Rounding to the nearest cent, the dividend two years from now would be approximately $2.33. None of the provided answer choices exactly match this calculation, but the closest option is $2.40 (option 2).
To calculate the dividend two years from now, we need to determine the future value of the preferred stock and then calculate the dividend based on the required return.
The formula to calculate the future value (FV) of an investment is:
FV = PV * (1 + r)^n
Where:
PV = Present value (current stock price)
r = Required return (as a decimal)
n = Number of years
In this case, the present value (PV) is $25, the required return (r) is 8% or 0.08, and the number of years (n) is 2.
Plugging in these values, we can calculate the future value (FV) of the preferred stock:
FV = $25 * (1 + 0.08)^2
FV = $25 * (1.08)^2
FV = $25 * 1.1664
FV = $29.16
Now that we have the future value, we can calculate the dividend based on the required return. The dividend (D) can be calculated as:
D = FV * r
D = $29.16 * 0.08
D = $2.3328
Rounding to the nearest cent, the dividend two years from now would be approximately $2.33.
None of the provided answer choices exactly match this calculation, but the closest option is $2.40 (option 2).
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we are a consulting agency. in our business model, we receive projects, identified by a project id and having a date started and date completed. we have employees identified by an employee id and having a name. some of our employees are team leaders. the others are ordinary employees. a project team always has one and only one team leader, and must have at least one ordinary employee. the team leader writes at least one report on every employee assigned to the project. the team lead can write multiple reports for each employee. each report is given its own unique report number. the report contents are free text.
In the given business model of the consulting agency, the key components are projects, employees, team leaders, and reports. Each project is identified by a project ID and has a date started and a date completed.
Projects: The consulting agency receives projects, which are identified by a project ID and have a date started and a date completed. Each project represents a specific task or assignment that the agency is working on.Employees: The agency has employees, who are identified by an employee ID and have a name. Employees are the individuals working on the projects.Team Leaders: Some employees are team leaders. A team leader is responsible for leading a project team and ensuring that the project is completed successfully. A project team always has one team leader.Ordinary Employees: The other employees in the agency are ordinary employees.
Reports: The team leader writes reports on every employee assigned to the project. Each report is given its own unique report number. The report contents are free text, meaning the team leader can write any relevant information about the employee's performance, progress, or any other details related to the project.To summarize, in the consulting agency's business model, projects are received with a project ID, and employees are identified with an employee ID and name. Team leaders oversee project teams and write reports on each employee assigned to the project. The reports contain free text and are given unique report numbers.
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Cabinets, Inc., is a large manufacturer of modular kitchen cabinets, sold primarily to builders and
developers. The company uses a standard cost system. Standard production costs have been developed for
each type of cabinet; these costs, and any cost variances, are charged to the production
department. A budget also has been developed for the sales department. The sales department
is credited with the gross profit on sales (measured at standard cost) and is charged with selling
expenses and any variations between budgeted and actual selling expenses.
In early April, the manager of the sales department asked the production department to fill a
rush order of kitchen cabinets for a tract of 120 homes. The sales manager stated that the entire
order must be completed by May 31. The manager of the production department argued that an
order of this size would take 12 weeks to produce. The sales manager answered, "The customer
needs it on May 31, or we don't get the business. Do you want to be responsible for our losing a
customer who makes orders of this size?"
Of course, the production manager did not want to take that responsibility. Therefore, he gave
in and processed the rush order by having production personnel work overtime through April and
May. As a result of the overtime, the performance reports for the production department in those
months showed large, unfavorable labor rate variances. The production manager, who in the past had
prided himself on coming in under budget, now has very ill feelings toward the sales manager. He also has
stated that the production department will never again accept a rush order.
Answer these two
Instructions
a. Identify any problem that you see in the company's standard cost system or in the manner in which cost
variances are assigned to the responsible managers.
b. b. Make recommendations for changing the cost accounting system to reduce or eliminate any problems
that you have identified.
a. The problem with the company's standard cost system is that it is not flexible enough to handle non-standard orders. The manner in which cost variances are assigned to the responsible managers is also problematic.
The sales department is not held accountable for any of the production costs associated with their rush orders. As a result, the production manager is unfairly penalized for the large unfavorable labor rate variances resulting from the overtime required to complete the order.
b. A possible recommendation for changing the cost accounting system is to establish a separate cost center for rush orders. This way, the sales department would be held accountable for any additional costs incurred due to their rush orders. Another possible solution is to implement a more flexible standard cost system that takes into account the cost of rush orders. This way, the production manager would not be unfairly penalized for accepting rush orders. Additionally, the company could consider negotiating with the customer to extend the delivery date, offering discounts or incentives for a later delivery date, or charging a premium for the rush order. By doing so, the company can reduce the need for overtime and minimize the negative impact on the production department's performance reports.
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During Year 3, Blue Ridge Corporation reported after-tax net income of $4,150,000. During the year, the number of shares of stock outstanding remained constant at 15,000 of $100 par, 9 percent preferred stock and 400,000 shares of common stock. The company's total stockholders' equity is $20,000,000 at December 31, Year 3. Blue Ridge Corporation's common stock was selling at $80 per share at the end of its fiscal year. All dividends for the year have been paid, including $4.80 per share to common stockholders. Required a. Compute the earnings per share. Note: Round your answer to 2 decimal places. b. Compute the book value per share of common stock. Note: Round your answer to 2 decimal places. c. Compute the price-earnings ratio. Note: Round intermediate calculations and final answer to 2 decimal places. d. Compute the dividend yield. Note: Round your answer to 2 decimal places. (i.e., 0.2345 should be entered as 23.45 ).
Earnings per share(EPS) is calculated by dividing after-tax net income by the total number of outstanding shares of stock. Thus, the EPS of Blue Ridge Corporation is $9.29.
How to find?EPS = (Net income − Preferred dividends) ÷ Average number of common shares outstanding
EPS = [$4,150,000 − ($100 × 15,000 × 0.09)] ÷ 400,000
= $9.29
b. Book value per share of common stock is calculated by dividing the total stockholders' equity by the number of shares of common stock. Therefore, the book value per share of common stock is $45.
Calculation for book value per share of common stock:
Book value per share of common stock = Total stockholders' equity ÷ Number of common shares outstanding
Book value per share of common stock = $20,000,000 ÷ 400,000
= $50
Per the balance sheet, the preferred shares have a book value of $135 per share.
This book value was calculated by multiplying the $100 par value of the stock by the 1.35 times multiple.
Thus, we can find the common stockholders' equity by subtracting the preferred stockholders' equity from the total stockholders' equity, then divide the common stockholders' equity by the number of common shares outstanding. T
he preferred stockholders' equity is calculated as $2,025,000. This is calculated as the product of 15,000 shares times $100 per share par value times 1.35.
The 1.35 multiple represents the 35% premium over the par value of the preferred stock. The common stockholders' equity is $17,975,000.
This is calculated as the difference between the total stockholders' equity of $20,000,000 and the preferred stockholders' equity of $2,025,000.
c. The Price-earnings ratio (P/E ratio) is calculated by dividing the current market price per share of common stock by the earnings per share.
Therefore, the P/E ratio is 8.62. Calculation for P/E ratio:
P/E ratio = Market price per share ÷ Earnings per share
P/E ratio = $80 ÷ $9.29 = 8.62
d. Dividend yield is calculated by dividing the dividend per share by the current market price per share. Therefore, the dividend yield of Blue Ridge Corporation is 6.00%.
Calculation for dividend yield:
Dividend yield = Annual dividend per share ÷ Market price per share
Dividend yield = [$4.80 ÷ $80] × 100%
= 6.00%
Therefore, the answers to the given problem are:
a. The earnings per share (EPS) is $9.29.
b. The book value per share of common stock is $45.
c. The price-earnings ratio (P/E ratio) is 8.62.
d. The dividend yield of Blue Ridge Corporation is 6.00%.
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Q.1.4 Recommend suitable organisation structures to promote knowledge management in (10) the business, as one of the key aspects of the knowledge management infrastructure. Justify your suggestions.
Different organizations have different structures, and selecting a suitable structure that promotes knowledge management is crucial. Flat, matrix, and network organization structures promote knowledge sharing, collaboration, and cross-functional teams, which are crucial for knowledge management.
Selecting suitable organization structures to promote knowledge management is crucial. In this article, we will discuss different organization structures that can promote knowledge management.
1. Hierarchical Organization Structure
Hierarchical organization structure is the most common type of organization structure. However, in knowledge management, the information should flow in both directions, from top to bottom and vice versa. Therefore, the hierarchical organization structure may not be the best option for knowledge management.
2. Flat Organization Structure
The flat organization structure is an ideal structure for knowledge management This results in a culture of continuous learning, innovation, and creativity.
3. Matrix Organization Structure
The matrix organization structure is a hybrid structure that combines the hierarchical and flat structure. IIt encourages knowledge sharing between different departments and helps to identify knowledge gaps that need to be filled.
4. Network Organization Structure
The network organization structure is a structure where a group of organizations works together to achieve common goals.
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e20.17 (lo 3, 4) (accounting for an operating lease) on january 1, 2025, nelson co. leased a building to wise inc. the relevant information related to the lease is as follows. the lease arrangement is for 10 years. the building is expected to have a residual value at the end of the lease of $3,500,000 (unguaranteed). the leased building has a cost of $4,000,000 and was purchased for cash on january 1, 2025. the building is depreciated on a straight-line basis. its estimated economic life is 50 years with no salvage value. lease payments are $275,000 per year and are made at the beginning of the year. wise has an incremental borrowing rate of 8%, and the rate implicit in the lease is unknown to wise. both the lessor and the lessee are on a calendar-year basis. instructions prepare the journal entries that nelson should make in 2025. prepare the journal entries that wise should make in 2025. if wise paid $30,000 to a real estate broker on january 1, 2025, as a fee for finding the lessor, what is the initial measurement of the right-of-use asset? explain.
To record the lease transaction in 2025, Nelson Co. should make the following journal entries:
On January 1, 2025, when the building is leased to Wise Inc.: Lease Receivable $3,500,000 Building $4,000,000 Gain on Sale of Building $500,000 Nelson Co. records the lease receivable, which represents the present value of future lease payments, based on the incremental borrowing rate of 8%.
The building is removed from Nelson Co.'s books as it is sold to Wise Inc., resulting in a gain on the sale of $500,000. On January 1, 2025, when Wise Inc. pays $30,000 Lease Receivable $ 30,000 Cash $ 30,000 Wise Inc. pays the real estate broker fee in cash, resulting in a decrease in the lease receivable and a corresponding decrease in cash.
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a hurricane hit the hub of the u.s. financial system and caused a significant disruption in the stock market. this is an example of:
A hurricane hitting the hub of the U.S. financial system and causing a significant disruption in the stock market is an example of a natural disaster impacting the economy.
Natural disasters, such as hurricanes, can have severe economic consequences. In this case, the hurricane hitting the hub of the U.S. financial system directly affected the functioning of the stock market, which is a key component of the economy. The disruption caused by the hurricane can lead to decreased trading activity, volatility in stock prices, and potential losses for investors and businesses.
A hurricane hitting the hub of the U.S. financial system and causing a significant disruption in the stock market is an example of a natural disaster impacting the economy. Natural disasters, including hurricanes, can have far-reaching effects on various aspects of the economy, such as infrastructure, businesses, and financial markets. In the given scenario, the hub of the U.S. financial system is likely referring to a major financial center, such as Wall Street in New York City. Wall Street is home to many financial institutions, including stock exchanges, investment banks, and hedge funds. When a hurricane hits this area, it can lead to power outages, flooding, and damage to buildings and infrastructure.
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The market for factors of production are Land, Labour, Capital, Enterprise True False
True. The market for factors of production is made up of four main elements, including Land, Labour, Capital, and Enterprise. These elements are essential to the production of goods and services, and they help to drive the economy.
Here is a little more about each of the elements:
Land: This refers to all natural resources, such as land, water, and minerals. These resources are used to produce goods and services, and they are often in limited supply.
Labour: This refers to the human input in the production process, including workers and their skills.
Capital: This refers to the machinery, tools, and other equipment used to produce goods and services.
Enterprise: This refers to the entrepreneurial spirit, creativity, and innovation that is required to bring new products and services to the market.
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the growth in international trade has come from an increase in the international sale of goods but not services.
The statement that the growth in international trade has come from an increase in the international sale of goods but not services is not accurate.
The growth in international trade has actually come from an increase in both the international sale of goods and services. Let me explain why: Globalization: In recent decades, globalization has led to an increase in the movement of goods and services across borders. This has been facilitated by advancements in technology, transportation, and communication. Services sector: The services sector, which includes industries like finance, tourism, and telecommunications, has experienced significant growth in international trade. For example, multinational companies providing financial services, such as banks and insurance companies, have expanded their operations globally. Similarly, tourism has become a major contributor to international trade, with people traveling abroad for leisure and business purposes.
Trade agreements: Various trade agreements, such as the World Trade Organization (WTO) and regional free trade agreements, have promoted the exchange of both goods and services among countries. These agreements aim to reduce barriers to trade, including tariffs and quotas, thereby facilitating the growth of international trade. Emerging economies: The rise of emerging economies, such as China and India, has also contributed to the growth in international trade. These countries have become major exporters of both goods and services, fueling the expansion of global trade.
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2On January 1, 2024, Splash City issues $360,000 of 7% bonds, due in 10 years, with interest payable semiannually on June 30 and December 31 each year. Assuming the market interest rate on the issue date is 6%, the bonds will issue at $386,781. Required: 1. Complete the first three rows of an amortization schedule. (Round your final answers to the nearest whole dollar.)
An amortization schedule is used to record a loan's repayment and includes information on interest and principal payments for each period.
Coupon payment = Face value × Nominal rate ÷ Compounding periods Coupon payment = 360,000 × 7% ÷ 2
Coupon payment = 12,600
The second step is to calculate the semiannual discount rate, Semiannual discount rate = Market interest rate ÷ Compounding periods Semiannual discount rate = 6% ÷ 2
Semiannual discount rate = 3%
The third step is to calculate the semiannual interest expense, which is the carrying amount multiplied by the semiannual discount rate.
Semiannual interest expense = Carrying amount × Semiannual discount rate
Semiannual interest expense = 386,781 × 3%
Semiannual interest expense = 11,604.43
The fourth step is to calculate the semiannual payment, which is the sum of the coupon payment and interest expense.
Semiannual payment = Coupon payment + Semiannual interest expense Semiannual payment = 12,600 + 11,604.43
Semiannual payment = 24,204.43
Principal payment = Semiannual payment – Semiannual interest expense Principal payment = 24,204.43 – 11,604.43
Principal payment = 12,600
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Green Tech Company, which produces lawn mowers, purchases 22,065 units of a rotor blade part each year at a cost of $65 per unit. Green Tech requires a 20% annual rate of return on investment. In addition, the relevant carrying cost (for insurance, materials handling, breakage, and so on) is $6 per unit per year. The relevant ordering cost per purchase order is $155. Requirements 1. Calculate Green Tech's EOQ for the rotor blade part. 2. Calculate Green Tech's annual relevant ordering costs for the EOQ calculated in requirement 1. 3. Calculate Green Tech's annual relevant carrying costs for the EOQ calculated in requirement 1. 4. Assume that demand is uniform throughout the year and known with certainty so that there is no need for safety stocks. The purchase-order lead time is half a month. Calculate Green Tech's reorder point for the rotor blade part. Requirement 1. Calculate Green Tech's EOQ for the rotor blade part. Begin by selecting the formula used to calculate EOO. (D = Demand in units for one year, P = Ordering cost per purchase order, C = Carrying cost of one unit in stock, Q = Any order quantity)
Green Tech's EOQ for the rotor blade part is approximately 337 units.
The formula used to calculate the Economic Order Quantity (EOQ) is:
[tex]EOQ = \sqrt{ ((2 * D * P) / C)}[/tex]
where:
D = Demand in units for one year
P = Ordering cost per purchase order
C = Carrying cost of one unit in stock
Given information:
D = 22,065 units
P = $155 (ordering cost per purchase order)
C = $6 (carrying cost per unit per year)
Now, let's calculate Green Tech's EOQ for the rotor blade part:
[tex]EOQ = \sqrt{ ((2 * 22,065 * 155) / 6)}\\\\EOQ =\sqrt{(679,485 / 6)}\\\\EOQ =\sqrt{113,247.5}\\\\EOQ =336.62[/tex]
(rounded to the nearest whole number)
Therefore, Green Tech's EOQ for the rotor blade part is approximately 337 units.
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After playing for the wild for a few seasons and showing what a good leader he can be, marcus foligno becomes the assistant captain. what type of leader is he?
The correct option is b. Emergent .' After playing for the wild for a few seasons and showing what a good leader he can be, Marcus Foligno becomes the assistant caption' Marcus Foligno is a Emergent leader.
Based on the given information, Marcus Foligno can be considered an emergent leader. An emergent leader is someone who naturally gains influence and respect from their teammates based on their actions, character, and ability to lead effectively. By demonstrating good leadership qualities over the course of his time with the Wild, Marcus Foligno has likely earned the trust and admiration of his teammates, leading to his appointment as Assistant Captain. As an emergent leader, he may possess attributes such as strong communication skills, a positive attitude, the ability to motivate others, and a willingness to lead by example. These qualities likely contribute to his effectiveness in guiding and inspiring his teammates both on and off the ice, making him a valuable asset to the team as an Assistant Captain.
The complete question is
After playing for the Wild for a few seasons and showing what a good leader he can be, Marcus Foligno becomes the Assistant Captain. What type of leader is he? a. Designated b. Emergent c. Implied d. Democratic
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occurs when the court orders the defaulting party to live up to the terms of the contract. An injunction Specific performance An accounting Quantum meruit Compensation randomly choose 4 of the following
Legal remedies for contract breaches include injunctions, specific performance, accounting, and quantum meruit to ensure fair compensation and enforcement.
When one party violates the terms of a contract, there are numerous choices available in terms of legal remedies. An injunction, which is a court order requiring the defaulting party to uphold the contractual commitments, is one of these choices. Specific performance is a different remedy in which the court directs the party in breach to carry out the contract precisely as agreed. To determine the financial losses incurred by the non-breaching party, an accounting may be demanded. The concept of payment for the reasonable worth of provided services is known as quantum meruit. Fair compensation and the execution of contractual duties are the goals of these remedies.
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which of the following is not a consequence if less than 10% of the property under contract is damaged by fire prior to closing?
If less than 10% of the property under contract is damaged by fire prior to closing, one consequence that may not occur is the termination of the contract. Typically, contracts have provisions that allow for a certain degree of damage to the property before the contract can be terminated.
However, it's important to note that there may still be other consequences or actions that need to be taken if the property is damaged. These can include:Negotiating repairs: The buyer and seller may need to negotiate how the damaged portion of the property will be repaired or compensated for. Adjusting the purchase price: If the damage affects the value of the property, the purchase price may need to be adjusted to reflect the condition of the property.
Seeking insurance coverage: The buyer may need to work with their insurance provider to determine if the damage is covered and what steps need to be taken to make a claim. Ensuring compliance with lender requirements: If the buyer is obtaining financing for the property, the lender may have specific requirements regarding the condition of the property that need to be addressed. In summary, while the termination of the contract may not be a consequence if less than 10% of the property is damaged by fire, there can still be other actions and considerations that need to be taken into account. It is important for both the buyer and seller to communicate and work together to address the situation.
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Discuss recent immigration legislation and its impact on
students enrolled in public schools (K-12 and/or higher
education).
Recent immigration legislation has had a significant impact on students enrolled in public schools in the United States, both in K-12 and higher education. One of the most notable pieces of legislation was the Deferred Action for Childhood Arrivals (DACA)
This program has had a positive impact on students enrolled in public schools, as it has allowed them to obtain employment and attend institutions of higher education without fear of deportation. Another piece of legislation that has impacted students enrolled in public schools is the Family Educational Rights and Privacy Act (FERPA).
FERPA requires schools to protect the privacy of student educational records and limit the disclosure of such information to third parties, including immigration officials. This law has been critical in ensuring that students are not targeted by immigration officials or subjected to discriminatory treatment based on their immigration status.
Other immigration legislation, such as the Trump administration's rescission of the DACA program in 2017, has had a negative impact on students enrolled in public schools. This decision placed the legal status of many DACA recipients in limbo, creating uncertainty and instability for these students and their families. This uncertainty can lead to psychological stress and anxiety, which can affect academic performance and overall well-being.
In conclusion, recent immigration legislation has had a profound impact on students enrolled in public schools in the United States. While some legislation has had positive effects, other laws have created uncertainty and fear among students and their families. Schools and educators must remain vigilant in protecting the rights and interests of all students, regardless of their immigration status.
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a risk assessment team should focus on critical areas. true false
True. A risk assessment team should focus on critical areas.
The purpose of a risk assessment is to identify potential risks and vulnerabilities within a system, process, or organization. By focusing on critical areas, the team can prioritize their efforts and resources to address the most significant risks that have the potential to cause severe impacts or disruptions. This approach allows for a more efficient and effective risk management strategy.
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You are considering acquiring shares of common stock in the Madison Beer Corporation. Your rate of return expectations are as follows:
MADISON BEER CORP.Possible Rate of ReturnProbability-0.200.400.100.100.400.200.550.30
Compute the expected return [E(Ri)] on your investment in Madison Beer. Round your answer to one decimal place.
The expected return on investment in the Madison Beer Corporation is 42.85%.
When considering the investment in the Madison Beer Corporation, the investor's expected return is computed through the expected return on investment formula.
The expected return formula is: Expected Return=Sum of (probability of return on investment * return on investment) Expected Return=0.20 (-15%) + 0.40 (0%) + 0.10 (6%) + 0.10 (10%) + 0.40 (15%) + 0.20 (20%) + 0.55 (35%) + 0.30 (50%)= -3% + 0% + 0.6% + 1% + 6% + 4% + 19.25% + 15% Expected Return= 42.85%
However, there is always a risk associated with every investment. Thus, investors should not just consider the expected returns but also calculate the risk of the investment. It is a crucial component to consider while evaluating an investment in the Madison Beer Corporation.
The investor can calculate the risk through the standard deviation formula. The formula for calculating standard deviation is Standard deviation = Sqrt {Sum of [(Probability of Return on Investment * Return on Investment - Expected Return)^2] } For the Madison Beer Corporation, the standard deviation would be calculated as follows: Standard deviation= sqrt{ [0.20(-15% - 42.85%)^2] + [0.40 (0% - 42.85%)^2] + [0.10 (6% - 42.85%)^2] + [0.10 (10% - 42.85%)^2] + [0.40 (15% - 42.85%)^2] + [0.20 (20% - 42.85%)^2] + [0.55 (35% - 42.85%)^2] + [0.30 (50% - 42.85%)^2] }Standard deviation= 0.2 * 0.4285^2 + 0.4 * 0.4285^2 + 0.1 * 0.0625^2 + 0.1 * 0.1725^2 + 0.4 * 0.1075^2 + 0.2 * 0.2325^2 + 0.55 * 0.0635^2 + 0.3 * 0.0735^2Standard deviation= 0.01837 + 0.03708 + 0.00029 + 0.00072 + 0.00196 + 0.01075 + 0.00255 + 0.00066Standard deviation= 0.07278 Standard deviation= 8.53%Thus, the standard deviation of the Madison Beer Corporation investment is 8.53%.
Therefore, the investor should consider both expected return and risk to make an informed investment decision.
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Chandler Sporting Goods produces baseball and football equipment and lines of clothing. This year the company had cash and marketable securities worth $3.3 million, accounts payables worth $11 million, inventory of $16 million, accounts receivables of $15 million, short-term notes payable worth $3.5 million, other current assets of $1.2 million, and no other current liabilities. What is the company's net working capital?
$37 million
$25 million
$21 million
$17 million
Net Working Capital can be defined as the difference between current assets and current liabilities. It shows how much money a company has in its business to run its daily operations. The company's net working capital is $21 million. Hence, the correct option is option C.
In the given problem, the Chandler Sporting Goods company had:Cash and Marketable Securities = $3.3 million,Accounts Payables = $11 million,Inventory = $16 million,Accounts Receivables = $15 million,Short-Term Notes Payable = $3.5 million,Other Current Assets = $1.2 million,No other current liabilities.
Net Working Capital = Current Assets - Current Liabilities
Net Working Capital = ($3.3 million + $15 million + $16 million + $1.2 million) - ($11 million + $3.5 million)
Net Working Capital = $35.5 million - $14.5 million
Net Working Capital = $21 million
Therefore, the company's net working capital is $21 million.
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Which of the following statements are True? Select all correct answers
Direct moves are profitable when there are strong economies of density.
In many to many cases, the focus is on aggregating high volume lanes.
Consolidated moves always need to go through a hub for sorting.
Establishing a hub incurs initial setup cost but later reduces transportation-related costs enabling higher LOS.
Sub-set/Sub-assembly of a product being sold individually along with the main product comes under economies of scope.
None of the above unanswered
Direct moves are profitable when there are strong economies of density. This statement is not necessarily true. While direct moves can be profitable in some cases, it depends on various factors such as the specific industry, transportation costs, and economies of density.
In many to many cases, the focus is on aggregating high volume lanes. This statement is generally true. In many-to-many cases, where there are multiple origins and destinations, the focus is often on aggregating high volume lanes. By consolidating shipments from multiple sources and distributing them to multiple destinations, transportation costs can be minimized and efficiency can be improved. Consolidated moves always need to go through a hub for sorting. This statement is not true. Consolidated moves can go through a hub for sorting, but they can also bypass a hub and be directly transported to the destination. It depends on the specific logistics strategy and the requirements of the supply chain.
Establishing a hub incurs initial setup cost but later reduces transportation-related costs enabling higher LOS. This statement is generally true. Establishing a hub in a supply chain incurs initial setup costs, such as infrastructure development and operational expenses. However, in the long run, it can help reduce transportation-related costs by consolidating shipments, optimizing routes, and improving efficiency. This can lead to higher levels of service (LOS) by ensuring timely and cost-effective delivery. Sub-set/Sub-assembly of a product being sold individually along with the main product comes under economies of scope.
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185,000 units per year. Cost information follows. Demand is very strong. At a sales price of $19.00 per case, the company can sell whatever output it can produce. IPort Products can start only 150,000 units into production in the Cutting Department because of capacity constraints. Defective units are detected at the end of production in the Cutting Department. At that point, defective units are scrapped. Of the 150,000 units started at the cutting operation, 22,500 units are scrapped. Unit costs in the Cutting Department for both good and defective units equal $15.10 per unit, including an allocation of the total fixed manufacturing costs of $450,000 per year to units. The fixed cost of $3.00 per unit is the allocation of the total fixed costs of the Cutting Department to each unit, whether good or defective. (The total fixed costs are the same whether the units produced in the Cutting Department are good or defective.) The good units from the Cutting Department are sent to the Sewing Department. Variable manufacturing costs in the Sewing Department are $3.00 per unit and fixed manufacturing costs are $55,000 per year. There is no scrap in the Sewing Department. Therefore, the company's total sales quantity equals the Cutting Department's good output. The company incurs no other variable costs. The company's designers have discovered a new type of direct material that would reduce scrap in the Cutting Department to 7,500 units. However, using the new material would increase the direct materials costs to $8.25 per unit in the Cutting Department for all 150,000 units. Recall that only 150,000 units can be started each year. Compute profit under each alternative. Assume that inspection and testing costs will be reduced by $25,000 if the new material is used. Fixed costs in the sewing department will remain the same whether 127,500 or 142,500 units are produced. (Do not round intermediate calculations. Round "Price per unit" to 2 decimal places.)
The profit under the current alternative is $490,750 and under the alternative with new material is $566,250.
Calculation of profits for each alternative:
Current alternative:
Price per unit = $19.00Number of good units produced = 150,000 - 22,500 = 127,500
Revenue = 127,500 × $19.00 = $2,417,500Variable costs per unit = $15.10 + $3.00 = $18.10.
Fixed costs = $450,000
Total costs =
[tex](127,500 × $18.10) + $450,000 = $2,908,250Profit = Revenue - Total costs = $2,417,500 - $2,908,250 = -$490,750[/tex]
Alternative with new material:
Price per unit =$19.00
Number of good units produced = 150,000 - 7,500 = 142,500
Revenue = 142,500 × $19.00 = $2,707,500
Variable costs per unit = $8.25 + $3.00 = $11.25Fixed costs = $450,000 - $25,000 = $425,000
Total costs = (142,500 × $11.25) + $425,000 + $55,000 = $2,141,250
Profit = Revenue - Total costs = $2,707,500 - $2,141,250 = $566,250
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when adjusting comparable properties for the purposes of a valuation estimate, all of the following are common adjustments which are made for comparables except:
Answer:
Please mark me as brainliestExplanation:
When adjusting comparable properties for the purposes of a valuation estimate, common adjustments that are typically made include:1. Size or square footage adjustment: If the subject property being valued is larger or smaller than the comparable properties, adjustments are made to account for the size difference.
2. Location adjustment: Comparables that are in different neighborhoods or locations may require adjustments to reflect the desirability or market conditions of the subject property's location.
3. Condition adjustment: If the condition of the comparable properties differs from the subject property, adjustments are made to account for any variations in terms of wear and tear, renovations, or upgrades.
4. Age adjustment: If the comparable properties are older or newer than the subject property, adjustments are made to reflect the differences in age and any resulting depreciation or appreciation.
The exception you're looking for would be any adjustment that is not commonly made for comparables. Based on the information provided, it is not possible to determine the specific exception, as the options have not been provided. Please provide the options, and I'll be happy to help you identify the exception.Which of the following events gave greater urgency to the Constitutional Convention held in Philadelphia? O The Annapolis Convention O Washington's election as president O The Great Compromise O Shay's Rebellion
The event that gave greater urgency to the Constitutional Convention held in Philadelphia was Shay's Rebellion. Shay's Rebellion, which occurred in 1786 and 1787 in Massachusetts.
Shay's Rebellion, which occurred in 1786 and 1787 in Massachusetts, was a significant catalyst for the Constitutional Convention. The rebellion was led by farmers and rural workers who were frustrated by high taxes, economic distress, and lack of government support. The uprising highlighted the weaknesses of the Articles of Confederation, the governing document of the time.
Shay's Rebellion demonstrated the limitations of the central government under the Articles of Confederation in maintaining order and addressing internal unrest. It revealed the need for a stronger federal government with enhanced powers to maintain stability, protect property rights, and effectively address issues of national importance.
The rebellion helped to galvanize support for revising the Articles of Confederation and led to calls for a convention to address the shortcomings of the existing system. The urgency created by Shay's Rebellion played a significant role in convening the Constitutional Convention in Philadelphia in 1787, where delegates from the states gathered to draft a new framework for the United States government, resulting in the creation of the United States Constitution.
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its year-end unadjusted trial balance shows accounts receivable of $114,500, allowance for doubtful accounts of $765 (credit) and sales of $975,000. if uncollectible accounts are estimated to be 0.5% of sales, what is the amount of the bad debts expense adjusting entry?
The amount of the bad debts expense adjusting entry is $4,875.To determine the amount of the bad debts expense adjusting entry, you need to calculate the estimated uncollectible accounts based on the sales amount and apply it to the allowance for doubtful accounts.
Calculate the estimated uncollectible accounts.First, find 0.5% of the sales amount of $975,000.0.5% of $975,000 = (0.5/100) * $975,000 = $4,875 Adjust the allowance for doubtful accounts. Subtract the credit balance of the allowance for doubtful accounts ($765) from the estimated uncollectible accounts ($4,875). $4,875 - $765 = $4,110 Therefore, the amount of the bad debts expense adjusting entry is $4,875.To determine the amount of the bad debts expense adjusting entry, you need to consider the accounts receivable, allowance for doubtful accounts, and sales figures provided.
First, find 0.5% of the sales amount. To do this, multiply the sales amount by 0.5% (or 0.005). $975,000 * 0.005 = $4,875 Adjust the allowance for doubtful accounts.The allowance for doubtful accounts is a contra asset account used to estimate and record potential uncollectible accounts. It represents the amount of accounts receivable that the company expects to be uncollectible. In this case, the allowance for doubtful accounts has a credit balance of $765.To adjust the allowance for doubtful accounts, subtract the credit balance from the estimated uncollectible accounts.
$4,875 - $765 = $4,110
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All suppliers must comply with the basics of the Canadian
Payroll Administration to ensure the employers meet minimum
legislative compliance.
A: True,
B: False,
The statement "All suppliers must comply with the basics of the Canadian Payroll Administration to ensure the employers meet minimum legislative compliance" is B) False.
What is payroll administration? Payroll administration refers to the management of an employee's financial records, including the salaries, wages, bonuses, deductions, and net pay. It's a critical element of any company's accounting department. A payroll administrator's primary duty is to ensure that all employees are paid on time, accurately, and in accordance with the law.
What are the Canadian payroll administration basics? The following are the most basic components of Canadian payroll administration:
Calculating taxes Deductions for employment insurance Pension plan contributions Deductions for Canadian Pension Plan (CPP)Contributions to the Canada Revenue Agency (CRA)A payroll year-end process is necessary. To ensure that employers meet minimum legislative compliance, all suppliers must comply with the basics of Canadian Payroll Administration. Nonetheless, not all providers are required to adhere to this legislation. It is the employers' responsibility to verify that their suppliers meet this requirement.
Thus, the statement "All suppliers must comply with the basics of the Canadian Payroll Administration to ensure the employers meet minimum legislative compliance" is False.
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A company issued preferred stocks with a nominal value per share =$100. floatation cost =$5 per share, the dividend is set at 5%. What is the cost of the preferred stock financing? Select one: a. 4.85% b. 5% c. 5.26% d. $3
The cost of preferred stock financing is determined by calculating the preferred stock dividend and adjusting it for floatation costs.
Here, we have a company that issued preferred stocks with a nominal value per share =$100, floatation cost =$5 per share, and the dividend is set at 5%.What is the cost of the preferred stock financing?To determine the cost of the preferred stock financing, we'll need to follow the steps below:
Calculate the annual dividend per share Annual dividend per share = Nominal value per share × Dividend rate = $100 × 5% = $5Deduct the floatation costs from the nominal value per share Nominal value per share after floatation costs = Nominal value per share − Floatation [tex]costs= $100 − $5 = $95[/tex]Calculate the cost of the preferred stock financing Cost of preferred stock financing = Annual dividend per share ÷ Nominal value per share after floatation [tex]costs= $5 ÷ $95 = 5.26%[/tex]Therefore, the answer is option 5.26%.
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A water park uses a computer to monitor the amount of chlorine in the pools and a computer adjusts the chlorine levels as necessary to maintain the optimal amount. This is an example of what type of control? A> cybernetic B> nonsynergistic C> noncybernetic D> synergistic
The correct answer is A) Cybernetic control.A water park that uses a computer to track the quantity of chlorine in the pools and modify the chlorine levels as required to maintain the optimum amount is an example of cybernetic control.
A cybernetic control system employs sensing mechanisms to evaluate the output performance and continuously make adjustments to maintain the system's desired output level.Cybernetic control systems are used in a variety of applications, including process control systems, machine tool operations, and automated vehicle guidance systems. The basic elements of cybernetic control include a sensing mechanism, a control mechanism, and an output mechanism.
The sensing mechanism gathers information about the current state of the system and compares it to a set of predefined parameters. The control mechanism adjusts the system's output to maintain it within the desired range based on the feedback from the sensing mechanism.
In a water park, the computer acts as the sensing mechanism that collects information about the amount of chlorine in the pool, analyzes it, and then compares it to the desired optimum level. If the actual level is higher or lower than the optimal level, the control mechanism adjusts the quantity of chlorine in the pool to maintain it within the desired range.
Thus, this is an example of a cybernetic control system that uses feedback to maintain a system's optimal output.
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Resolve resource over-allocations by manually adjusting relevant resources and tasks. Make realistic adjustments to the hours. Do not alter resource task assignments, task durations, or start/finish dates. Do not use the "Resource Leveling" feature in Microsoft Project, as it may result in undesired changes to the project durations, start/finish dates, or resource hour allocations. You want to ensure that resources are not assigned to more than the specified number of hours in each workweek. Save your final file as "Global Treps Project Rev 4."
Resolve resource over-allocations in Microsoft Project by adjusting hours without changing task assignments or dates. Save final file as "Global Treps Project Rev 4."
To address resource over-allocations, manually adjust the hours assigned to each resource in Microsoft Project. Start by identifying the specific resources that are over-allocated, considering their specified number of hours per workweek. Make realistic adjustments to the hours allocated to each task while ensuring that resources do not exceed their weekly limits. It is crucial to avoid modifying task assignments, durations, or start/finish dates during this process. Resist using the "Resource Leveling" feature to prevent unintended changes. Once all necessary adjustments have been made, save the final project file as "Global Treps Project Rev 4" to document the resolved resource over-allocations and maintain an updated version of the project.
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rapidly retiring baby boomers make up only a quarter of the u.s. population, but account for 50 percent of all domestic consumer spending. TRUE or FALSE
The correct answer is: TRUE. The statement is true. Baby boomers, the generation born between 1946 and 1964, are a significant demographic group in the United States.
While they make up only a quarter of the U.S. population, they have a significant impact on consumer spending. Baby boomers have been a large and influential consumer segment for several decades, and as they approach retirement age, they tend to have more disposable income and contribute to a significant portion of domestic consumer spending. Their consumer behavior, preferences, and purchasing power have a substantial influence on various industries, including healthcare, travel, leisure, and housing. Therefore, it is accurate to say that baby boomers account for a significant share, around 50 percent, of all domestic consumer spending.
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Your client has asked you if you can have employee wages post to separate accounts, that is, officer, general labor, sales and marketing. Where can you make these changes? Payroll > Employees > Add an employee > Pay type > Account Gear > Payroll settings > Accounting > Wage expenses You cannot have wages post to separate accounts for different employees Gear > Account and Settings > Company > Payroll > Accounting
If the client asked for the employee wages to post to separate accounts, they are allocated to a single account by default. In order to post their salary to several accounts, you must create several pay types.
Follow these instructions to create pay types and edit the accounts for each employee so that their wages are posted to the appropriate accounts. Go to Payroll and then to Employees. Select the name of the employee whose account you'd like to modify. Click the edit icon in the Pay box .Now choose the Pay Type box, and then click Add Earnings Type .To save your changes, click Done. In the list of pay types, locate the new pay type you created and choose Edit accounts. Assign accounts to the employee's new pay type.
The salary of the employee is distributed across all accounts that are assigned to the pay type. Save your changes after you've made them. If you've made a mistake or need to modify an account, just go back to the Accounts tab and click Edit for the appropriate account, then choose the correct account.
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How
does cost benefit analysis explain the existence of food deserts?
What is your solution to food deserts?
Cost-benefit analysis (CBA) is a technique that analyzes and compares the monetary and non-monetary costs and benefits of a particular activity or project. It is used to evaluate the feasibility of a project or program, as well as to compare various options.
CBA, however, can explain the existence of food deserts in the following ways. The low-income neighborhoods lack the purchasing power necessary to attract supermarkets. These stores have high operating costs and need a considerable and consistent customer base. If the grocery store anticipates that the income of potential customers in a neighborhood will not cover their overhead costs, they will not open there.
The CBA approach, on the other hand, could show the potential benefits of opening a store in the region; food deserts can be addressed by the government investing in these communities. For instance, the government can offer incentives to local stores to stock healthy and affordable foods.
They may also consider offering tax breaks or reduced rents for local businesses that provide food products to low-income neighborhoods. In the long run, such measures will encourage businesses to set up shops in such communities.
Another possible solution to food deserts is for non-profit organizations, health advocacy groups, and philanthropic entities to get involved. They can operate and support small groceries stores in low-income areas that can provide fresh and nutritious food at affordable prices.
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I enter an agreement with my neighbor to buy 215 sheep on August 31 st. What type of contract is this and what is my position? Long futures position Short futures position Long forward position Short forward position
When a person enters an agreement with a neighbor to buy 215 sheep on August 31st, the contract is referred to as a Long forward position.
The long forward position means that the person has agreed to purchase an underlying asset (in this case, sheep) at a specified price (agreed upon with the neighbor) at a future date (August 31st). It is a contractual agreement between the two parties to buy and sell the asset at a predetermined price and date.
The buyer of the forward contract is said to hold a long position in the forward contract, while the seller of the forward contract is said to hold a short position in the forward contract.
In this case, the person who enters the agreement to purchase the sheep has a long forward position, which means that they are obligated to purchase the 215 sheep at the agreed-upon price on August 31st.If the person changes their mind and decides not to purchase the sheep, they would be in breach of the contract.
On the other hand, if the neighbor fails to deliver the sheep on August 31st, they would be in breach of the contract and may be liable for damages as a result. In summary, when a person enters an agreement with a neighbor to buy 215 sheep on August 31st, the type of contract is a Long forward position, and their position is that of the buyer or holder of the long position in the forward contract.
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