The statement telecommuters are not key to a business continuity plan (bcp) is false because they conduct their business remotely. This is untrue because a telecommuter is a distant worker who conducts business from home and communicates with the office by email, fax, phone, or the internet. As a result, any disruptions would not effect them.
The BCP refers to an organization's ability to continue operating and producing goods in the case of a disruption to normal business operations. A telecommuter might also be impacted by a business interruption. Regardless of whether they are working from home, their job is still crucial.
A business continuity plan (BCP) is a document that provides the crucial information required for a business to continue operating in the event of an unforeseen occurrence.
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in response to the global financial crisis of 2008-2009, the international monetary fund began to:
In response to the global financial crisis of 2008-2009, the International Monetary Fund (IMF) began to increase its lending programs and offer more flexible terms to its member countries.
The IMF is an international organization that works to promote global monetary cooperation, facilitate international trade, and foster sustainable economic growth. During the financial crisis, the IMF increased its lending programs to provide financial assistance to countries struggling with economic instability. The IMF also implemented more flexible lending terms, such as lower interest rates and longer repayment periods, to help countries manage their debt and stabilize their economies. Additionally, the IMF worked with other international organizations and national governments to coordinate a global response to the crisis and prevent a further spread of economic instability.
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a fixed exchange rate system crisis may be accompanied or followed by group of answer choices devaluation of a currency. revaluation of a currency. deflationary pressures within the country. unexpected gains of international reserves.
When a fixed exchange rate system is experiencing a crisis, it is often accompanied by a devaluation of the currency.
This is because the crisis usually involves a situation where the demand for the currency exceeds the supply, which leads to a decline in its value. In turn, this can lead to deflationary pressures within the country, as imports become more expensive and exports become cheaper. It is less likely for a fixed exchange rate system crisis to be followed by a revaluation of the currency, as this would make exports more expensive and potentially worsen the crisis.
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jonathan, the branch manager for lonetree realty, developed and implemented a creative advertising campaign for his branch. based on washington law, which statement about this is true?
Based on Washington law, the true statement about this situation is: Jonathan, as the branch manager, must ensure that the creative advertising campaign for Lonetree Realty complies with all applicable Washington state laws and regulations regarding real estate advertising.
Here are the steps Jonathan should follow to ensure compliance:
1. Verify that all advertising materials include the full name of the firm (Lonetree Realty) and the name of the designated broker.
2. Ensure that the advertising campaign does not use any misleading or false statements, which could be considered as misrepresentation or fraud.
3. Confirm that the advertising materials do not discriminate against any protected classes under the Fair Housing Act and Washington State Law.
4. Check that any claims or offers made in the advertising campaign are accurate, substantiated, and in line with the services provided by Lonetree Realty.
By following these steps, Jonathan can ensure that his creative advertising campaign for Lonetree Realty is in compliance with Washington law.
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true or false: the company with a larger market value in a merger is always the acquirer, and the company with a smaller market value in a merger is the target. the merger is expected to create synergistic benefits for only the target company.
False, While it is often the case that the company with a larger market value is the acquirer and the company with a smaller market value is the target in a merger, this is not always the case. There are situations where the target company may have a larger market value due to certain strategic assets or market conditions.
As for the second part of the question, the answer is that it is also false. In a merger, both companies are expected to benefit from synergies created by the combination of their resources, expertise, and market positions. While the target company may see more immediate benefits such as a higher share price and access to new markets, the acquirer also stands to gain from cost savings, increased market share, and diversification of their portfolio. Ultimately, a successful merger is one where both companies see positive outcomes and value creation.
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a common reason why a government might receive a "modified opinion" from the external auditors is:
A common reason why a government might receive a "modified opinion" from external auditors is that there are limitations on the scope of the audit.
A modified opinion is a type of audit report that indicates that the financial statements of an organization may be materially misstated, but not to the extent that a qualified or adverse opinion is necessary. When a government receives a modified opinion, it means that the external auditors were not able to obtain sufficient evidence to support some aspect of the financial statements. This might be because of limitations on the scope of the audit, such as when the auditors are unable to obtain access to certain records or information.
Other reasons for a modified opinion might include uncertainties related to legal or regulatory matters, or disagreements between the auditors and the government regarding accounting principles or the presentation of financial information. While a modified opinion is not as severe as a qualified or adverse opinion, it is still a signal that there may be issues with the accuracy or completeness of the financial statements.
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Joanna owns a small trading business. Her sales team consists of some employees who work hard to achieve targets while the rest spend hours on breaks, attending to personal calls. Joanna has discovered that her sales team loses nearly four hours of productive time per day, which has led to dissonance and decreased sales in the past. Which performance measurement method has Joanna used to assess this situation?
Joanna has used the observation method to assess the situation with her sales team.
Specifically, she has observed the behavior of her employees and identified that some are working hard to achieve their targets while others are spending hours on breaks and personal calls, resulting in a loss of four hours of productive time per day.
This method involves observing and measuring employee behavior and performance directly, which can help identify areas of improvement and enable managers to make data-driven decisions to enhance employee productivity and organizational performance. By using the observation method, Joanna can take appropriate measures to address the situation and improve the overall performance of her sales team.
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holiday laboratories purchased a high-speed industrial centrifuge at a cost of $440,000. shipping costs totaled $20,000. foundation work to house the centrifuge cost $8,400. an additional water line had to be run to the equipment at a cost of $3,100. labor and testing costs totaled $5,100. materials used up in testing cost $3,600. the capitalized cost is:
Holiday Laboratories' capitalized cost for the high-speed industrial centrifuge is $480,200.
How much did Holiday Laboratories spend on the high-speed industrial centrifuge including all associated costs?To calculate the capitalized cost of the industrial centrifuge, we need to add up all the costs that are directly related to acquiring and preparing the asset for use. These costs are known as the asset's "cost basis" and they include the purchase price, shipping costs, and any additional costs necessary to put the asset into service.
So, in this case, the capitalized cost of the centrifuge can be calculated as follows:
Purchase price: $440,000
Shipping costs: $20,000
Foundation work: $8,400
Water line: $3,100
Labor and testing costs: $5,100
Materials used in testing: $3,600
Total cost basis = $440,000 + $20,000 + $8,400 + $3,100 + $5,100 + $3,600 = $480,200
Therefore, the capitalized cost of the industrial centrifuge is $480,200.
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which of the following is true of options and futures contracts?group of answer choicesa futures contract gives you the obligation but not the right to buy or sell something at a time in the future at a price that is set today.an option gives you the right and the obligation to buy or sell something at a time in the future at a price that is set today.a futures contract gives you the right but not the obligation to buy or sell something at a time in the future at a price that is set today.a futures contract gives you the right and the obligation to buy or sell something at a time in the future at a price that is set today.
The correct choice among the given options is: "A futures contract gives you the right and the obligation to buy or sell something at a time in the future at a price that is set today."
Futures contracts are standardized agreements between two parties to buy or sell an asset at a specified price on a future date. The parties involved have both the right and the obligation to fulfill the terms of the contract. Futures contracts are used to hedge against price fluctuations or to speculate on potential price movements of underlying assets, such as commodities, currencies, or financial instruments.
On the other hand, options contracts provide the holder with the right, but not the obligation, to buy or sell an underlying asset at a specified price before or on a specific expiration date. There are two types of options: call options (the right to buy) and put options (the right to sell). Unlike futures contracts, options holders can choose whether to exercise their rights or let the options expire without any further action.
Both options and futures contracts are important financial instruments used for risk management and investment purposes in various markets. However, they differ in terms of the rights and obligations of the contract holders.
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The interest accrued on $6,400 at 6% for 75 days is: (Use 360 days a year.) Multiple Choice $448 O $46.
The interest accrued on $6,400 at 6% for 75 days is $80. This means that after 75 days, the total amount owed would be $6,480 ($6,400 + $80).
To calculate the interest accrued on $6,400 at 6% for 75 days using a 360-day year, we can use the simple interest formula:
Interest = Principal x Rate x Time
Here, the principal is $6,400, the rate is 6%, and the time is 75/360 of a year (since we are using a 360-day year). Thus,
Interest = $6,400 x 0.06 x (75/360) = $80
Therefore, the interest accrued on $6,400 at 6% for 75 days is $80. This means that after 75 days, the total amount owed would be $6,480 ($6,400 + $80).
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when a corporation earns profits, it must pass them on to shareholders in the form of dividends.T/F
The given statement " when a corporation earns profits, it must pass them on to shareholders in the form of dividends" is false because when a corporation earns profits, it is not required to pass them on to shareholders in the form of dividends.
Instead of handing out dividends, the corporation may choose to keep the income for other purposes such as reinvestment in the firm, debt reduction, or expansion.
Dividends, on the other hand, are one way for a firm to transfer earnings to shareholders. Dividends are payments made by a corporation to its shareholders, typically in cash but occasionally in the form of extra shares of stock or other property.
Dividend payments are made by corporations based on a range of variables, including their financial state, growth forecasts, cash needs, and shareholder preferences.
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based on this module's readings and your own independent research, develop a listing of what you believe are the most important metrics for operations managers. how does each metric support the overall financial performance of the organization? what data would be used to support this metric and how would you ensure that the data are of sufficient quality? how does data analytics support your metrics?
Here are some of the most important metrics for operations managers and how they support overall financial performance of the organization: Cycle time, Capacity utilization, Quality control, Inventory turnover, etc.
Cycle time: This metric measures the time it takes to complete a process or activity from start to finish. A shorter cycle time means faster production and delivery times, which can improve customer satisfaction and increase revenue. Data such as production logs and customer order data can be used to track cycle time, and ensuring data quality involves minimizing errors and inconsistencies in data collection and analysis.
Capacity utilization: This metric measures how much of the available resources are being used to produce goods or services. A higher capacity utilization means that the organization is making better use of its resources, which can reduce costs and increase revenue. Data such as production logs and equipment usage data can be used to track capacity utilization, and ensuring data quality involves monitoring equipment and minimizing downtime.
Quality control: This metric measures the quality of the products or services produced, including the number of defects and customer complaints. Higher quality can improve customer satisfaction and loyalty, reduce costs associated with rework and returns, and increase revenue. Data such as quality inspection reports and customer feedback can be used to track quality control, and ensuring data quality involves training employees on quality standards and monitoring the quality control process.
Inventory turnover: This metric measures how quickly inventory is sold or used up, which can indicate how efficiently the organization is managing its inventory. A higher inventory turnover means that the organization is generating revenue more quickly and reducing the costs associated with holding excess inventory. Data such as sales records and inventory reports can be used to track inventory turnover, and ensuring data quality involves monitoring inventory levels and identifying slow-moving or obsolete items.
OEE (Overall Equipment Effectiveness): This metric measures the performance of production equipment in terms of availability, performance, and quality. A higher OEE means that the organization is maximizing the use of its equipment and reducing downtime and defects, which can improve efficiency and reduce costs. Data such as equipment logs and maintenance reports can be used to track OEE, and ensuring data quality involves monitoring equipment performance and maintenance schedules.
Data analytics can support these metrics by providing insights and trends that can help operations managers identify areas for improvement and make data-driven decisions. By using data analytics tools, operations managers can identify patterns and correlations in data that may not be immediately apparent, and use this information to optimize processes, reduce costs, and improve overall financial performance. To ensure data quality, operations managers should establish clear data collection and analysis processes, use reliable data sources, and regularly review and verify the accuracy of the data.
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when designing pay for performance plans, most companies use a single performance measure linking to pay increases or bonuses. True or False?
The given statement " When designing pay for performance plans, most companies use a single performance measure linking to pay increases or bonuses. "is True because having a single performance measure helps to simplify the process of measuring and evaluating employee performance.
It also helps to ensure that employees are clear about what they need to achieve to receive a pay increase or bonus. The single performance measure used by companies varies depending on their goals and objectives. For instance, some companies may use sales targets as their performance measure while others may use customer satisfaction or productivity. Whatever the performance measure, it should be linked to the company's overall strategy and should be aligned with the employee's job responsibilities.
While using a single performance measure has its advantages, it can also have its drawbacks. For instance, if the performance measure used is too narrow or does not fully capture the employee's contributions, it may not accurately reflect their overall performance. This can lead to frustration and demotivation among employees who feel that they are not being fairly rewarded for their efforts.
In conclusion, while most companies use a single performance measure when designing pay-for-performance plans, it is important to ensure that the performance measure used is relevant and aligned with the company's overall strategy and the employee's job responsibilities.
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nectarine county historical museum, a not-for-profit entity group that capitalizes its collection items, received a gift of several civil war artifacts to be used for display and research. the donor found these items while cleaning out the closet of an old house. the fair value is hard to estimate but a dealer in these types of artifacts estimates their value at $2,000. the entry to record this donation is
The entry to record the donation of several civil war artifacts with an estimated fair value of $2,000 to the Nectarine County Historical Museum, a not-for-profit entity group that capitalizes its collection items, would be:
Debit: Collection Items $2,000
Credit: Contribution Revenue $2,000
This entry reflects the increase in the value of the museum's collection items and the recognition of contribution revenue. As a not-for-profit entity group that capitalizes its collection items, the museum would capitalize the donated artifacts and add them to its collection.
It is important to note that the fair value of the donated items is difficult to estimate, and the museum should seek the advice of a qualified appraiser to determine the most accurate valuation.
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having prestige, power over others, and fame are examples of work values related to _____.
Having prestige, power over others, and fame are examples of work values related to status.
Status refers to an individual's social standing or position within a group or society. Status-related work values are often associated with the desire to achieve recognition, respect, and admiration from others. Individuals who prioritize status-related values may be motivated by the desire for authority, influence, and control over others.
People who value status may be drawn to careers that offer opportunities for leadership, visibility, and public recognition. For example, CEOs, politicians, and celebrities are often perceived as having high status in society due to their positions of power and visibility. Conversely, individuals who prioritize other work values, such as autonomy, creativity, or social connection, may be less concerned with achieving status and more focused on personal fulfillment and satisfaction in their work.
Overall, the desire for status is a common human motivation that can impact our career choices and work-related behaviors. Understanding our own values and priorities can help us make more intentional career decisions and find greater fulfillment in our work.
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Bragg's Bakery is building a new automated bakery in downtown Sandusky.
Here are the activities that need to be completed to get the new bakery built and the equipment installed:
ACTIVITY PREDECESSOR NORMAL TIME (WEEKS) CRASH TIME (WEEKS)
A - 6 5
B A 5 3
C A 11 8
D B, C 8 7
E C 3 2
F D, E 5 4
EXPEDITING COST/WEEK
$3,500
3,900
4,200
2,200
2,500
4,800
a) What is the normal project length?
b) What is the project length if all activities are crashed to their minimum?
c) Bragg's losses $3,600 in profit per week for every week the bakery is not completed.
How many weeks will the project take if we are willing to pay crashing cost as long as it is less than $3,600?
The project lemngth is given as 30 weeks
How to solve for the rest of the problema) To determine the normal project length, we will follow the normal time for each activity and account for their predecessors:
A takes 6 weeks.B starts after A and takes 5 weeks, so A + B = 6 + 5 = 11 weeks.C starts after A and takes 11 weeks, so A + C = 6 + 11 = 17 weeks.D starts after B and C, so D = max(A + B, A + C) + D = max(11, 17) + 8 = 25 weeks.E starts after C and takes 3 weeks, so A + C + E = 17 + 3 = 20 weeks.F starts after D and E, so F = max(A + B + D, A + C + E) + F = max(25, 20) + 5 = 30 weeks.The normal project length is 30 weeks.
B.
A takes 5 weeks.B starts after A and takes 3 weeks, so A + B = 5 + 3 = 8 weeks.C starts after A and takes 8 weeks, so A + C = 5 + 8 = 13 weeks.D starts after B and C, so D = max(A + B, A + C) + D = max(8, 13) + 7 = 20 weeks.E starts after C and takes 2 weeks, so A + C + E = 13 + 2 = 15 weeks.F starts after D and E, so F = max(A + B + D, A + C + E) + F = max(20, 15) + 4 = 24 weeks.The length is 24 weeks
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$4,100 is invested with a 5.2% apr compounded continuously. what is the value of the investment after 14 years?
The value of the investment after 14 years with continuous compounding at a 5.2% APR is $8,499.72.
The formula for calculating the value of an investment with continuous compounding is:
A = P*e^(rt)
where:
A = the final amount
P = the initial investment
e = Euler's number (approximately 2.71828)
r = the annual interest rate expressed as a decimal
t = the time the investment is held in years
Using this formula, we can calculate the value of the investment after 14 years as follows:
A = 4100e^(0.05214)
A = 4100e^(0.728)
A = 41002.071
A = 8499.72
Therefore, the value of the investment after 14 years with continuous compounding at a 5.2% APR is $8,499.72.
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7. (1 pt) nouvel an s.a. is considering a project that requires an initial investment of $51,000. it is expected to produce annual cash flows of $35,000, $25,000, and $15,000. what is the discounted payback period for this project if the discount rate is 12%?
The discounted payback period for this project can be calculated by determining the present value of each cash flow and subtracting it from the initial investment until the remaining amount reaches zero.
Using a discount rate of 12%, the present value of the annual cash flows are as follows:
Year 1: $35,000 / (1 + 0.12)^1 = $31,250
Year 2: $25,000 / (1 + 0.12)^2 = $19,392.38
Year 3: $15,000 / (1 + 0.12)^3 = $10,206.24
Adding up the present values of the cash flows, we get:
$31,250 + $19,392.38 + $10,206.24 = $60,848.62
To calculate the discounted payback period, we subtract the present values of the cash flows from the initial investment until we reach zero:
Year 0: -$51,000
Year 1: -$51,000 + $31,250 = -$19,750
Year 2: -$19,750 + $19,392.38 = -$358.62
Year 3: -$358.62 + $10,206.24 = $9,847.62
Therefore, the discounted payback period for this project is 2 years and approximately 9 months (or 2.75 years) since the remaining amount after the end of year 2 is positive.
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if crude oil is a variable factor of production for a firm, then an increase in the price of crude oil will lead to
The firm's production costs will rise as a result of an increase in crude oil prices, which may result in lower profits or the need to raise pricing.
A rise in crude oil's price will increase the firm's production costs if crude oil is a variable cost of production. Because the company will have to spend more money to generate the same quantity of product, the rise in expenses will result in a drop in profits.
The company could need to raise the price of its products or services to retain its profit margin, which might result in a decline in demand and a decline in overall sales. To lessen its dependency on crude oil, the company may need to explore new sources of production inputs.
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a. grady exchanges qualified property, basis of $12,000 and fair market value of $18,000, for 60% of the stock of eadie corporation. the other 40% of the stock is owned by pedro, who acquired it five years ago. because this transaction does not meet the control of the corporation requirement, grady has income of $fill in the blank 2 and $fill in the blank 3 18,000 basis in his shares of stock. b. trey, amy, and erin incorporate their businesses by forming whitehead corporation. as part of a prearranged plan, trey exchanges his qualified property (basis $500; fair market value $1,000) for 100 shares in whitehead on may 9, 2022. amy exchanges her qualified property (basis $1,800; fair market value $2,000) for 200 shares of whitehead corporation stock on may 12, 2022, and erin exchanges her qualified property (basis $2,000; fair market value $3,000) for 300 shares in green on march 5, 2022. because this transaction the control of the corporation requirement, trey has income of $fill in the blank 5 and $fill in the blank 6 basis in his shares of stock, amy has income of $fill in the blank 7 and $fill in the blank 8 basis in her shares of stock, and erin has income of $fill in the blank 9 and $fill in the blank 10 basis in her shares of stock.
In both scenarios, tax consequences depend on whether the control of the corporation requirement is met or not.
In the first scenario, Grady exchanges qualified property with a basis of $12,000 and fair market value of $18,000 for 60% of the stock of Eadie Corporation. Since this transaction does not meet the control of the corporation requirement, Grady has income of $6,000 ($18,000 fair market value - $12,000 basis) and a basis of $12,000 in his shares of stock.
On the other hand, Pedro already owns 40% of the stock, which means that Grady does not have control of the corporation. Therefore, Grady will not be subject to any additional tax consequences apart from the income he received.
In the second scenario, Trey, Amy, and Erin incorporate their businesses by forming Whitehead Corporation. Trey exchanges his qualified property (basis $500; fair market value $1,000) for 100 shares in Whitehead on May 9, 2022. Amy exchanges her qualified property (basis $1,800; fair market value $2,000) for 200 shares of Whitehead Corporation stock on May 12, 2022, and Erin exchanges her qualified property (basis $2,000; fair market value $3,000) for 300 shares in Green on March 5, 2022.
Since the transaction meets the control of the corporation requirement, Trey has income of $500 ($1,000 fair market value - $500 basis) and a basis of $1,000 in his shares of stock. Amy has income of $200 ($2,000 fair market value - $1,800 basis) and a basis of $1,800 in her shares of stock. Finally, Erin has income of $1,000 ($3,000 fair market value - $2,000 basis) and a basis of $2,000 in her shares of stock.
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an increase in the price of the product will change the supply line (shift ________).
An increase in the price of the product will change the supply line by causing it to shift outward or to the right.
A shift in the supply curve occurs when there is a change in the quantity of a good or service that producers are willing and able to supply at any given price level. This change in quantity supplied can be caused by various factors, including changes in production costs, technology, or government policies.
When there is an increase in supply, the supply curve shifts to the right, indicating that producers are willing and able to supply a larger quantity of the good or service at each price level. Conversely, when there is a decrease in supply, the supply curve shifts to the left, indicating that producers are willing and able to supply a smaller quantity of the good or service at each price level.
It's important to note that a shift in the supply curve differs from a movement along the supply curve, which occurs when there is a change in the price of the good or service but no change in the quantity supplied.
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a standard price is the minimum price a company will have to pay for a unit of input.
A standard price is the predetermined minimum price that a company has to pay for a unit of input, such as raw materials or labor. This price is set based on various factors, such as the cost of production, market conditions, and the level of competition.
It serves as a baseline for the company to ensure that it pays a fair price for the inputs it needs to produce its goods or services. By having a standard price, companies can avoid overpaying for inputs and ensure that they can maintain their profit margins. However, it's important to note that the standard price is not always the lowest possible price that can be negotiated.
Companies may be able to negotiate lower prices based on factors such as the quantity of inputs purchased or long-term contracts. In summary, a standard price is a critical element in a company's procurement strategy, ensuring that it pays a fair price for inputs while maintaining profitability.
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_____ tells us that costs decline at a predictable rate as experience with a product increases.
The learning curve tells us that costs decline at a predictable rate as experience with a product increases.
The learning curve is a concept that describes the relationship between the amount of experience with a particular task or process and the resulting improvement in efficiency and productivity. As workers gain more experience, they become more proficient at performing the task, which leads to a reduction in the time and resources required to complete it.
This reduction in costs is often referred to as the "learning effect" or the "experience curve effect." The learning curve concept is widely used in manufacturing and other industries to predict the rate of cost reduction over time and to optimize production processes for maximum efficiency.
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Calculate the net income (after tax) to the net sales (round to nearest hundredth). for 2015 and 2014 ?
LOGIC COMPANY
Comparative Income Statement
For Years Ended December 31, 2014 and 2015
2015 2014
Gross sales $ 19,000 $ 15,000
Sales returns and allowances 1,000 100
Net sales $ 18,000 $ 14,900
Cost of merchandise (goods) sold 12,000 9,000
Gross profit $ 6,000 $ 5,900
Operating expenses: Depreciation $ 700 $ 600
Selling and administrative 2,200 2,000
Research 550 500
Miscellaneous 360 300
Total operating expenses $ 3,810 $ 3,400
Income before interest and taxes $ 2,190 $ 2,500
Interest expense 560 500
Income before taxes $ 1,630 $ 2,000
Provision for taxes 640 800
Net income $ 990 $ 1,200
LOGIC COMPANY
Comparative Balance Sheet
December 31, 2014 and 2015
2015 2014
Assets Current assets: Cash $ 12,000 $ 9,000
Accounts receivable 16,500 12,500
Merchandise inventory 8,500 14,000
Prepaid expenses 24,000 10,000
Total current assets $ 61,000 $ 45,500
Plant and equipment: Building (net) $ 14,500 $ 11,000
Land 13,500 9,000
Total plant and equipment $ 28,000 $ 20,000
Total assets $ 89,000 $ 65,500
Liabilities Current liabilities: Accounts payable $ 13,000 $ 7,000
Salaries payable 7,000 5,000
Total current liabilities $ 20,000 $ 12,000
Long-term liabilities: Mortgage note payable 22,000 20,500
Total liabilities $ 42,000 $ 32,500
Stockholders? Equity Common stock $ 21,000 $ 21,000
Retained earnings 26,000 12,000
Total stockholders? equity $ 47,000 $ 33,000
Total liabilities and stockholders? equity $ 89,000 $ 65,500
The net income (after tax) to net sales for 2015 is 5.50% and for 2014 is 8.05%.
To calculate the net income to net sales ratio, we divide net income by net sales and multiply the result by 100 to get a percentage.
For 2015, the net income after taxes is $990 and net sales are $18,000, so the net income to net sales ratio is (990/18,000) x 100 = 5.50%. Similarly, for 2014, the net income after taxes is $1,200 and net sales are $14,900, so the net income to net sales ratio is (1,200/14,900) x 100 = 8.05%.
This indicates that the company's profitability decreased from 2014 to 2015.
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question number 1) why would a salesperson ever tell a prospective customer not to buy the product in question?
A salesperson might tell a prospective customer not to buy the product in question if they believe it's not the right fit for the customer's needs.
Salespeople who prioritize customer satisfaction over making a sale will sometimes recommend against purchasing their product if they think it won't provide the desired results or won't meet the customer's needs.
This approach can actually increase trust and respect between the salesperson and customer, leading to a more positive reputation for the company and potentially more sales in the future.
Additionally, by being transparent and honest about the limitations of the product, the salesperson can build credibility and establish a foundation of trust with the customer.
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a financial crisis brought on by volatile capital flows group of answer choices is usually inevitable given underlying conditions. is often preceded by capital inflows and an increase in foreign liabilities. is usually the result of high budget deficits. does not happen to countries with strong international positions.
A financial crisis brought on by volatile capital flows is usually inevitable given underlying conditions because it often stems from a combination of factors such as excessive borrowing, unsustainable economic policies, and external shocks.
This type of crisis is typically preceded by a period of capital inflows and an increase in foreign liabilities, which can create vulnerabilities in the economy. It may also be triggered by a sudden reversal in investor sentiment, leading to a rapid outflow of capital and a sharp depreciation of the currency.
Countries with strong international positions, such as those with ample foreign capital reserves or diversified export markets, are generally better equipped to withstand these shocks and are less likely to experience a financial crisis.
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what is the maximum net income achieved in 2018 for the retail industry ($ millions)? multiple choice 5 204,522 496,785 10,073 9,667
The maximum net income achieved in 2018 for the retail industry was $496,785 million.
The amount earned by an individual or business after costs, allowances, and taxes is referred to as net income. Net income in company is the amount that remains after all costs, such as salaries and wages, the cost of goods or raw materials, and taxes, have been paid.Net income (NI), also called net earnings, is calculated as sales minus cost of goods sold, sales, general and administrative expenses, operating expenditures, depreciation, interest, taxes, and other expenses. It is a useful number for investors to assess how much revenue exceeds the expenses of an organization. This number appears on a company’s income statement and is also an indicator of a company's profitability.
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what is the approximate number of years that it would take for an investment to double if the rate of return (interest) is 5 percent?
It would take approximately 14.4 years for an investment to double if the rate of return (interest) is 5 percent.
We can use the rule of 72. The rule of 72 is a quick way to estimate the number of years it would take for an investment to double given a fixed annual interest rate. To use the rule of 72, you simply divide 72 by the annual interest rate. In this case, 72 divided by 5 equals 14.4.
To find the number of years it would take for an investment to double at a 5 percent interest rate, we can use the Rule of 72. The Rule of 72 is a simple formula used to estimate the number of years required to double an investment's value, given a fixed annual rate of return.
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a(n) ______ is a type of export intermediary widely used in japan.
A trading company is a type of export intermediary widely used in Japan.
A trading company is a type of export intermediary widely used in Japan. A trading company is a firm that facilitates the export of goods and services between countries. Trading companies often have extensive knowledge of foreign markets and expertise in the logistics of exporting. They typically purchase goods from domestic manufacturers, package the goods for export, and then sell them to foreign buyers. Trading companies can also provide other services such as market research, documentation, and financing to facilitate international trade. Trading companies are particularly common in Japan, where they have played an important role in the country's export-oriented economy.
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the forecasting of political events that may impact foreign investments is called __________.
The forecasting of political events that may impact foreign investments is called b) political risk analysis.
Political-risk analysis involves assessing the likelihood of political events or decisions that may have an effect on the business environment, particularly concerning foreign investments. This type of analysis is crucial for investors and businesses looking to operate in foreign markets, as it helps them understand the potential risks and make informed decisions.
Some factors considered in the political risk analysis include government stability, regulatory changes, political violence, and corruption. By examining these factors, analysts can gauge the stability of a country's political landscape and predict how it might impact foreign investments. For instance, a sudden change in government policies or regulations can lead to increased uncertainty and risk, affecting the profitability of investments.
In addition to these factors, political risk analysis also considers the broader geopolitical context, such as regional conflicts or international disputes, which could potentially disrupt foreign investments. By staying informed about these events, investors and businesses can anticipate potential risks and adjust their strategies accordingly.
In summary, political-risk analysis is a crucial tool for investors and businesses involved in foreign markets, as it enables them to assess the potential impact of political events on their investments. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
The forecasting of political events that may impact foreign investments is called __________.
a) currency analysis
b) political-risk analysis
c) analytical forecasting
d) international forecasting
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joanna received $60,000 compensation from her employer, the value of her stock in abc company appreciated by $5,000 during the year (but she did not sell any of the stock), and she received $30,000 of life insurance proceeds from the death of her husband. what is the amount of joanna's gross income from these items? multiple choice $60,000 $65,000 $95,000 $90,000
Gross income refers to the total amount of income earned by an individual or business before any deductions, such as taxes and expenses, are made. It includes all sources of income, such as wages, salaries, and investment returns.
To determine Joanna's gross income from these items, we need to consider which amounts are considered taxable income. Here's the breakdown:
1. Compensation from her employer ($60,000) - This amount is taxable income.
2. Value of her stock in ABC company appreciated by $5,000 - This amount is not taxable income since she did not sell any of the stock (unrealized gain).
3. Life insurance proceeds from the death of her husband ($30,000) - This amount is generally not considered taxable income.
So, Joanna's gross income from these items would be:
$60,000 (compensation from her employer)
The correct answer is $60,000.
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