The statement that does not reflect non-hierarchical leadership is option B, "The leader's job is to make decisions and communicate them effectively to subordinates."
Non-hierarchical leadership emphasizes a collaborative approach where the leader acts as a facilitator, empowering team members to make decisions and participate in the decision-making process. In this approach, the leader encourages learning among subordinates, promotes a culture of continuous improvement, and emphasizes shared responsibility for accomplishing goals. However, in option B, the statement reflects a hierarchical approach to leadership where the leader is the decision-maker and communicates decisions to subordinates. This approach does not promote collaboration and shared responsibility, which is essential in non-hierarchical leadership. Therefore, option B does not reflect non-hierarchical leadership.
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which of the following would not be covered in the new developments section of an information systems plan? select one: a. project descriptions b. human resources strategy c. hardware d. applications' role in strategy e. business rationale
The option that would not be covered in the new developments section of an information systems plan is (B) human resources strategy.
The new developments section of an information systems plan typically focuses on the technology-related aspects of an organization's strategy, such as new hardware or applications that will be implemented.
While human resources strategy is important for the successful implementation and adoption of new technology, it typically falls under a different section of the plan, such as the organizational change management or training and development sections.
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.What is the largest impediment to reform, according to Reich, and how do we overcome it
Many politicians and lobbyists want to continue to extort money from the private sector.
Thats how politicians and lobbyists keep their money and power.
We can overcome it when the public realizes the truth about the present system.
The statement appears to be a summary of an argument made by Robert Reich regarding impediments to reform. According to Reich, the largest impediment to reform is the influence of money in politics.
This includes the role of wealthy donors, corporations, and special interest groups in shaping public policy through campaign contributions, lobbying, and other forms of political spending. Reich argues that the influence of money in politics has created a system that primarily serves the interests of the wealthy and powerful, rather than the needs of ordinary citizens. He suggests that in order to overcome this impediment, we need to reduce the influence of money in politics and increase transparency and accountability in the political process.
Additionally, increasing public awareness and engagement in the political process can help to hold elected officials accountable and reduce the influence of money in politics.
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The statement appears to be a summary of an argument made by Robert Reich regarding impediments to reform. According to Reich, the largest impediment to reform is the influence of money in politics.
This includes the role of wealthy donors, corporations, and special interest groups in shaping public policy through campaign contributions, lobbying, and other forms of political spending. Reich argues that the influence of money in politics has created a system that primarily serves the interests of the wealthy and powerful, rather than the needs of ordinary citizens. He suggests that in order to overcome this impediment, we need to reduce the influence of money in politics and increase transparency and accountability in the political process.
Additionally, increasing public awareness and engagement in the political process can help to hold elected officials accountable and reduce the influence of money in politics.
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_____ occurs when one party threatens to do some wrongful act unless the other party enters into a contract.
A. Frustration of purpose
B. Commercial impracticability
C. Duress
D. Substantial performance
E. Undue influence
The correct term for the situation described in the question is duress i.e. option c. Duress occurs when one party uses threats or coercion to force the other party into entering a contract against their will.
Duress is considered a form of contract voidable by the victim because it goes against the fundamental principles of contractual freedom and consent. The victim can choose to void the contract and seek damages for any losses suffered as a result of the duress. However, proving duress can be challenging because it requires evidence of the threat and the victim's lack of choice.
In contrast, the frustration of purpose and commercial impracticability refers to situations where a contract becomes impossible or impractical to perform due to unforeseeable events beyond the control of either party. Substantial performance means that a party has fulfilled most of their contractual obligations but may have minor deficiencies.
Undue influence refers to situations where a party takes advantage of a position of power or trust to influence the other party's decision-making. In summary, duress is a serious breach of contract that can lead to legal consequences.
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a portfolio includes a majority of small-company stocks, and their performance is highly volatile. a.) this portfolio has a high diversifiable risk. b.)it has a high market risk. c.)it has a high risk return rate. d.)it has a high systemic risk.
it has a high systemic risk. Systemic risk is the risk that is inherent to an entire market or system, rather than just a particular stock or company. In the case of a portfolio that includes a majority of small-company stocks, the performance of these stocks is highly correlated and influenced by the overall health of the economy.
As a result, any negative event that affects the entire market, such as a recession or financial crisis, will have a significant impact on the value of the portfolio, regardless of the individual performance of the stocks. While the portfolio may also have a high diversifiable risk due to the volatility of small-company stocks, this risk can be mitigated through diversification across different sectors and industries. Additionally, the portfolio may have high market risk, meaning that its performance is heavily influenced by the overall movements of the stock market, but this risk can also be managed through careful asset allocation and diversification.
In terms of risk-return rate, it is important to note that higher risk typically leads to higher potential returns, but this also means that there is a greater chance of losing money. Investors must carefully weigh the potential rewards against the potential risks when deciding on their investment strategy.
Overall, it is important for investors to understand the different types of risks associated with their portfolios and to make informed decisions based on their personal risk tolerance and investment goals. By diversifying their holdings and being mindful of systemic risks, investors can minimize the impact of market downturns and protect their portfolios over the long term.
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Bgp electrical supply is developing its annual financial statements at december 31, current year. The statements are complete except for the statement of cash flows. The completed comparative balance sheets and income statement are summarized: current year prior year balance sheet at december 31 cash $ 37,000 $ 29,000 accounts receivable 32,000 28,000 merchandise inventory 41,000 38,000 property and equipment 132,000 111,000 less: accumulated depreciation (41,000) (36,000) $ 201,000 $ 170,000 accounts payable $ 36,000 $ 27,000 accrued wages expense 1,200 1,400 note payable, long-term 38,000 44,000 common stock and additional paid-in capital 88,600 72,600 retained earnings 37,200 25,000 $ 201,000 $ 170,000 income statement for current year sales $ 120,000 cost of goods sold 70,000 other expenses 37,800 net income $ 12,200 additional data: bought equipment for cash, $21,000. Paid $6,000 on the long-term note payable. Issued new shares of stock for $16,000 cash. No dividends were declared or paid. Other expenses included depreciation, $5,000; wages, $20,000; taxes, $6,000; other, $6,800. Accounts payable includes only inventory purchases made on credit. Because there are no liability accounts relating to taxes or other expenses, assume that these expenses were fully paid in cash. Required:
Cash at the beginning of the year $29,000 , Cash at the end of the year $37,000, To prepare the statement of cash flows for BGP Electrical Supply, we need to analyze the changes in the company's balance sheet accounts and additional data provided. Here's how we can calculate the statement of cash flows:
Statement of Cash Flows
For the Year Ended December 31, Current Year
Operating Activities:
Net Income $12,200
Adjustments for non-cash items:
Depreciation $5,000
Changes in operating assets and liabilities:
Increase in accounts receivable ($4,000) [($32,000 - $28,000)]
Increase in merchandise inventory ($3,000) [($41,000 - $38,000)]
Increase in accounts payable $9,000 [($36,000 - $27,000)]
Decrease in accrued wages expense ($200) [($1,200 - $1,400)]
Net cash provided by operating activities $19,000
Investing Activities:
Purchase of equipment ($21,000)
Net cash used in investing activities ($21,000)
Financing Activities:
Repayment of long-term note payable ($6,000)
Issuance of common stock for cash $16,000
Net cash provided by financing activities $10,000
Net increase in cash $8,000
Cash at the beginning of the year $29,000
Cash at the end of the year $37,000
Therefore, the statement of cash flows for BGP Electrical Supply for the year ended December 31, current year, is as follows:
Statement of Cash Flows
For the Year Ended December 31, Current Year
Operating Activities:
Net cash provided by operating activities $19,000
Investing Activities:
Net cash used in investing activities ($21,000)
Financing Activities:
Net cash provided by financing activities $10,000
Net increase in cash $8,000
Cash at the beginning of the year $29,000
Cash at the end of the year $37,000
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T/F designers change product packaging very gradually to avoid confusing consumers.
True. Designers often change product packaging gradually to avoid confusing consumers.
Sudden and drastic changes to packaging can lead to confusion among consumers who may not recognize the product or associate it with the brand they are familiar with.
By making incremental changes, designers can maintain some consistency while also refreshing the packaging to keep it updated or aligned with evolving brand strategies.
This approach helps to ensure a smoother transition and allows consumers to gradually adapt to the changes without causing significant confusion or disconnection from the product.
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Assume a firm’s flotation costs are 7.8 percent of the funding need. Accordingly, when analyzing capital projects, the firm’s managers should:
a increase the project's discount rate to offset these expenses by multiplying the company's WACC by 1.078.
b increase the project's discount rate to offset these expenses by dividing the company's WACC by (1 − .078).
c add 7.8 percent to the company's firm's WACC to determine the discount rate for the project.
d increase the initial project cost by multiplying that cost by 1.078.
e increase the initial project cost by dividing that cost by (1 − .078).
The correct answer is b) increase the project's discount rate to offset these expenses by dividing the company's WACC by (1 − .078).
Flotation costs are the costs incurred by a company in the process of raising new capital, such as through issuing stocks or bonds. These costs can include fees paid to underwriters, legal and accounting fees, and other expenses.
When analyzing capital projects, the firm's managers should consider the impact of flotation costs on the overall cost of capital. One way to do this is by adjusting the project's discount rate, which is used to calculate the present value of future cash flows.
To offset the impact of flotation costs, the discount rate should be increased. The correct way to do this is by dividing the company's weighted average cost of capital (WACC) by (1 - flotation cost percentage). In this case, the flotation cost percentage is 7.8%, so the discount rate should be calculated as WACC / (1 - 0.078).
The correct response is b) divide the company's WACC by (1 .078) to increase the project's discount rate in order to cover these costs.
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assume that the risk-free rate is 4.5% and the market risk premium is 7%. what is the required return for the overall stock market? round your answer to one decimal place.
The required return for the overall stock market can be calculated using the Capital Asset Pricing Model (CAPM).
According to the model, the required return equals the risk-free rate plus the product of the market risk premium and the stock's beta (systematic risk). Since we don't have the beta for the overall stock market, we cannot calculate the exact required return. However, we can estimate it using historical data or the average beta of a large sample of stocks. Assuming a beta of 1 (which represents the overall market), the required return would be 11.5% (4.5% + 7%). It is important to note that this is an estimate and that the actual required return may vary depending on changes in market conditions, economic factors, and company-specific risks.
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Why is post harvest care of cut flowers important? Why is post harvest care of cut flowers important?
To increase shelf life
To decrease shelf life
To increase display space
To increase overhead costs
The post-harvest care of cut flowers is important for several reasons, primarily to increase their shelf life and ensure their quality. The correct answer is option a.
Here are the key reasons why post-harvest care is important for cut flowers:
Increasing shelf life: Proper post-harvest care helps extend the longevity of cut flowers, allowing them to remain fresh and attractive for a longer period. This is crucial for growers, suppliers, and retailers who want to maximize the marketability and saleability of their products.Maintaining quality: Post-harvest care involves activities such as hydrating the flowers, providing appropriate temperature and humidity conditions, and removing damaged or wilted parts. These measures help preserve the quality, appearance, and freshness of the flowers, making them more desirable to customers.Minimizing wastage: By implementing effective post-harvest care techniques, the amount of wasted or unsellable flowers can be reduced. This not only saves resources but also contributes to the economic viability of the flower industry.Enhancing customer satisfaction: High-quality, long-lasting cut flowers are more likely to satisfy customers. Proper post-harvest care ensures that customers receive flowers that remain vibrant and beautiful for an extended period, increasing their overall satisfaction with the purchase.It is important to note that post-harvest care is focused on increasing the shelf life and quality of cut flowers, rather than decreasing shelf life or increasing overhead costs. The aim is to optimize the value and appeal of cut flowers in the marketplace.
The correct answer is option a.
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Complete question
Why is post harvest care of cut flowers important? Why is post harvest care of cut flowers important?
a. To increase shelf life
b. To decrease shelf life
c. To increase display space
d. To increase overhead costs
Which of the following entities in the Federal Reserve System sets reserve requirements?
A. The FDIC
B. The Federal Advisory Council
C. The Board of Governors
D. Member commercial banks
C. The Board of Governors
The entity in the Federal Reserve System that sets reserve requirements is the (C) Board of Governors.
This is a long answer because it explains why the other options are incorrect and provide additional information about the role of the Board of Governors in the Federal Reserve System.
The FDIC is not responsible for setting reserve requirements, as it is primarily focused on insuring bank deposits and promoting stability in the financial system.
The Federal Advisory Council is an advisory group that provides recommendations to the Board of Governors, but it does not have the authority to set reserve requirements.
Member commercial banks are required to maintain reserves, but they do not set the requirements themselves. Instead, they must comply with the reserve requirements set by the Board of Governors.
The Board of Governors is responsible for setting reserve requirements as part of its broader role in regulating the money supply and promoting financial stability.
By adjusting reserve requirements, the Board can influence the amount of money that banks have available to lend, which in turn affects economic activity and inflation.
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Assume the Federal Reserve increases interest rates to counter rising prices. To stabilize the economy, the federal government should'
a. decrease spending
b. raise taxes
c. decrease spending and raise taxes d. none of the above
To stabilize the economy in response to the Federal Reserve increasing interest rates to counter rising prices, the federal government should:
a. decrease spending.
When the Federal Reserve increases interest rates to counter rising prices, it is an indication that inflationary pressures are present in the economy. To stabilize the economy and mitigate the effects of inflation, the federal government can decrease its spending.
By reducing government spending, the demand for goods and services in the economy is decreased. This can help to alleviate inflationary pressures by reducing overall aggregate demand. Decreasing spending can also contribute to reducing the budget deficit, which can have long-term positive effects on the economy.
Raising taxes, on the other hand, would further reduce disposable income and potentially dampen consumer spending, which may exacerbate the negative impact on economic growth.
Therefore, the most appropriate action for the federal government to take in this scenario is to decrease spending (option a).
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everything else held constant, a weaker dollar will likely hurt
A) textile exporters in South Carolina. B) wheat farmers in Montana that sell domestically. C) automobile manufacturers in Michigan that use domestically produced inputs. D) furniture importers in California
A weaker dollar will likely hurt automobile manufacturers in Michigan that use domestically produced inputs.
When the value of the dollar weakens, imports become more expensive while exports become cheaper. Therefore, a weaker dollar is good news for American exporters, such as textile exporters in South Carolina. On the other hand, American importers, such as furniture importers in California, will suffer from the weaker dollar because they will have to pay more for imported goods. For wheat farmers in Montana that sell domestically, the weaker dollar will have little effect since they don't rely on exports or imported inputs. However, automobile manufacturers in Michigan that use domestically produced inputs will be negatively impacted by a weaker dollar. This is because their costs will rise as the inputs they use become more expensive due to the weaker dollar. Ultimately, a weaker dollar will have different impacts on different sectors of the economy depending on their level of involvement in international trade.
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when the government establishes a price floor that is set above the equilibrium price, this should lead to
a.surplus
b.shortage
c.equilibrium
d.no effect
When the government establishes a price floor that is set above the equilibrium price, it should lead to a surplus.
A price floor is a minimum price that the government sets for a particular good or service, and it is usually established to ensure that producers can earn a certain level of income or to protect consumers from low-quality goods. When the price floor is set above the equilibrium price, it means that the market price is not allowed to fall to its equilibrium level. As a result, suppliers are willing to supply more than consumers are willing to buy at an artificially high price, leading to an excess supply or surplus. The surplus represents the number of goods that are produced but not sold, and it can result in inefficiencies and waste if the surplus is not managed properly.
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parwin corporation plans to sell 38,000 units during august. if the company has 15,500 units on hand at the start of the month, and plans to have 16,500 units on hand at the end of the month, how many units must be produced during the month?
Parwin Corporation must produce 39,000 units during the month to meet its sales and inventory goals.
The number of units that must be produced during the month can be calculated by using the following formula:
Units to be produced = Units needed - Beginning inventory + Ending inventory
In this case, the units needed would be the number of units that Parwin Corporation plans to sell during August, which is 38,000 units.
The beginning inventory is the number of units that the company has on hand at the start of the month, which is 15,500 units.
The ending inventory is the number of units that the company plans to have on hand at the end of the month, which is 16,500 units.
Therefore, the calculation for the units to be produced would be:
Units to be produced = 38,000 - 15,500 + 16,500
Units to be produced = 39,000
So, Parwin Corporation must produce 39,000 units during the month to meet its sales and inventory goals.
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transaction exposure and operating exposure exist because of unexpected changes in future cash flows.
The statement given "transaction exposure and operating exposure exist because of unexpected changes in future cash flows." is true because transaction exposure and operating exposure exist due to unexpected changes in future cash flows.
Transaction exposure refers to the risk faced by companies engaged in international business transactions due to changes in exchange rates between the transaction date and settlement date. Unexpected changes in exchange rates can lead to fluctuations in the value of future cash flows related to these transactions.
Operating exposure, on the other hand, refers to the risk arising from unexpected changes in future cash flows due to factors such as changes in exchange rates, interest rates, inflation rates, or market conditions. These changes can impact a company's revenues, costs, and overall profitability.
Both transaction exposure and operating exposure are influenced by unexpected changes in future cash flows, making the statement true.
""
transaction exposure and operating exposure exist because of unexpected changes in future cash flows. TRUE OR FALSE
""
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generally, filing bankruptcy stops the collection activity of creditors.
a. true b. false
a. True. filing bankruptcy stops the collection activity of creditors.
Filing for bankruptcy triggers an automatic stay that immediately stops most collection activities by creditors. The automatic stay is a powerful legal injunction that halts all collection efforts, including phone calls, letters, lawsuits, wage garnishments, and even foreclosure proceedings. The purpose of the automatic stay is to give the debtor breathing room and an opportunity to reorganize or discharge their debts.
However, there are some exceptions to the automatic stay, such as certain criminal proceedings, actions to establish or modify child support or alimony obligations, and certain tax proceedings. Additionally, some types of debts, such as student loans and some tax debts, may not be dischargeable in bankruptcy and may continue to be collected after the bankruptcy process is completed.
Overall, while bankruptcy can be an effective way to stop collection activity, it is important to understand the limitations and potential consequences of filing for bankruptcy and to seek the advice of a qualified bankruptcy attorney before making any decisions.
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The ________ helps define the overall structure of the Internet.
A) IAB
B) IESG
C) W3C
D) ITU
(Option A) IAB. The Internet Architecture Board (IAB) helps define the overall structure of the Internet.
It is a committee of the Internet Engineering Task Force (IETF) and provides guidance and advice on technical and policy issues related to the development and evolution of the Internet. The IAB plays a key role in ensuring the stability and interoperability of the Internet by defining and promoting standards for Internet protocols and architectures. It works closely with other organizations such as the Internet Assigned Numbers Authority (IANA) and the Internet Corporation for Assigned Names and Numbers (ICANN) to ensure that the Internet operates smoothly and efficiently.
The IAB is responsible for developing and maintaining the Internet protocol suite, which includes protocols such as TCP/IP, DNS, and HTTP. It also provides guidance on security and privacy issues related to the Internet, as well as on emerging technologies such as the Internet of Things (IoT) and 5G networks. Overall, the IAB plays a critical role in ensuring that the Internet remains an open, accessible, and reliable platform for communication and innovation.
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Oceanview Marine Company Ratio Analyses December 31, 2018 LIQUIDITY RATIOS: Unadjusted 12/31/2018 12/31/2017 CHANGE PERCENT INDUSTRY CHANGE AVERAGE 2. 31 2. 49 -0. 18 -7. 23% 1. 53 Current ratio current assets/ current liabilities Quick ratio (current assets - inventory) / current liabilities Sales / Receivables net sales net ending receivables Number of days sales in A/R net ending receivables / (net sales/365) Inventory turnover cost of sales / average inventory 0. 42 0. 40 0. 02 05. 00% 0. 43 20. 29 22. 1. 4 16. 05 17. 78 -1. 73 -9. 73% 165) 22. 1 4 20. 83 2. 21 10. 76 1. 41 1. 34. 75. 22 2 9. 53 17. 99 PROFITABILITY/PERFORMANCE RATIOS:
While the liquidity ratios raised some minor concerns, the profitability ratios remained stable, and the solvency ratios showed some deterioration. Further analysis and investigation are required to assess the financial health and performance of Oceanview Marine Company accurately.
Preliminary Analytical Procedures - Summary of Ratio Analyses
Oceanview Marine Company
December 31, 2018
Liquidity:
The liquidity ratios for Oceanview Marine Company indicate that there are no serious problem areas, but some warning signs should be considered:
Current Ratio:
Unadjusted 12/31/2018: 2.31
12/31/2017: 2.49
Change: -0.18
Percent Change: -7.23%
Industry Average: 1.53
The current ratio declined by over 7% during the year. However, it still remains above the 2:1 level, which is generally considered a sign of good financial condition. Additionally, it is higher than the industry average.
Quick Ratio:
Unadjusted 12/31/2018: 0.42
12/31/2017: 0.40
Change: 0.02
Percent Change: 5.00%
Industry Average: 0.43
The quick ratio improved slightly, indicating a better ability to cover current liabilities. However, it is slightly below the industry average.
Number of Days Sales in Accounts Receivable:
Unadjusted 12/31/2018: 20.29
12/31/2017: 22.14
Change: -1.85
Percent Change: -8.35%
Industry Average: 17.99
The number of days sales in accounts receivable decreased, which suggests an improvement in collection efficiency. However, it is still higher than the industry average.
Inventory Turnover:
Unadjusted 12/31/2018: 2.21
12/31/2017: 1.34
Change: 0.87
Percent Change: 64.93%
Industry Average: 9.53
The inventory turnover ratio improved significantly, indicating better management of inventory. It outperformed the industry average.
Profitability:
The profitability ratios for Oceanview Marine Company indicate the following:
Gross Profit Margin:
Unadjusted 12/31/2018: 27.58%
12/31/2017: 27.69%
The gross profit margin remained relatively stable.
Solvency:
The solvency ratios for Oceanview Marine Company show some deterioration:
Long-term Assets to Owners' Equity:
Unadjusted 12/31/2018: 0.06
12/31/2017: 0.04
The ratio dropped by nearly 15%, which suggests a decrease in the ability to cover long-term assets with owners' equity.
Overall, while the liquidity ratios raised some minor concerns, the profitability ratios remained stable, and the solvency ratios showed some deterioration. Further analysis and investigation are required to assess the financial health and performance of Oceanview Marine Company accurately.
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Full Question :
Oceanview Marine Company Ratio Analyses December 31, 2018 LIQUIDITY RATIOS: Unadjusted 12/31/2018 12/31/2017 CHANGE PERCENT CHANGE INDUSTRY AVERAGE 2.31 2.49 -0.18 -7.23% 1.53 Current ratio current assets/ current liabilities Quick ratio (current assets -- inventory)/ current liabilities Sales / Receivables net sales / net ending receivables Number of days sales in A/R net ending receivables / (net sales/365) Inventory turnover cost of sales / average inventory 0.42 0.40 0.02 5.00% 0.43 16.05 17.78 -1.73 -9.73% 20.29 17.99 22.14 20.532,21 10.76 1.34 ..07 5.22 1.41 PROFITABILITY/PERFORMANCE RATIOS: 23.83% 107.03 42.56 0.06 Gross profit margin (%) gross profit net sales Income before taxes / Owners' equity 27.58 27.69 -11.40 net income before taxes / total owners' equity -] 0 Income before taxes / Total assets net income before taxes / total assets 0.06 0.04 0.02 Sales / Long-term assets net sales / net long-term assets 44.29 37.33 6.96 18.64% Sales/ Total assets net sales / total assets 1.54 1.49 0.05 3.36% Sales / Working capital 2.82 2.59 net sales/ (current assets - current liabilities) 8.88% 0.04 19.07 1.32 0.23 2.18 SOLVENCY RATIOS: -0.03 0.59 -5.08% 0.31 0.56 -0.01 0.47 -14.29% Owners' Equity / Total assets total stockholders' equity / total assets Long-term assets / Owners' equity net long-term assets/total stockholders' equity Current liabilities / Owners' equity 0.07 0.06 1.13 2.03 current liabilities / total stockholders' equity 75.66 .04 13,64 od 12.86 Total Liabilities/Owners' equity total liabilities/total stockholders' equity 79 70 Current workepapers--audit planning + Page 6 Preliminary Analytical Procedures - Summary of Ratio Analyses Oceanview Marine Company 2-2 December 31, 2018 Liquidity: Although the liquidity ratios do not indicate there are any serious problem areas, they do reveal some possible warning signs: The current ratio declined by over 7% during the year. However, it is still above the 2: 1 level, which is a sign of good financial condition, and it is above the industry average. . Profitability: Solvency: The solvency ratios have deteriorated somewhat: Long-term Assets to Owners' Equity dropped nearly 15% Current workpapers--audit planning + Page 7
At the beginning of the year, a company estimates the following manufacturing costs for the next period: direct labor, $504,000; direct materials, $219,000; and factory overhead, $148,000. Required: 1. Compute its predetermined overhead rate as a percent of direct labor. 2. Compute its overhead cost as a percent of direct materials.
We divide the manufacturing overhead cost by the direct materials cost to get the overhead cost as a percentage of direct materials. This tells us how much of the cost of direct materials will be added to goods as overhead. In this instance, the overhead expense represents 67.58% of the direct material expense.
1. To compute the predetermined overhead rate as a percent of direct labor, we need to divide the total factory overhead cost by the direct labor cost.
Predetermined overhead rate = Factory overhead cost / Direct labor cost
Predetermined overhead rate = $148,000 / $504,000
Predetermined overhead rate = 0.2936 or 29.36%
So, the predetermined overhead rate as a percent of direct labor is 29.36%.
The predetermined overhead rate is the rate used to apply factory overhead to products or jobs. It is calculated at the beginning of the period by dividing the estimated total factory overhead cost by the estimated activity level. In this case, we are given the estimated direct labor, direct materials, and factory overhead costs for the period.
To compute the predetermined overhead rate as a percent of direct labor, we divide the factory overhead cost by the direct labor cost. This gives us the percentage of direct labor cost that will be added to products as overhead.
2. To compute the overhead cost as a percent of direct materials, we need to divide the factory overhead cost by the direct materials cost.
Overhead cost as a percent of direct materials = Factory overhead cost / Direct materials cost
Overhead cost as a percent of direct materials = $148,000 / $219,000
Overhead cost as a percent of direct materials = 0.6758 or 67.58%
So, the overhead cost as a percent of direct materials is 67.58%.
The overhead cost as a percent of direct materials tells us the percentage of direct materials cost that will be added to products as overhead. This is useful for understanding the overall cost of production and determining the selling price of the product.
To compute the overhead cost as a percent of direct materials, we divide the factory overhead cost by the direct materials cost. This gives us the percentage of direct materials cost that will be added to products as overhead. In this case, the overhead cost is 67.58% of the direct materials cost.
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ABC Home Improvement Supplies, Inc. sells Ironton 72 inch digging bars. The annual demand for the digging bars is estimated to be 5000 bars. The ordering cost is $60 per order and the carrying cost is 20% of the unit price paid. Its supplier offers quantity discounts as shown in the following table Order Quantity Up to 499 500 up to 999 1000 and more Unit Price $25 $24 $23 If ABC is willing to pay a unit price of $25.00, determine the total, including the purchase, carrying and ordering, Cost 125,000.00 126,732.05 867.05 865.00 None of the above
The solution in length is an option (B) of $126,732.05, which corresponds to an order quantity of 500-999 bars. We need to use Economic Order Quantity (EOQ) formula to determine the optimal order quantity and then calculate the total cost for each quantity level.
Using the EOQ formula:
EOQ = √[(2DS)/H]
Where:
D = Annual demand (5000 bars)
S = Ordering cost ($60 per order)
H = Carrying cost (20% of unit price paid = 0.20 x $25 = $5 per bar)
EOQ = √[(2 x 5000 x 60)/5] = 489.90 (rounded up to 490 bars)
Next, we can calculate the total cost for each quantity level using the given unit prices:
For 490 bars:
Purchase cost = 490 x $25 = $12,250
Ordering cost = $60
Carrying cost = (490/2) x $5 = $1,225
Total cost = $13,535
For 500-999 bars:
Purchase cost = 500 x $24 = $12,000
Ordering cost = $60
Carrying cost = (500/2) x $5 = $1,250
Total cost = $13,310
For 1000 or more bars:
Purchase cost = 1000 x $23 = $23,000
Ordering cost = $60
Carrying cost = (1000/2) x $5 = $2,500
Total cost = $25,560
Therefore, the solution in length is an option (B) $126,732.05, which corresponds to an order quantity of 500-999 bars. This is the quantity range that results in the lowest total cost, taking into account both the purchase cost and the carrying and ordering costs.
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Underwriting is a major consideration when an insured wishes to replace her current policy for all of the following reasons EXCEPT A.) Due to age or health, the policy may change dramatically B.) Pre-existing conditions that were previously covered may not be covered under the replacing policy. C.) Benefits may change D.) Premium always stay the same
Underwriting is a major consideration when an insured wishes to replace her current policy for all of the following reasons EXCEPT D.) Premium always stay the same.
In fact, the premium may change when an insured replaces their current policy with a new one. Underwriting is a major consideration when an insured wishes to replace their current policy for the following reasons:
A) Due to age or health, the policy may change dramatically: When an insured's health has deteriorated or they have aged, it may be difficult for them to obtain a new policy with the same coverage at the same price. The new policy may have more restrictive coverage or higher premiums.
B) Pre-existing conditions that were previously covered may not be covered under the replacing policy: Pre-existing conditions are generally excluded from coverage under a new policy, and this may leave an insured without coverage for a specific condition.
C) Benefits may change: The benefits provided by the new policy may be different from the previous policy, which could leave an insured with less coverage than they had before.
D) Premium always stays the same: This is incorrect as the premium for the new policy may change due to changes in the insured's age, health, or coverage options. In some cases, the new policy may even have a higher premium than the previous policy.
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if a proposed investment's payback period is 3 years, its initial cost is $50,000, and its useful life is 10 years, which of the following must be true?
To determine which of the following must be true, we need to consider the definition of payback period. Payback period is the length of time it takes for an investment to recoup its initial cost. In this case, the proposed investment's payback period is 3 years, which means that it will take 3 years for the investment to generate enough cash flows to cover its initial cost of $50,000.
Now, let's consider The investment will generate positive cash flows for 10 years. This statement may or may not be true. We know that the investment's useful life is 10 years, but we don't know whether it will generate positive cash flows for the entire duration of its useful life. The payback period only tells us how long it will take for the investment to recoup The investment's net present value. We don't have enough information to determine the investment's NPV.
The payback period and initial cost alone do not provide enough information to calculate NPV. The investment's internal rate of return (IRR) is greater than the required rate of return.We also don't have enough information to determine the investment's IRR. The payback period and initial cost alone do not provide enough information to calculate IRR.Therefore, none of the options must be true based solely on the information provided. However, we can make some inferences based on the payback period and useful life. Since the investment's payback period is less than its useful life, we can assume that it will generate positive cash flows beyond the payback period. In other words, it will generate positive cash flows for at least 7 years (10 years - 3-year payback period). However, we don't know for certain whether the investment will generate positive cash flows for the entire 10-year useful life. if a proposed investment's payback period is 3 years, its initial cost is $50,000, and its useful life is 10 years, the following must be true.
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A firm can exercise greater control over its suppliers by having: A) local suppliers. B) only a single supplier. C) more suppliers. D) global suppliers.
In terms of exercising greater control over its suppliers, the option that would provide the most leverage for a firm would be having only a (B) single supplier.
This is because, with a single supplier, the firm can establish a close relationship with the supplier and negotiate favorable terms and conditions.
The supplier, in turn, is likely to be more dependent on the firm and may be more willing to comply with its demands.
However, it is important to note that having only one supplier also carries some risks, such as the risk of the supplier
going out of business or being unable to meet demand.
Therefore, while having a single supplier can be advantageous in terms of control, it is important for firms to carefully weigh the potential benefits and risks before committing to this approach.
In contrast, having more suppliers or global suppliers may provide more options and flexibility but may make it more difficult for the firm to exert control over each individual supplier.
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in a manufacturing environment, direct labor costs initially flow
In a manufacturing environment, direct labor costs initially flow into the cost of goods sold (COGS) and are recorded as part of the production process.
What is a direct labor cost ?
Direct labor costs are the costs associated with the wages and benefits of employees who are directly involved in the production of goods or services. These employees are typically involved in the manufacturing, assembly, or delivery of products or in providing direct services to customers.
Direct labor costs include wages, salaries, bonuses, overtime pay, payroll taxes, and benefits such as health insurance, retirement contributions, and paid time off. These costs are directly tied to the production of goods or services and are considered variable costs because they increase or decrease in relation to the level of production.
Direct labor costs are important for businesses to track and manage, as they can have a significant impact on the profitability of a product or service. By monitoring direct labor costs, businesses can identify inefficiencies in the production process and take steps to improve productivity or reduce labor costs.
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the complete question is In a manufacturing environment, direct costs intially flow into?
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today there is $59,251.76 in your 401k. you plan to withdraw $500 in the account at the end of each month. the account pays 6ompounded monthly. what are the givens?
These givens will be used to calculate the future balance of the 401k account over time, considering the monthly withdrawals and the compounded interest.
Initial balance in the 401k account: $59,251.76
Monthly withdrawal amount: $500
Interest rate: 6% (compounded monthly)
Future balance refers to a state of equilibrium and harmony in the coming years, encompassing various aspects of society, the environment, and personal well-being. It represents a delicate equilibrium between progress and sustainability, where technological advancements are harnessed responsibly and ethically while preserving the natural world and meeting the needs of present and future generations.
In the future, balance will be achieved through a holistic approach that integrates economic development with social justice, environmental stewardship, and cultural preservation. It will involve sustainable practices in areas such as energy, agriculture, transportation, and waste management, minimizing ecological impact and mitigating climate change. Future balance also entails the pursuit of equitable and inclusive societies, where opportunities and resources are accessible to all, regardless of gender, race, or socioeconomic background.
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the four major categories of factors of production are quizlet
The four major categories of factors of production are Land, Labour, Capital, and Entrepreneurship.
Factors of production are the inputs required to produce goods and services. Main categories include land, labour, capital and entrepreneurship. The four elements consist of the resources required to provide goods or services and are based on a country's GDP.
Land consists of all resources present on the surface of the earth. These include water, oil, wood, plants, etc. Labour as a factor of production is the effort that people expend to produce goods and services.
Capital as a factor of production refers to commodities or man-made resources such as tools and infrastructure used in the production of goods and services. Entrepreneurship combines all three factors of production into one product or service. Entrepreneurs use land, labour and capital to create goods and services for consumers.
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the board of directors of herbalife nutrition approved a 5-for-2 stock split. after the split, how many shares of herbalife stock will an investor have if he owned 520 shares before the split?
After the 5-for-2 stock split, the investor would have 1300 shares of Herbalife stock.
A stock split is when a company decides to increase the number of its outstanding shares by issuing more to current shareholders. In this case, the split ratio is 5-for-2, which means for every 2 shares an investor owns, they will receive 5 new shares. So if the investor owned 520 shares before the split, they would receive 1300 new shares (520/2 = 260 x 5 = 1300). The total number of shares the investor will have after the split is 1820 (520 + 1300). A stock split does not change the value of the investment, it only changes the number of shares an investor holds. However, it can make the shares more affordable to other investors and potentially increase liquidity.
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a cartel is an agreement group of answer choices by the government to restrict imports. among firms to decrease output and raise price. among firms to flood the market and eliminate competition. among firms to steal industrial processes from rival firms.
A cartel is an agreement among firms to decrease output and raise prices. It involves cooperation between competing firms to limit production and manipulate prices to maximize profits collectively.
In a cartel, the participating firms agree to restrict their output, leading to reduced supply in the market. This reduced supply, in turn, creates artificial scarcity, allowing the cartel members to increase prices and maximize their individual and collective profits. By coordinating their actions, cartel members can effectively control market dynamics and maintain higher prices than what would prevail under normal competitive conditions.
The purpose of forming a cartel is typically to eliminate or minimize competition among the participating firms, allowing them to exert greater control over the market. This can lead to increased profitability in the short term, but it often comes at the expense of consumer welfare and market efficiency.
It is important to note that cartels are generally illegal in many jurisdictions due to their anti-competitive nature. Authorities often take measures to detect and punish cartel behavior to protect consumer interests and promote fair competition in the market.
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training is a planned effort by a company to facilitate the learning of job-related competencies, knowledge, skills, and behaviors by employees. true false
True. Training in a company is a deliberate and organized initiative aimed at enabling employees to acquire job-specific competencies, knowledge, skills, and behaviors.
It involves designing and implementing various learning activities and resources to enhance employee performance and productivity. Training programs can cover a wide range of areas, including technical skills, customer service, leadership, communication, and compliance with organizational policies.
By providing employees with the necessary training opportunities, companies can ensure that their workforce remains competent and capable of meeting job requirements. Effective training contributes to employee growth, job satisfaction, and overall organizational success.
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in 2010 vietnam replaced china as the country where nike produces the bulk of its products. this was largely driven by rising wage rates in china and illustrates what is generally referred to as:
The situation described, where Nike shifted its production from China to Vietnam due to rising wage rates, illustrates a phenomenon known as labor cost arbitrage or offshore outsourcing.
Labor cost arbitrage refers to the practice of relocating production or outsourcing activities to countries or regions where labor costs are lower. In this case, the decision by Nike to move its production to Vietnam was driven by the relatively lower wage rates compared to China. Rising wage rates in China made Vietnam a more attractive manufacturing destination, as it offered a cost advantage. This practice allows companies to take advantage of cost differentials between countries and maximize their profitability by accessing cheaper labor and production resources. Offshore outsourcing, on the other hand, refers to the process of contracting work to external parties in different countries to leverage specialized skills or cost advantages. In this case, Nike's shift to Vietnam can also be seen as a form of offshore outsourcing to capitalize on the country's favourable labor market conditions
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