure time.

Overall, the shape of the labor supply curve is influenced by various factors, including individual preferences, income levels, and the overall state of the labor market.

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3 E5-4 (Preparation of a Classified Statement of Financial Position) Assume that Gulistan Inc. has the following accounts at the end of the current year. 1. Share Capital-Ordinary. 14. Accumulated Depreciation-Buildings. 2. Notes Payable (long-term). 15. Cash Restricted for Plant Expansion. 3. Treasury Shares (at cost). 16. Land Held for Future Plant Site. 4. Note Payable (short-term). 17. Allowance for Doubtful Accounts 5. Raw Materials. (Accounts Receivable). 6. Long-Term Investment in Preference Shares. 18. Retained Earnings. 7. Unearned Rent Revenue. 19. Share Premium-Ordinary. 8. Work in Process. 20. Unearned Service Revenue. 9. Copyrights. 21. Receivables-Officers (due in 1 year). 22. Finished Goods. 10. Buildings. 23. Accounts Receivable. 11. Notes Receivable (short-term). 24. Bonds Payable (due in 4 years). 12. Cash 13. Salaries and Wages Payable. Instructions Prepare a classified statement of financial position in good form. (No monetary amounts are necessary.)

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Below is a general format of a classified statement of financial position for Gulistan Inc. with the given accounts. Since no monetary amounts are necessary, this outline should be helpful for organizing the accounts into the appropriate categories.


I. Current Assets:
  1. Cash
  2. Accounts Receivable (less Allowance for Doubtful Accounts)
  3. Notes Receivable (short-term)
  4. Raw Materials
  5. Work in Process
  6. Finished Goods

II. Non-Current Assets:
  A. Property, Plant, and Equipment:
     1. Land Held for Future Plant Site
     2. Buildings (less Accumulated Depreciation-Buildings)
     3. Cash Restricted for Plant Expansion
  B. Long-Term Investments:
     1. Long-Term Investment in Preference Shares
  C. Intangible Assets:
     1. Copyrights

III. Current Liabilities:
  1. Note Payable (short-term)
  2. Accounts Payable
  3. Salaries and Wages Payable
  4. Unearned Rent Revenue
  5. Unearned Service Revenue

IV. Non-Current Liabilities:
  1. Notes Payable (long-term)
  2. Bonds Payable (due in 4 years)

V. Equity:
  1. Share Capital-Ordinary
  2. Share Premium-Ordinary
  3. Treasury Shares (at cost)
  4. Retained Earnings

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