When we use money to determine the worth of things like cars, DVDs, and TVs, we say that money is acting as a unit of account. Option B is correct.
This means that money is being used as a standard way to measure the value of different goods and services. It helps us compare how much things are worth by giving us a common language to use, in this case, money.
So, when we say that a TV costs $500, we know exactly what that means because we understand the value of that money. It's just one of the many ways that money helps us make sense of the world around us.
Therefore, option B is correct.
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the cost of giving up a cash discount on a credit purchase is . group of answer choices added on to the price of the goods in order to make payment quickly deducted from the price of the goods in order to make payment quickly the implied interest rate paid in order to delay payment for an additional number of days the true purchase price of the goods
The cost of giving up a cash discount on a credit purchase is the true purchase price of the goods.
The cost occurs because you choose not to take advantage of the cash discount and pay the full price of the goods, essentially paying extra for the opportunity to delay your payment.
This is because the cash discount is deducted from the price of the goods in order to incentivize quick payment. By choosing to delay payment and not taking advantage of the cash discount, the buyer is essentially paying the full price of the goods. This results in a higher true purchase price, as opposed to the discounted price that would have been obtained by making the payment quickly.
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Question 4 2 pts A stock is currently priced at $28.4. Its dividend is expected to grow at a rate of 5.6% per year indefinitely. The stock's required return is 9.7%. The stock's predicted price 4 years from now, P4, should be $ Do not round any intermediate work, but round your final answer to 2 decimal places (ex: 12.34567 should be entered as 12.35). Margin of error for correct responses: +/-.05
The predicted price of the stock 4 years from now should be $37.20.
The dividend growth rate = 5.6%
The required return = 9.7%
Using the constant growth formula:
P = D / (r - g)
Where:
P = current stock price
D = dividend payment
r = required return
g = dividend growth rate
We can solve for the dividend payment:
D = P * g = $28.4 * 5.6% = $1.59
Next, we can calculate the stock price after 4 years:
P4 = D4 / (r - g) = D * (1 + g)^4 / (r - g) = $1.59 * (1 + 5.6%)^4 / (9.7% - 5.6%) = $37.20 (rounded to two decimal places).
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1. To retire a bond of $ 100,000.00 in 5 years, what amount needs to be deposited at 8% quarterly?
2. At the beginning of each year for 7 years, you invest $ 500.00, semiannually, at 8.00%. What is the cash value of this annuity at the end of year 7?
3. St. George’s must invest in new piers to entice ships to enter the port. They estimate that it will cost $ 5,000,000.00 in 20 years. They can invest in a sinking fund to finance this expenditure. What will they have to deposit semiannually at a 4.00% interest rate to fund this expenditure?
4. Toby Martin invests $ 500.00 at the end of each year for 8 years at 12% interest compounded semiannually. What is the final value of Toby’s investment at the end of the period?
5. Emily Bennett is setting up an annuity for a memorial scholarship. What lump sum does she need to set aside today at 7% annual interest to have the scholarship pay $ 30,000annually for 10 years?
6. Payment Amount Annual Interest Years interest Rate
What is the value of the annuity?
$ 16,000 Quarterly 4 12%
7. You are planning to get ready to retire. You will need $ 20,000.00 a year to retire comfortably. To date, you have set aside no retirement money. If you get interest of 12% compounded semiannually, you will have to invest how much today to have $ 20,000.00 a year for 15 years?
8. Payment Amount Annual Interest Years interest Rate
What is the value of the annuity?
$ 7,500 semiannually 5 12%
9. BONUS QUESTION:
Bob wants to retire in 10 years and then have enough money saved to withdraw $ 75,000.00 a year for 15 years at 8%. How much does Bob need to invest semiannually for the next 10 years to fulfill his dream? He is able to invest in an ordinary annuity that yields 8.00% for both investments. Bob currently has no funds invested.
We would have to invest $500.00 semiannually for 7 years at 8.00% to r in a cash value of $10,677.55 at the end of year 7.
To retire a bond of $100,000.00 in 5 years with 8% quarterly interest, approximately $67,644.50 needs to be deposited.
Investing $500.00 semiannually for 7 years at 8.00% will result in a cash value of approximately $10,677.55 at the end of year 7.
St. George's needs to deposit approximately $1,852,862.16 semiannually at a 4.00% interest rate over 20 years to fund the $5,000,000.00 expenditure.
Toby Martin's investment of $500.00 at the end of each year for 8 years at 12% interest compounded semiannually will have a final value of approximately $7,173.31.
Emily Bennett needs to set aside a lump sum today at 7% annual interest to provide a scholarship payment of $30,000 annually for 10 years.
The value of an annuity with a payment amount of $16,000, a quarterly frequency, a duration of 4 years, and an interest rate of 12% needs to be calculated.
To have $20,000.00 a year for 15 years during retirement with 12% interest compounded semiannually, an investment needs to be made today.
The value of an annuity with a payment amount of $7,500, a semiannual frequency, a duration of 5 years, and an interest rate of 12% needs to be calculated.
Bob wants to retire in 10 years and withdraw $75,000.00 annually for 15 years at 8%. The amount Bob needs to invest semiannually for the next 10 years to achieve this goal needs to be determined.
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a company purchases a franchise for $120,000, which stipulates a 10-year term. past experience indicates that the franchise can be expected to be used to generate revenue for only 8 years. the amount of the annual franchise amortization is
Based on the information provided, the amount of annual franchise amortization is $15,000.
The company has purchased a franchise for $120,000 with a 10-year term, but past experience indicates that the franchise will only be used for 8 years. In accounting, the cost of the franchise is allocated over its useful life, which is the period of time that the franchise is expected to generate revenue for the company.
To calculate the amount of annual franchise amortization, we need to divide the cost of the franchise by its useful life. Therefore, the annual franchise amortization can be calculated as follows:
$120,000 / 8 years = $15,000 per year
This amount represents the portion of the cost of the franchise that is expensed each year over its useful life. It is important to note that the annual franchise amortization expense is a non-cash expense, which means that it does not involve an actual cash outflow from the company.
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what does an income statement show about a company over a period of time? group of answer choices reliability liabilities profitability equity
The correct option is C, An income statement shows a company's profitability over a period of time.
Income refers to the revenue or earnings that a business receives from its operations or investments. It is the money that comes into a business, which can be used to pay expenses, invest in growth, and provide profits to the business owners or shareholders. Income can come from various sources, such as the sale of products or services, rental income, interest on investments, and gains from the sale of assets.
In accounting, income is typically recorded as revenue, which is the total amount earned by the business from its operations during a specific period. Business income is an essential component of a company's financial health and is used to calculate important financial ratios such as the profit margin, return on investment (ROI), and earnings per share (EPS). It is important for a business to track its income accurately, as it helps to determine the amount of taxes owed, plan for future investments and expenditures, and evaluate the overall performance of the business.
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Complete Question:
what does an income declaration display about a business enterprise over a time period? group of answer choices
A). Reliability
B). Liabilities
C). Profitability
D). Fairness
The trial balance of Active Fitness shows the following balances for selected accounts on November 30, 2022:
Prepaid Insurance $8,600 Unearned Fitness Revenue $ 19,608
Equipment 58,824 Note Payable 27,600
Accumulated Depreciation 10,062 Rent Receivable 430
Instructions: Using the additional information given below, prepare the appropriate monthly adjusting entries at November 30. Show computations. Additionally, in answer 6 in sentence form.
1. Revenue earned for fitness center fees, but not yet billed, totaled $2,322 on November 30.
2. The note payable is a 9% 1-year note issued October 1, 2022.
3. The equipment was purchased on January 2, 2012. It has an estimated life of 8 years and an estimated salvage value of $5,160. Active Fitness uses the straight-line depreciation method.
4. An insurance policy was acquired on June 30, 2022; the premium paid for 1 year had a cost of $12,900.
5. Active Fitness received $19,608 in advance on November 1, 2022, from customers who paid for 3 months of prepaid fitness fees.
6. In a couple of sentences explain in your own words why adjusting entries are needed.
A trial balance is a financial statement that lists the balances of all general ledger accounts of a company at a specific point in time. It serves as an important internal control tool for verifying the accuracy of the company's accounting records.
Prepaid Insurance, and Rent Receivable. Based on the provided information, here are the monthly adjusting entries at November 30, 2022:
1. To record revenue earned for fitness center fees, but not yet billed, totaling $2,322 on November 30:
Debit Unearned Fitness Revenue $2,322
Credit Fitness Revenue $2,322
2. To record interest expense on the 9% 1-year note issued on October 1, 2022:
Interest expense for two months = (27,600 * 0.09) * (2/12) = $414
Debit Interest Expense $414
Credit Interest Payable $414
3. To record depreciation expense for the equipment purchased on January 2, 2012:
Depreciation per year = (58,824 - 5,160) / 8 = $6,707
Monthly depreciation = 6,707 / 12 = $559.75
Debit Depreciation Expense $559.75
Credit Accumulated Depreciation $559.75
4. To record the monthly insurance expense for the policy acquired on June 30, 2022:
Monthly insurance expense = 12,900 / 12 = $1,075
Debit Insurance Expense $1,075
Credit Prepaid Insurance $1,075
5. To record the revenue recognition for the 3-month prepaid fitness fees received on November 1, 2022:
Monthly fitness fees revenue = 19,608 / 3 = $6,536
Debit Unearned Fitness Revenue $6,536
Credit Fitness Revenue $6,536
Adjusting entries are needed to ensure that financial statements accurately reflect the company's financial position and performance. They help to allocate revenues and expenses to the correct accounting period, allowing for a proper matching of revenues and expenses in the income statement. This ensures that the financial statements provide a more accurate representation of the company's financial health, and helps stakeholders make informed decisions based on the information presented.
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what measure on the graphs seem to indicate improvement in the u.s. economy during the great depression? what might explain this?
There are a few indicators that show some improvement over time, such as a gradual increase in industrial production, a decrease in unemployment rates, and an increase in the stock market index.
One explanation for these improvements could be the implementation of various New Deal programs by the government, such as the National Industrial Recovery Act, which aimed to increase industrial production and stabilize prices, and the Civilian Conservation Corps, which provided jobs and training for young men. The government also implemented policies to stabilize the banking system and restore confidence in the financial sector, which helped to increase investment and stabilize the stock market.
Additionally, World War II brought about a surge in industrial production and employment as the government ramped up production for the war effort. This helped to further improve the economy and pave the way for a post-war economic boom.
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seventy percent of the wealth in the u.s. belongs to __________ percent of its families.
Seventy percent of the wealth in the U.S. belongs to the top ten percent of its families. This means that a small percentage of the population is holding a large portion of the country's wealth.
This wealth inequality has been a topic of debate and concern, as it can lead to social and economic disparities. The remaining ninety percent of families have to share the remaining thirty percent of the wealth. This situation occurs due to income inequality, where a small percentage of the population accumulates a large proportion of the country's wealth.
The reasons for this disparity can include factors such as inherited wealth, higher-paying job opportunities, and investment income. This concentration of wealth among a few can lead to economic and social issues, as it may limit opportunities and resources for the majority of the population.
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cost variance could exist for control accounts using the loe work measurement where the earned value is equal to the budget
Cost variance can exist for control accounts using the LOE (Level of Effort) work measurement technique even if the earned value is equal to the budget.
This is because LOE measures the amount of effort required to complete a task, rather than the actual completion of the task. Therefore, if the actual cost of completing the task exceeds the budgeted cost, a cost variance will still exist, even if the earned value is equal to the budget. It is important to closely monitor cost variances in control accounts using the LOE technique to ensure that project costs do not exceed the budget.
Cost variance is an important concept in project management, particularly when using the Level of Effort (LOE) work measurement. When analyzing control accounts, cost variance can occur when the earned value (EV) is equal to the budget.
In this scenario, the cost variance (CV) would be calculated using the formula CV = EV - Actual Cost (AC). If the earned value is equal to the budget, it indicates that the project is progressing as planned in terms of work completed. However, it's still essential to monitor the actual cost to ensure that the project remains within the budget and to identify any potential cost overruns or savings.
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juan felipe plans to buy shares of two stocks. one costs $32 per share and pays dividends of $1.20 per share. the other costs $23 per share and pays dividends of $1.40 per share. he has $10,100 to spend and wants to earn dividends of $540. how many shares of each stock should he buy?
Juan Felipe needs to purchase (10,100 - 32*2,520)/23 = 195.65 (rounded to 196) shares of the $23 stock and 2,520/32 = 78.75 (rounded to 79) shares of the $32 stock.
Let x be the number of shares of the $32 stock and y be the number of shares of the $23 stock. From the given information, we can write two equations: 32x + 23y = 10,100 (the total cost of the shares) 1.2x + 1.4y = 540 (the total dividends earned) We can solve this system of equations using substitution or elimination. Here is the solution using substitution:
From equation 1, we can write: y = (10,100 - 32x)/23 Substituting this expression for y into equation 2, we get: 1.2x + 1.4[(10,100 - 32x)/23] = 540 Simplifying and solving for x: 1.2x + (61.6 - 1.39x) = 540 0.19x = 478.4 x = 2,520
So Juan Felipe should buy 2,520/32 = 78.75 (rounded to 79) shares of the $32 stock and (10,100 - 32*2,520)/23 = 195.65 (rounded to 196) shares of the $23 stock.
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marie will benefit if the u.s. imposes a tariff on foreign-made televisions. marie must be a
Marie must be someone who works in the television industry in the United States or has a business that produces or sells televisions in the country.
If a tariff is imposed on foreign-made televisions, it will make it more expensive for people to import those products, giving an advantage to domestic producers and potentially increasing demand for their products. Therefore, Marie would benefit from the increased demand for domestically-made televisions. Marie could be someone who works in the television manufacturing industry in the United States, as a tariff on foreign-made televisions would make them more expensive compared to domestically produced televisions, giving the domestic manufacturers a competitive advantage.
Alternatively, Marie could be a consumer who prefers to purchase domestically produced televisions, and believes that a tariff on foreign-made televisions would incentivize companies to produce more televisions domestically, creating jobs and supporting the domestic economy. It's also possible that Marie could hold a political or ideological position that favors protectionist trade policies, such as tariffs, over free trade.
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Calculate investing cash flows (LO11-4) Dristell Incorporated had the following activities during the year (all transactions are for cash unless stated otherwise): 0.15 points eBook a. A building with a book value of $416,000 was sold for $516,000. b. Additional common stock was issued for $176,000. c. Dristell purchased its own common stock as treasury stock at a cost of $83,000. d. Land was acquired by issuing a 6%, 10-year, $766,000 note payable to the seller. e. A dividend of $56,000 was paid to shareholders. f. An investment in Fleet Corporation's common stock was made for $136,000. g. New equipment was purchased for $73,000. h. A $98,000 note payable issued three years ago was paid in full. i. A loan for $116,000 was made to one of Dristell's suppliers. The supplier plans to repay Dristell this amount plus 10% interest within 18 months. Print References Required: Calculate net cash flows from investing activities. (Cash outflows should be indicated with a minus sign.)
The net cash flows from investing activities for Dristell Incorporated during the year are negative $41,000.
The net cash flows from investing activities for Dristell Incorporated during the year are as follows:
a. Cash inflow from the sale of a building of $516,000 - book value of the building of $416,000 = $100,000
b. Cash outflow for the issuance of additional common stock of $176,000
c. Cash inflow from the purchase of treasury stock of $83,000
d. Cash outflow for the purchase of land with a 6% 10-year note payable of $766,000
e. Cash outflow for the payment of dividends of $56,000
f. Cash outflow for the investment in Fleet Corporation's common stock of $136,000
g. Cash outflow for the purchase of new equipment of $73,000
h. Cash inflow from the payment in full of a $98,000 note payable from the previous year
i. Cash outflow for the loan to a supplier of $116,000
Total net cash flows from investing activities: $100,000 + ($176,000 - $416,000) - $83,000 - $766,000 - $56,000 + $136,000 - $73,000 - $98,000 + $116,000 - $116,000 = -$41,000
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carson components inc., based in missouri, decided to set up a new operation in belgium. this is a greenfield venture, which is a form of which entry mode? group of answer choices wholly owned subsidiary exporting licensing joint venture turnkey contract
Carson Components Inc. has chosen a greenfield venture as its entry mode for setting up a new operation in Belgium.
Greenfield venture refers to establishing a new operation in a foreign market from scratch, rather than acquiring or merging with an existing company. This mode provides complete control and ownership over the new venture, which makes it a form of wholly owned subsidiary. In a greenfield venture, the company needs to invest significant resources in building the required infrastructure and establishing its presence in the new market. However, it allows the company to customize its operations as per local market demands and develop a competitive advantage. Overall, the greenfield venture is a suitable entry mode for companies that have the financial resources, time, and expertise to set up a new operation in a foreign market.
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to which of the problems in the construction of the cpi is the creation of the mobile phone most relevant?
The Bureau of Labor Statistics (BLS) regularly reviews and updates the CPI methodology to ensure that it accurately reflects changes in consumer prices and purchasing patterns.
The construction of the Consumer Price Index (CPI) is a complex process that involves measuring changes in the prices of a wide range of goods and services over time. The creation of the mobile phone is not directly relevant to any particular problem in the construction of the CPI.
The increasing popularity and widespread use of mobile phones have posed some challenges for accurately measuring changes in the prices of communication services, which are one of the components of the CPI. As mobile phones and other technological innovations have transformed the way people communicate, traditional measures of communication services may not accurately reflect the full range of options available to consumers.
For example, the CPI may not fully capture the increasing availability and use of internet-based communication services, such as messaging apps and social media platforms, which are often free or have low fees compared to traditional phone services. Additionally, the rapid pace of technological change in the telecommunications industry can make it difficult to accurately measure changes in the quality and features of communication services over time.
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tqm is a comprehensive approach dedicated to multiple choice continuous quality improvement, training, and customer satisfaction. product innovation and organizational learning, over fast cycles. customer input into management strategy and decision making. strategic measurement of quantifiable goals and quick corrections.
The organization to achieve high-quality products and services, customer satisfaction, and continuous improvement.
Why will be management strategy and decision making. strategic measurement?The statement "[tex]TQM[/tex] is a comprehensive approach dedicated to continuous quality improvement, training, and customer satisfaction, product innovation and organizational learning, over fast cycles, customer input into management strategy and decision making, strategic measurement of quantifiable goals, and quick corrections" is a multiple-choice statement, not a question. However, I can provide an explanation of the concepts involved in Total Quality Management ([tex]TQM[/tex]).
[tex]TQM[/tex] is an approach to management that focuses on continuous improvement of processes and systems to ensure quality products and services, customer satisfaction, and organizational effectiveness. [tex]TQM[/tex] involves a holistic approach that includes all aspects of the organization, from top management to frontline employees, suppliers, and customers.
The key principles of [tex]TQM[/tex] include:
Continuous Quality Improvement: [tex]TQM[/tex] aims to continuously improve processes, products, and services to meet or exceed customer expectations.Customer Satisfaction: [tex]TQM[/tex] focuses on meeting and exceeding customer needs and expectations to ensure their satisfaction.Employee Involvement: [tex]TQM[/tex] encourages employee participation in quality improvement initiatives and provides training to enhance their skills and knowledge.Product Innovation: [tex]TQM[/tex] promotes the development of new products and services to meet changing customer needs and to stay ahead of competitors.Strategic Measurement: [tex]TQM[/tex] involves the use of data and metrics to monitor and measure organizational performance, to identify areas for improvement and to track progress.Quick Corrective Actions: [tex]TQM[/tex] emphasizes quick corrective actions to resolve quality issues and to prevent their recurrence.Customer Input: [tex]TQM[/tex] involves customer input in the design and improvement of products and services, as well as in the management strategy and decision-making process.Overall, [tex]TQM[/tex] is a comprehensive approach that integrates multiple aspects.
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Total Quality Management (TQM) is an inclusive approach dedicated to continuous quality improvement, training, and customer satisfaction with crucial aspects like product innovation, organizational learning, and swift corrections
TQM, or Total Quality Management, is an inclusive approach that focuses on continuous quality improvement, training, and customer satisfaction. It is dedicated to effective management strategy by incorporating customer input and focusing on quantifiable goals. Its key facets include product innovation, organizational learning, and quick corrections to maintain quality.
For instance, a company may use TQM to train its employees on the best practices for delivering high-quality customer service, then continuously evaluate and alter those practices based on customer feedback and outcome measures. In effect, product innovation evolves from the process of continuous learning and improvement, leading to customer satisfaction and business success.
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quozlet an airline is considering a project of replacement and upgrading of machinery that would improve efficiency. the new machinery costs $500 today and is expected to last for 5 years with no salvage value. straight line depreciation will be used. project inflows connected with the new machinery will begin in one year and are expected to be $200 each year for 5 consecutive years and project outflows will also begin in one year and are expected to be $90.00 each year for 5 consecutive years. the corporate tax rate is 32% and the required rate of return is 6%. calculate the project's net present value.
The project's net present value for Quozlet Airlines is $179.25.
We will calculate the net present value (NPV) of the project for Quozlet Airlines using the given information.
1. Calculate the annual depreciation expense:
The new machinery costs $500 and has no salvage value. Using straight-line depreciation over 5 years, the annual depreciation expense is:
($500 - $0) / 5 = $100 per year
2. Calculate the annual taxable income:
Annual inflows - Annual outflows - Annual depreciation expense = Taxable income
$200 - $90 - $100 = $10 per year
3. Calculate the annual taxes paid:
Taxable income × Corporate tax rate = Taxes paid
$10 × 0.32 = $3.20 per year
4. Calculate the annual net cash flow:
Annual inflows - Annual outflows - Annual taxes paid + Annual depreciation expense = Net cash flow
$200 - $90 - $3.20 + $100 = $206.80 per year
5. Calculate the net present value (NPV) using the required rate of return:
We will discount the net cash flow for each year and sum them up, then subtract the initial investment of $500.
NPV = (Cash flow in year 1 / (1 + required rate of return)^1) + ... + (Cash flow in year 5 / (1 + required rate of return)^5) - Initial investment
NPV = ($206.80 / (1 + 0.06)^1) + ($206.80 / (1 + 0.06)^2) + ($206.80 / (1 + 0.06)^3) + ($206.80 / (1 + 0.06)^4) + ($206.80 / (1 + 0.06)^5) - $500
NPV ≈ $179.25
The project's net present value is approximately $179.25.
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you just started your construction company and your first contract was valued at $258,874.94, your former classmate who was a bank manager offered you a loan that was 25% more than the maximum possible (about 75% of the estimated economic value of the project) for such project and value as approved by the bank's loan officer. you accepted the loan and signed all paperwork required. is accepting maximum loan as approved by the loan officer plus extra 25% more the best economic decision? choose true for yes and no for false
False. It is not the best economic decision to accept a loan that is 25% more than the maximum possible for a project.
False. Accepting a loan that is 25% more than the maximum possible loan for the project could result in unnecessary interest charges and potential financial strain on the company. It is important to carefully evaluate the financial needs of the project and determine the appropriate loan amount that can be comfortably project repaid. Additionally, accepting a loan from a former classmate may not be the best financial decision as it may be better to shop around for the best loan terms and interest rates.
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ompute the cost assigned to ending inventory using (a) fifo, (b) lifo, (c) weighted average, and (d) specific identification. for specific identification, units sold include 85 units from beginning inventory, 215 units from the march 5 purchase, 65 units from the march 18 purchase, and 105 units from the march 25 purchase. compute the cost assigned to ending inventory using fifo.
The cost assigned to ending inventory using FIFO is $2,335.
In a FIFO (First-In, First-Out) inventory system, the first units of inventory purchased are assumed to be the first ones sold. Therefore, the cost assigned to ending inventory is based on the cost of the most recently purchased units still in inventory.
To compute the cost assigned to ending inventory using FIFO, we need to determine the cost of goods sold (COGS) and the value of ending inventory. Let's assume that we have the following information:
Beginning inventory: 100 units $10/unit
Purchases:
March 5: 300 units $12/unit
March 18: 150 units $14/unit
March 25: 200 units $15/unit
Units sold: 470 units
Using FIFO, we assume that the 300 units purchased on March 5 were sold first, followed by the 150 units purchased on March 18, and then the 20 units from beginning inventory and the 105 units purchased on March 25.
Therefore, the COGS can be calculated as follows:
COGS = (300 x $12) + (150 x $14) + (20 x $10) + (105 x $15)
COGS = $3,600 + $2,100 + $200 + $1,575
COGS = $7,475
To calculate the value of ending inventory using FIFO, we need to take the cost of the most recently purchased units and multiply it by the number of units still in inventory.
In this case, we have 65 units from the March 18 purchase and 95 units from the March 25 purchase still in inventory.
Therefore, the value of ending inventory is calculated as follows:
Ending inventory = (65 x $14) + (95 x $15)
Ending inventory = $910 + $1,425
Ending inventory = $2,335
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or the following income statement, calculate the operating cash flow (ocf): sales $662,753 costs $403,947 depreciation $118,798 ebit ? taxes(28%) ? net income ?
The operating cash flow (OCF) from the given income statement is $218,842.96. To calculate the operating cash flow (OCF) from the given income statement, we need to start with earnings before interest and taxes (EBIT).
EBIT = sales, costs, and depreciation.
EBIT = $662,753 - $403,947 - $118,798
EBIT = $139,008
Next, we need to calculate taxes at a rate of 28%.
Taxes = EBIT x tax rate
Taxes = $139,008 x 0.28
Taxes = $38,963.04
Net Income can now be calculated by subtracting taxes from EBIT.
Net Income = EBIT minus taxes
Net Income = $139,008 - $38,963.04
Net Income = $100,044.96
Finally, to calculate operating cash flow, we need to add depreciation to net income.
OCF = Net Income + depreciation
OCF = $100,044.96 + $118,798
OCF = $218,842.96
Therefore, the Operating cash flow (OCF) from the given income statement is $218,842.96.
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Gilbarco Veeder-Root (GVR) is headquartered in Greensboro, NC and produces gas pumps around the world and is deciding whether to locate its new manufacturing facility in Brazil or India.
At either location, the facility will be designed to be able to produce up to 191,000 units.
In Brazil, the annual fixed cost of production is $2.8 million and the profit margin per unit is $78.
In India, the annual fixed cost of production is $4.8 million and the profit margin per unit is $89.
The annual demand that will be served by the facility is uncertain
With probability 0.4 the demand will be high at a value of 218,000 units
With probability 0.6 the demand will be low at a value of 145,000 units
Draw a decision tree to analyze this problem.
Enter the annual profit if GVR builds in Brazil and the demand is high.
If GVR builds the facility in Brazil and the demand is high, the annual profit will be $12,098,000
To calculate the annual profit , we first need to calculate the annual profit if GVR builds in Brazil and the demand is high.
1. Determine the production capacity: The facility will be able to pro
duce up to 191,000 units.
2. Identify the demand scenario: In this case, we are considering the high-demand scenario with 218,000 units. Since the production capacity is only 191,000 units, GVR will only be able to produce and sell 191,000 units.
3. Calculate the total revenue: Multiply the profit margin per unit ($78) by the number of units produced (191,000).
Total Revenue = $78 * 191,000 = $14,898,000
4. Calculate the annual profit: Subtract the annual fixed cost of production in Brazil ($2.8 million) from the total revenue.
Annual Profit = $14,898,000 - $2,800,000 = $12,098,000
So, if GVR builds the facility in Brazil and the demand is high, the annual profit will be $12,098,000.
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soc 2 and soc 3 reports both address primarily ________-related controls.
SOC 2 and SOC 3 reports both address primarily Security-related controls.
SOC (Service Organization Control) reports are a series of reports that provide assurance to customers and stakeholders that a service organization's controls are designed and operating effectively to achieve certain objectives. SOC 2 and SOC 3 reports are specifically focused on the service organization's controls related to security, confidentiality, privacy, processing integrity, and availability.
While both reports address security-related controls, SOC 2 reports are intended for use by stakeholders who need detailed information and assurance about the controls related to one or more of the five trust service categories mentioned above. SOC 3 reports, on the other hand, provide a summary of the same information found in a SOC 2 report but in a more general, publicly available format. In summary, SOC 2 and SOC 3 reports are important tools for service organizations to demonstrate their commitment to security-related controls, and these reports can be critical in building trust with customers and stakeholders.
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Suppose an economy employs labour and capital to produce output. Assume that an exogenous shock increases the price of labour in the economy, other thing being constant. a. (8 points) Use the aggregate demand and supply model to illustrate and examine the impact of the labour-market shock on output and the price level in both the short run and the long run.
b. (8 points) If the central bank cares about keeping output at their natural-rate levels, what is the policy response of the central bank? What is the impact of policy response on the price level? Use the aggregate demand and supply model to explain your answer.
Please illustrate your answers using figures with aggregate demand and supply curves. Please also briefly explain the answers in words
a. An exogenous shock that increases the price of labor in the economy would shift the short-run aggregate supply (SRAS) curve to the left, leading to a decrease in output and an increase in the price level. In the long run, wages and prices adjust to the new equilibrium, and the economy returns to its potential output level. However, the price level remains higher than before the shock.
b. To keep output at its natural rate level, the central bank would need to increase aggregate demand by lowering interest rates, which shifts the AD curve to the right. This policy response can bring output back to its potential level, but it would also lead to a further increase in the price level in the short run due to the initial shock. In the long run, the impact on the price level is uncertain, as it depends on the degree to which the central bank's policy affects inflation expectations.
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the sale of goods by a domestic firm to an affiliated firm in foreign country is known as a(n) _____
The sale of goods by a domestic firm to an affiliated firm in a foreign country is known as an intra-firm trade.
Intra-firm trade refers to the transactions that occur between different branches, subsidiaries, or divisions of the same parent company. This type of trade is prevalent among multinational corporations that have affiliates in different countries. The sale of goods or services in intra-firm trade is typically based on transfer pricing, which is the price charged for transactions within the company. This form of trade helps companies to optimize resources, minimize tax liabilities, and take advantage of lower production costs in various locations. Additionally, intra-firm trade allows firms to control their global supply chain more effectively, ensuring consistent quality and reducing the risk of supply disruptions.
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what does rectangular mean when visualizing the process? group of answer choices events gateway activities flows
When visualizing a process, the term rectangular refers to the shape of the symbol used to represent an activity. In process modeling, activities are the specific tasks or actions that need to be completed within a process to move it forward.
The rectangular shape is often used to represent activities because it is easy to recognize and stands out from other symbols.
Activities are a crucial part of process modeling because they provide a clear understanding of what needs to be done at each step. The rectangular shape indicates that the symbol represents an activity that must be completed to move the process forward. The activity may involve multiple steps or tasks, but the rectangular shape ensures that it is clear and easily understood.
It is also important to note that rectangular shapes can be used in conjunction with other symbols, such as events and gateways, to create a comprehensive visual representation of the process. These symbols work together to create a clear understanding of the entire process flow and how each activity fits into the bigger picture.
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When an adverse supply shock shifts the short-run aggregate-supply curve to the left, it also a. moves the economy along the short-run Phillips curve to a point with higher inflation and lower unemployment. b. moves the economy along the short-run Phillips curve to a point with lower inflation and higher unemployment. c. shifts the short-run Phillips curve to the right. d. shifts the short-run Phillips curve to the left.
It also shifts the short-run Phillips curve to the left. The answer is OPTION D.
An occurrence that results in an unanticipated rise in costs or interruption of production is known as an adverse supply-side shock. As a result, the short-run aggregate supply curve will move to the left, increasing inflation and decreasing output.
A bigger amount of real GDP is created at every price level if the aggregate supply curve, also known as the short-run aggregate supply or SRAS, shifts to the right. Lower real GDP is created at every price level if the aggregate supply curve shifts to the left. The short-run aggregate supply curve shifts to the left as a result of the unfavorable supply shock.
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during the y2k scare of 2000, rufus reduced his monthly spending by $1,000 and buried his money in the backyard. if the marginal propensity to consume is 0.75, by how much did national income fall?
Based on the given information, Rufus reduced his spending by $1,000 during the Y2K scare of 2000 and buried his money in the backyard. This means that his consumption decreased by $1,000.
The marginal propensity to consume (MPC) is the ratio of the change in consumption to the change in income. In other words, it measures how much of a change in income is spent on consumption.
If the MPC is 0.75, this means that for every dollar increase in income, 75 cents will be spent on consumption. Therefore, if Rufus reduced his consumption by $1,000, this means that national income would have decreased by $4,000.
To see why, we can use the following formula:
Change in income = Change in consumption / MPC
In this case, the change in consumption is -$1,000 and the MPC is 0.75, so:
Change in income = -$1,000 / 0.75 = -$1,333.33
So Rufus's reduction in spending of $1,000 would have led to a decrease in national income of $1,333.33. However, since we are asked to find the total decrease in national income, we need to multiply this by the total number of individuals or households that behaved similarly to Rufus.
Without additional information, we cannot estimate the total number of individuals or households that reduced their spending during the Y2K scare and buried their money in the backyard. Therefore, we cannot calculate the total decrease in national income.
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tb mc qu. 11-41 (algo) the maryville construction company occupies... the maryville construction company occupies 111,000 square feet for construction of mobile homes. there are two manufacturing departments, finishing and assembly, and four service departments labeled s1, s2, s3, and s4. information relevant to maryville is as follows: allocation department area used s1 s2 s3 s4 finishing assembly s1 19,000 --- 0.20 0.10 --- 0.10 0.60 s2 5,250 --- --- 0.30 0.30 --- 0.40 s3 10,500 0.20 0.20 --- 0.30 0.20 0.10 s4 5,250 0.20 0.10 0.20 --- 0.20 0.30 finishing 31,950 --- --- --- --- --- --- assembly 39,050 --- --- --- --- --- --- rent paid for the area used is $740,000. how much rent is allocable to the assembly department using the direct method of allocation?
The rent allocable to the assembly department using the direct method of allocation is $260,080.
To allocate the rent using the direct method, we simply divide the area used by the assembly department (39,050 square feet) by the total area used by all departments (111,000 square feet) and then multiply that fraction by the total rent paid ($740,000): Rent allocable to assembly department = (39,050/111,000) x $740,000 Rent allocable to assembly department = 0.352 x $740,000 Rent allocable to assembly department = $260,080 Therefore, the rent allocable to the assembly department using the direct method of allocation is $260,080.
The direct method of allocation is a method used to allocate overhead costs to different departments based on a direct measure of their usage of the overhead resource. In this case, the overhead resource is the rent paid for the space used by the company, and the direct measure of usage is the area occupied by each department.
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along with calculating the deviation rate and achieved upper deviation rate, auditors must also consider the
Along with calculating the deviation rate and achieved upper deviation rate, auditors must also consider the materiality of the deviations and the potential impact on financial statements.
They must also evaluate the effectiveness of the company's internal controls and identify any deficiencies that could lead to significant errors or fraud. Additionally, auditors must assess the risk of misstatement and determine the appropriate level of audit testing to address those risks.
Auditors must also consider the tolerable deviation rate when assessing control risk. Along with calculating the deviation rate and achieved upper deviation rate, considering the tolerable deviation rate helps auditors evaluate the effectiveness of internal controls and make informed decisions about the level of reliance they can place on them.
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the following amounts were reported on the december 31, 2022, balance sheet: retained earnings $ 140,000 buildings and equipment, net of accumulated depreciation 150,000 accounts receivable 38,000 common stock 20,000 wages payable 5,000 cash 13,000 land 60,000 accounts payable 25,000 bonds payable 90,000 merchandise inventory 24,000 the acid-test ratio at december 31, 2022 was:
The acid-test ratio at December 31, 2022 was 0.43 according to the data given in the question.
Acid-test ratio = (Cash + Accounts Receivable + Marketable Securities) / Current Liabilities
There is no information given on marketable securities, so we will assume it is zero from the data.
Acid-test ratio = (Cash + Accounts Receivable) / Current Liabilities
Current Liabilities = Wages Payable + Accounts Payable + Bonds Payable
Current Liabilities = $5,000 + $25,000 + $90,000 = $120,000
Acid-test ratio = ($13,000 + $38,000) / $120,000
Acid-test ratio = $51,000 / $120,000
Acid-test ratio = 0.425 or 0.43 (rounded to two decimal places)
Therefore, the acid-test ratio at December 31, 2022 was 0.43.
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advanced modular technology (amt) makes energy cleaner, safer, more secure, and more efficient. it typically exhibits net annual revenues that increase over a fairly long period. in the long run, an amt project may be profitable as measured by irr, but its simple payback period may be unacceptable. evaluate this amt project using the irr method when the company marr is 15% per year and its maximum allowable payback period is three years. what is your recommendation?
The Advanced Modular Technology (AMT) project is expected to have increasing net annual revenues over a long period of time, making it a profitable investment in the long run.
However, its simple payback period may exceed the company's maximum allowable payback period of three years. To evaluate this project using the Internal Rate of Return (IRR) method, we need to calculate the project's IRR and compare it to the company's Minimum Acceptable Rate of Return (MARR) of 15% per year. If the project's IRR is greater than the MARR, then it is considered acceptable. To calculate the project's IRR, we need to find the discount rate at which the project's net present value (NPV) equals zero. We can use a financial calculator or a spreadsheet program to solve for the IRR. Assuming the project's cash flows are as follows: Year 0: -$500,000 (initial investment) Year 1: $100,000 Year 2: $150,000 Year 3: $200,000 Year 4: $250,000 Year 5: $300,000 Using a financial calculator or a spreadsheet program, we find that the project's IRR is approximately 21.6%. Since the project's IRR is greater than the MARR of 15%, we can recommend that the company proceed with the AMT project.
However, we also need to consider the project's payback period, which may exceed the company's maximum allowable payback period of three years. To calculate the project's payback period, we add up the cash inflows until they equal the initial investment of $500,000. In this case, the payback period is approximately 2.4 years, which is within the company's maximum allowable payback period. Therefore, our recommendation is to proceed with the AMT project, as it is expected to be profitable in the long run and meets the company's financial criteria for both IRR and payback period.
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