Supervisor: "He is going to rue missing today's training session." Why would he need to make up for missing today's training session? Why would he be mad about missing today's training session? Why would he regret missing today's training session? Why would he love missing today's training session? Why would he try missing today's training session?

Answers

Answer 1

Answer:

He would need to make up for missing today's training session because it is going to be a very important session that will help him a lot to improve his skills.

He would be mad about missing it because he would lose that valuable opportunity to improve his skills, as well as because he would have to make up for missing it.

He would regret missing the session for the same reason.

He tried missing today's session because he had other things on mind, more pressing tasks, the session is valuable but boring, etc.

Answer 2

The reason he would regret missing today's training session since it will be a crucial session that will greatly assist him in improving his talents.

What are training sessions?

Training programs are seen as an important aspect of human resource development. It's a well-organized instrument for bringing certain abilities up to the target level using knowledge, training, coaching, and practice.

Thus, The reason he regret missing today's training session is the right as the training program is significant for him.

Learn more about training sessions here:

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Related Questions

The price of Good B increases by 4%, causing the quantity demanded of Good A to decrease by 6%. The cross-price elasticity of demand is ________, and the goods are ________.

Answers

Answer:

The answer is -1.5 and complementary goods

Explanation:

Cross price elasticity is the percentage decrease in quantity demanded divided percentage increase in price.

= -6/4

= - 1.5.

Because the sign is negative, the goods are complements. Complementary goods are directly related. As in they move in the same direction.

For example, car and fuel are complements. The increase in quantity demanded for car will increase the quantity demanded for fuel. Or if the price of car goes up, all things being equal, the quantity demanded of car will reduce and for fuel too.

You have $15,000 to invest and would like to create a portfolio with an expected return of 10.1 percent. You can invest in Stock K with an expected return of 8.8 percent and Stock L with an expected return of 12.4 percent. How much will you invest in Stock K

Answers

Answer:

$9,583.33

Explanation:

The computation of the amount invested in the stock K is shown below

Let us assume the amount invested in stock K be Y

So according to this, following formula should be used

The Expected return of portfolio × Amount invested = Expected return of K × Amount invested in K + Expected return of L × Amount invested in L

0.101 × $ 15,000 = 0.088 × Y + 0.124 × ( $ 15,000 - Y )

$1,515 = 0.088Y + $ 1,860 - 0.124Y

0.036Y = $ 345

Y = $ 345 ÷ 0.036

= $9,583.33

Exercise 183 Wayne Company reported net income of $265,000 for 2020. Wayne also reported depreciation expense of $45,000 and a loss of $8,000 on the sale of equipment. The comparative balance sheet shows a decrease in accounts receivable of $15,000 for the year, a $17,000 increase in accounts payable, and a $6,000 decrease in prepaid expenses.Prepare the operating activities section of the statement of cash flows for 2020. Use the indirect method.

Answers

Answer:

Net cash flow of the operating activities is $356,000

Explanation:

                               Wayne Company

                   Partial statement of Cash flow

          For the year Ended December 31, 2021

Cash flow from operating activities:

Net Income                                                         $265,000

Adjustment to reconcile net income to net  

cash provided by operating activities

Depreciation expenses                    $45,000

Loss on sale of equipment               $8,000

Decrease in accounts receivable     $15,000

Decrease in prepaid expenses         $6,000

Increase in accounts payable            $17,000    $91,000

Net cash provided by operating activities       $356,000

Kim's Bridal Shoppe has 11,400 shares of common stock outstanding at a price of $48 per share. It also has 275 shares of preferred stock outstanding at a price of $90 per share. There are 300 bonds outstanding that have a coupon rate of 6.7 percent paid semiannually. The bonds mature in 29 years, have a face value of $2,000, and sell at 108 percent of par. What is the capital structure weight of the common stock

Answers

Answer:

0.0203

Explanation:

Calculation for the capital structure weight of the common stock

First step is to calculate the Value of Common Stock

Value of Common Stock = 11,400(48)

Value of Common Stock= $547,200

Second step is to calculate the Value of Preferred Stock

Value of Preferred Stock = 275(90)

Value of Preferred Stock = $24,750

Third step is to calculate the Value of Debt

Value of Debt = 1.08(2,000)(300)

Value of Debt= $648,000

Last step is to calculate the Weight of Preferred Stock

Weight of Preferred Stock = 24,750/(547,200 + 24,750 + 648,000)

Weight of Preferred Stock = 0.0203

Therefore the capital structure weight of the common stock will be 0.0203

Soar Incorporated is considering eliminating its mountain bike division, which reported an operating loss for the recent year of $3,000. The division sales for the year were $1,047,000 and the variable costs were $860,000. The fixed costs of the division were $190,000. If the mountain bike division is dropped, 30% of the fixed costs allocated to that division could be eliminated. The impact on operating income for eliminating this business segment would be:

Answers

Answer:

$130,000 decrease

Explanation:

Multiple Choice $57,000 decrease $130,000 decrease $54,000 decrease $187,000 increase $187,000 decrease

Calculation of Financial advantage / Disadvantage

Decrease in contribution margin        $187,000

(1,047,000-860,000)

Decrease in fixed expenses                $57,000

(190000*30%)

Decrease in Net Operating Income  $130,000 (Financial disadvantage)

Franklin is designing an advertisement. What is a good practice for him to follow? A. make the headline long and complicated B. use simple images in the advertisement C. show the product in use in the advertisement D. use a lot of text in the advertisement

Answers

Answer:

I would say C. Show the product in use in the advertisement.

Explanation The point of advertisement is that people immediately know if they want to have/buy the products advertised. With showing the product in use, you achieve exactly this. If person likes, what he sees, he buys the product.

On the other hand, if a person only sees random simple images, he may see pictures of not the product itself or the purpose for what it can be used. So he doesn't know, if he needs or wants the product.

Answer:

C. show the product in use in the advertisement

Explanation:

Try to show the product in use in your photograph rather than a static picture of the product. Showing the product in use more effectively demonstrates its usability.

Write an equation to solve and find the answer to the following rate problem. Show all of your work. A gardening store sells 6 plants per hour. How many plants they will sell in 5 hours?

Answers

Answer:

30 plants

Explanation:

The store sells six plants per hour; in 5 hours, the store will sell

i.e., 1 hr = 6 plants,  

if 5 hr = 6 plants x 5

=30 plants

Answer:

21

Explanation:

discuss briefly what you understanding engineering​

Answers

Answer:

Engineering is the application of science and math to solve problems. Engineers figure out how things work and find practical uses for scientific discoveries. Scientists and inventors often get the credit for innovations that advance the human condition, but it is engineers who are instrumental in making those innovations available to the world. Engineers design, evaluate, develop, test, modify, install, inspect and maintain a wide variety of products and systems. They also recommend and specify materials and processes, supervise manufacturing and construction, conduct failure analysis, provide consulting services and teach engineering courses in colleges and universities.

The following information was taken from the 2021 financial statements of Waterway Industries: Bonds payable, January 1, 2021 $ 809000 Bonds payable, December 31, 2021 4830000 During 2021 • A $725000 payment was made to retire bonds payable with a face amount of $807000. • Bonds payable with a face amount of $319000 were issued in exchange for equipment. In its statement of cash flows for the year ended December 31, 2021, what amount should Waterway report as proceeds from issuance of bonds payable?

Answers

Answer:

the amount reported as proceeds from bond issuance is $4,509,000

Explanation:

The computation of the amount reported as proceeds from bond issuance is as follows

Total Bond Issued during 2021

= Bonds payable, December 31, 2021 - Bonds payable, January 1, 2021 + Bond Payable retired

= $4,830,000 - $809,000 + $807,000

= $4,828,000

Now

Bond issued for cash is

= Total bond issued - Bonds issued in exchange for Equipment

= $4,828,000 - $319,000

= $4,509,000

Hence, the amount reported as proceeds from bond issuance is $4,509,000

please help me answer this...

Answers

i cant see it Ooooooooooooooo
I cant see the question either

The efficient market hypothesis has several forms. The weak form states that past price data is unrelated to future prices. prices reflect all public information. all information both public and private is immediately reflected in stock prices. none of these options are true.

Answers

Answer:

past price data is unrelated to future prices.

Explanation:

The efficient market hypothesis (EMH) is a theory of investment in which it proves that it is unattainable to strike the stock market.

Here there are 3 forms that is a weak one, semi-strong one and strong one

In the weak form it implies that there is an efficient market that represent the market information also the market rate of return is independent but the the rates that are in past have no impact on the future rates

therefore the first option is correct

A manager must decide how many machines of a certain type to buy. The machines will be used to manufacture a new gear for which there is increased demand. The manager has narrowed the decision to two alternatives: buy one machine or buy two. If only one machine is purchased and demand is more than it can handle, a second machine can be purchased at a later time. However, the cost per machine would be lower if the two machines were purchased at the same time. The estimated probability of low demand is .30, and the estimated probability of high demand is .70. The net present value associated with the purchase of two machines initially is $75,000 if demand is low and $130,000 if demand is high. The net present value for one machine and low demand is $90,000. If demand is high, there are three options. One option is to do nothing, which would have a net present value of $90,000. A second option is to subcontract; that would have a net present value of $110,000. The third option is to purchase a second machine. This option would have a net present value of $100,000. How many machines should the manager purchase initially

Answers

Answer:

BUY TWO MACHINES

Explanation:

Calculation for how many machines should the manager purchase initially

BUY ONE MACHINE =(High demand 0.7*100,000)+(Low demand 0.3*90,000)

BUY ONE MACHINE =70,000+27,000

BUY ONE MACHINE=97,000

Note :High demand 100,000 is the Average of Do nothing ,Tomorrow Sub-contract and Buy second machine

High demand=90,000+110,000+100,000

High demand=300,000/3

High demand=100,000

BUY TWO MACHINES

High demand =(0.7 x 130000)

High demand= 91,000

Low demand= (0.3 x 75000)

Low demand=22,500

Hence,

BUY TWO MACHINES= (91,000 + 22,500)

BUY TWO MACHINES=113,500

Based on the above calculation we can see that

the expected payoff from BUY ONE MACHINE is 97,000 while that of BUY TWO MACHINES is 113,500 which means that BUY TWO MACHINES is higher hence, the manager should BUY TWO MACHINES today.

Ridiculousness, Inc., has sales of $48,000, costs of $21,200, depreciation expense of $1,900, and interest expense of $1,200. If the tax rate is 35 percent, what is the operating cash flow, or OCF

Answers

Answer:

OCF = $18,505

Explanation:

To calculate OCF, we first need the income statement:

Income Statement

Sales $ 48,000

Costs 21,200

Depreciation 1,900

EBIT $ 24,900

Interest 1,200

Taxable income $ 23,700

Taxes (35%) 8295

Net income $ 15,405

OCF = EBIT + Depreciation - Taxes

OCF = $24,900 + 1,900 - 8,295

OCF = $18,505

A comparative balance sheet for Rocker Company appears below:ROCKER COMPANYComparative Balance SheetDec. 31, 2020 Dec. 31, 2019Assets Cash $34,000 $11,000Accounts receivable 18,000 13,000Inventory 25,000 17,000Prepaid expenses 6,000 9,000Long-term investments 0 17,000Equipment 60,000 33,000Accumulated depreciation-equipment (20,000) (15,000)Total assets $123,000 $85,000Liabilities and Stockholder's Equity Accounts payable $17,000 $7,000Bonds payable 36,000 45,000Common stock 40,000 23,000Retained earnings 30,000 10,000Total liabilities and stockholders' equity $123,000 $85,000Additional information:1. Net income for the year ending December 31, 2020 was $35,000.2. Cash dividends of $15,000 were declared and paid during the year.3. Long-term investments that had a cost of $17,000 were sold for $14,000.4. Sales for 2017 were $120,000.Prepare a statement of cash flows for the year ended December 31, 2020 using indirect method.

Answers

Answer and Explanation:

The preparation of the cash flow statement is presented below:

Rocker Company

Cash flow statement

Cash flow from operating activities  

Net Income $35000

Adjustments made

Depreciation $5,000

Loss on sale of investments $3,000

Change in operating assets & liabilities  

Less: Increase in accounts receivable  -$5,000

Less: Increase in inventory -$8,000

Add: Decrease in prepaid expenses $3,000

Add: Increase in accounts payable $10,000

Net cash flow from operating activities (a) $43,000

Cash Flow from Investing activities  

Sale of long term investments $14,000

Less: Purchase of equipment -$27000

Net cash Flow from Investing activities (b)-$13,000

Cash Flow from Financing activities  

Dividends paid -$15,000

Less: Bonds payable paid -$9,000

Add: Common stock issued $17,000

Net cash Flow from Financing activities (c) -$7,000

Net Change in cash c = a + b + c $23,000

Add: Beginning cash balance $11,000

Closing cash balance $34,000

Lucy's Music Emporium opened its doors on January 1, 2015, and it was granted permission to use the same depreciation calculations for shareholder reporting and income tax purposes. The company planned to depreciate its fixed assets over 20 years, but in December 2015 management realized that the assets would last for only 15 years. The firm's accountants plan to report the 2015 financial statements based on this new information. How would the new depreciation assumption affect the company's financial statements? a. The firm's reported 2015 earnings per share would increase. b. The firm's EBIT would increase. c. The firm's net liabilities would increase. d. The firm's reported net fixed assets would increase.

Answers

Answer:

The firm's cash position in 2015 and 2016 would increase.

Explanation:

In the case when the life of an asset would decrease that represents the depreciation would rise and if the depreciation rise so the EBIT and EPS would reduced and in the case when the EBIT reduced, so automatically the tax expense is also reduce

So, the cash position of the firm woud increase

Hence, the above represents the answer

An example of the multiplier effect is when: Group of answer choices an increase in government spending leads to a decrease in private investment. the government increases government spending initially by $100 billion, and total income in the economy increases by more than $100 billion. short-run aggregate supply shifts in a response to fiscal policy. an increase in the price level leads to a shift in the aggregate demand curve. the government increases government spending initially by $100 billion, and total income in the economy increases by less than $100 billion.

Answers

Answer:

the government increases government spending initially by $100 billion, and total income in the economy increases by more than $100 billion.

Explanation:

When there is a rise in the government spending so it would rise the income i.e. higher that this represents the multiplier effect

If there is a rise in government spending so the Aggregate demand curve should be right due to which the income and level of the price would rise

Also if there is any change in the price level that moves along with the similar curve so this we cant called as the multiplier effect

hence, the above represent the answer

What are some ways that businesses can implement internal accounting controls

Answers

5 Ways to Implement Internal Controls at Your Company or...
Segregation of Duties in the Cash Receipts Cycle. ...
Systems Access and Security. ...
Safeguarding Assets. ...
Approval Process. ...
Review Process. ...
Contact Us with Your Questions.

Answer:

Segregation of Duties in the Cash Receipts Cycle.  

Systems Access and Security.  

Safeguarding Assets.  

Approval Process.  

Review Process.

Explanation:

A well-known fashion brand in Pakistan recently faced a scandal. The owner's husband got arrested for allegedly sending their employee away upon diagnosis of Corona virus. The Police claimed the designer and her husband should have notified the authorities and admitted the sick employee to a hospital. However, the couple claimed their duty was to just send the employee away after guiding him. The husband got released the very next day for which they thanked Prime Minister.

Answers

Answer:

ok

Explanation:

is this real ?? when did this happen ?

g 2018: US Bond A is issued at par with annual coupon of 2% and maturity of 5 years with face value of $1,000. 2019: Interest rates increase in the market 2020: US Bond B is issued at par today with annual coupon of 5% and a maturity of 3 years with face value of $1,000.What should the price of Bond A be today, 2020, with 3 years left to maturity, so that its yield to maturity is equal to the yield to maturity on Bond B

Answers

Answer:

$918.48

Explanation:

price of bond A after the interest rate increased to 5% and the time to maturity is 3 years:

PV of face value = $1,000 / (1 + 5%)³ = $863.84

PV of coupon payments = $20 x 2.7232 (PV annuity factor, 5%, 3 periods) = $54.46

Market value of bond A = $863.84 + $54.46 = $918.48

Since the market rate is higher than the coupon rate, the bond will sell at a discount.

Company A decided to expand its office space and purchased 20 new desks and chairs from a supplier on July 1st. The desks and chairs were purchased on credit, and the company had 60 days to pay for them. Company A paid for the desks and chairs on August 15th. How would the transaction on August 15th impact the accounting equation of Company A

Answers

Answer:

The July 1st purchase increased assets (furniture) and liabilities (accounts payable).

The August 15th payment decreases assets (cash) and decreases liabilities (accounts payable is gone)

Explanation:

The important thing about a balance sheet or the accounting equation is that they must balance. If the total numbers on both sides are not the same, then you did something wrong. If assets increase, liabilities or equity must increase also, and vice versa.

Objectives of AllocationSamantha and Rashida are planning a trip to Padre Island, Texas, during spring break. Members of the varsity volleyball team, they are looking forward to four days of beach volleyball and parasailing. They will drive Samantha's car and estimate that they will pay the following costs during the trip:Motel (4 nights at $145) $ 580Food (each) 150Gas in total 120Parasailing and equipment rental (each) 125They have reservations at the SeaScape Motel, which charges $115 per night for a single, $145 per night for a double, and an additional $10 per night if a rollaway $580 155 132 added to a double room. but thinks that four days of partying and relaxing on the beach would be a great way to unwind from the Samantha's little sister, Kallie, wants to go along. S rigors of school. She figures he isn't into sports that she could ride with Samantha and Rashida and share their room Required: 1. Using incremental costs only, what would it cost Kallie to accompany Samantha and Rashida? 2. Using the benefits-received method, what would it cost Kallie to go on the trip? If required, round your intermediate calculations and final answer to the nearest cent.

Answers

Answer:

Increase in Motel cost = $10 per night for additional bed * 4 day = $10 * 4 = $40

Additional food cost = $150

Therefore, total cost of including Kallie for the trip is $40 + $150 = $190

1. Incremental Analysis

                                        Without K     With K    Incremental cost

Motel cost                         $580           $620            $40

Food                                  $300           $450            $150

Gas in total                        $120            $120               -    

Total Incremental cost     $1,000        $1,190          $190

It would cost $190 for Kallie to accompany along

2. Cost to Kallie using benefits received method

Particulars                            Amount

Motel ($580 + 40)/3             $206.67

Food                                      $150

Gas ($120/3)                          $40        

Total                                       $396.67

Thus, cost to Kallie using benefits received method would be $396.67.


What are the three main categories of a tax return?

A.
allowances, deductions, and income
B.
credits, allowances, and withholding
C.
income, deductions, and credits
D.
allowances, deductions, and credits​

Answers

Answer:C.

Explanation:

Explanation:

C.

income, deductions, and credits

Some customer support call center let incoming callers know how long they would be on hold before talking to a service agent. This improves customer experience because: Group of answer choices it lessens the perception of unfairness in waiting in-process waits seem shorter than pre-process waits uncertain waits seem longer than certain waits unoccupied time seems longer than occupied

Answers

Incoming callers' perceptions of unfairness are diminished and a clear expectation is set by communicating the length of their wait time in advance. This enhances the overall customer experience.

What are the abilities in customer service?

Client retention and acquisition are highly dependent on customer service. Companies can increase sales by utilising good customer service. Being empathetic, communicating effectively, and addressing problems are essential components of providing exceptional customer service.

A call centre interview is what?

For businesses, call centres serve clients who have queries, grievances, or suggestions on goods or services. A call centre interview is a chance for you to highlight your problem-solving abilities and show off your capacity to win over clients' trust.

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An asset group is being evaluated for an impairment loss. The following financial information is available for the asset group: Carrying value $100,000,000 Sum of the undiscounted cash flows $95,000,000 Fair value $80,000,000 What amount of impairment loss, if any, should be recognized

Answers

Answer:

The amount of the impairment loss that should be recognized is:

$20,000.

Explanation:

a) Data and Calculations:

Undiscounted cash flows = $95,000

Carrying value =  $100,000

Fair value =              80,000

Impairment loss = $20,000

b) Impairment loss for the asset group is the difference between the fair value and the carrying value.  It is recognized when the fair value declines from the carrying value.  This implies that the calculation to determine the impairment loss is achieved by deducting the fair value from the carrying value.

On January 1, 2010, Water Wonderland issues $20 million of 8% bonds, due in ten years, with interest payable semi-annually on June 30 and December 31 each year. 1. If the market rate is 7%, will the bonds issue at face amount, a discount, or a premium

Answers

Answer:

the bonds will trade at a Premium

Explanation:

When the Yield to Maturity (YTM) is less than the Coupon Rate, the price of the Bond will be greater than the par value and we say that the Bond is trading at a Premium.

The Yield to Maturity of 7% is less than the Coupon rate 8% hence the bond will trade at a Premium.

Calculation of the Price of Bond

Alternatively we can calculate the price of the Bond a see for ourselves as follows :

FV = $20,000,000

PMT = ($20,000,000 × 8%) ÷ 2 = $8,00,000

P/YR = 2

YTM = 7 %

N = 10 × 2 = 20

PV = ?

Using a Financial calculator to input the values as above we can calculate the Price of Bond (PV) as $21,421,240.

Jim drops his car off at ABC Garage to have his exhaust system repaired and takes the train to work. When he returns, he finds that his car has been vandalized. Jim has comprehensive coverage, but feels the garage is responsible for the damage since Jim entrusted the car to ABC Garage. Which coverage type under ABC's garagekeepers policy would split the cost of the loss with Jim's own insurer without placing blame on ABC Garage

Answers

Answer: Direct Excess Coverage

Explanation:

The coverage type under ABC's garagekeepers policy that would split the cost of the loss with Jim's own insurer without placing blame on ABC Garage is the direct excess coverage.

This coverage is identical to the direct primary coverage and it basically protects the vehicle of a client without taking into consideration the person that is responsible. The direct excess coverage will be paid in excess of the primary policy.

You need to turn $13,593 dollars into $18,359 dollars in 8 years. Assuming you make no extra deposits, what interest rate would you need from a bank in order to accomplish this

Answers

Answer: 3.83%

Explanation:

$13,593 has to accrue to $18,359.

13,593 * ( 1 + r)⁸ = 18,359

( 1 + r)⁸ = 18,359/ 13,593

(1 + r)⁸ = 1.35062

1 + r = ⁸√1.35062

1 + r = 1.0383

r = 1.0383 - 1

r = 3.83%

Shelton, Inc., has sales of $20 million, total assets of $18.2 million, and total debt of $9.1 million. Assume the profit margin is 9 percent. What is the company's net income

Answers

Answer:

$1,800,000

Explanation:

Shelton incorporation has sales of $20,000,000

Total assets is $18.2 million

Total debt is $9.1 million

Profit margin is 9%

Therefore the company net income can be calculated as follows.

= sales × profit margin

= 20,000,000 × 9/100

= 20,000,000 × 0.09

= 1,800,000

Hence the company net income us $1,800,000

The vice president of operations of Free Ride Bike Company is evaluating the performance of two divisions organized as investment centers.Invested assets and condensed income statement data for the past year for each division are as follows: Road bike division Mountain bike divisionSales $1,728,000 $1,760,000Cost of goods sold $1,380,000 $1,400,000Operating expenses $175,200 $236,800Invested assets $1,440,000 $800,0001) Prepare condensed divisional income statements for the year ended December 31, 2014, assuming that there were no service department charges.2) Using the DuPont formula for rate of return on investment, determine the profit margin, investment turnover, and rate of return on investment for each division.3) If management's minimum acceptable rate of return is 10%, determine the residual income for each division.4) Discuss the evaluation of the two divisions, using the performance measures determined in parts (1), (2), and (3).

Answers

Answer:

Free Ride Bike Company

1. Condensed Divisional Income Statements for the year ended December 31, 2014:

1.                                Road bike division      Mountain bike division     Total

Sales                          $1,728,000                $1,760,000               $3,488,000

Cost of goods sold   $1,380,000                $1,400,000               $2,780,000

Operating expenses   $175,200                  $236,800                   $412,000

Net Income                  $172,800                   $123,200                  $296,000

2. Du Pont ROI = Return on sales * Asset Turnover

                            Road bike division      Mountain bike division

=                            1.2 * 10% = 12%                     2.2 * 7% = 15.4%

3. Residual income

                            Road bike division      Mountain bike division          Residual income        $28,800                     $43,200

4. Evaluation of the two divisions, using the performance measures determined in parts (1), (2), and (3):

The Road bike division outperformed the Mountain bike division when we evaluate their performances based on the Return on Sales or Net Income margin.  However, using the DuPont  formula on the return on investment and residual income parameters, one understands that the Mountain bike division outperformed the Road bike division.  These show that performance evaluation should not be based on one measure.  Using the different performance evaluation measures yield clearer pictures of divisional performance.

Explanation:

a) Data and Calculations:

                              Road bike division      Mountain bike division     Total

Sales                          $1,728,000                $1,760,000               $3,488,000

Cost of goods sold   $1,380,000                $1,400,000               $2,780,000

Operating expenses   $175,200                  $236,800                   $412,000

Net Income                  $172,800                   $123,200                  $296,000

Return on sales              10%                         7%                              8.5%

Invested assets       $1,440,000                  $800,000               $2,240,000

Asset Turnover     1.2($1,728,000/$1,440,00)  2.2($1,760,000/$800,000)

Du Pont ROI = Return on sales * Asset Turnover

=                            1.2 * 10% = 12%                     2.2 * 7% = 15.4%

b) Residual income

                              Road bike division      Mountain bike division     Total

Net Income                  $172,800                   $123,200                  $296,000

Minimum rate of return    10%                          10%                             10%

Dollar minimum return 144,000                     $80,000                    224,000

Residual income          $28,800                     $43,200                    $72,000

Depreciation--Jerry Company purchased machinery for $315,000 on May 1,2020 . It is estimated that it will have an useful life of 5 years, and a salvage value of $15,000. the machine is expected to last 100,000 hours. The machine was used for 25,000 hours the first year. What is the depreciation for the first year assuming working hours method (activity method) is expected to be used

Answers

Answer:

The depreciation for the first year is $75,000

Explanation:

In working hours method the depreciation on a fixed asset is charged using the ratio of numbers of hours utilized by the asset in a period and lifetime working capacity in hours.

First, we need to calculate the Depreciable value

Depreciable value = Cost of Asset - Salvage value = $315,000 - $15,000 = $300,000

Depreciation = Depreciable value x Numbers of hours worked / Total working capacity of Asset = $300,000 x 25,000 / 100,000 = $75,000

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