compare the income statements of sleepy futon incorporated and happy turtle transporters incorporated and calculate the tie ratio for each firm.

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Answer 1

The income statement is a financial statement that shows a company's revenue, expenses, and net income over a specific period of time. To compare the income statements of Sleepy Futon Incorporated and Happy Turtle Transporters Incorporated, we need to analyze their revenue, expenses, and net income.

Start by obtaining the income statements of both companies. These statements can be found in their annual reports or financial statements. Look for the revenue section in each income statement. Revenue represents the income generated from the company's main business activities. Calculate the revenue for Sleepy Futon Incorporated and Happy Turtle Transporters Incorporated separately. Next, identify the expenses section in each income statement. Expenses are the costs incurred by the company to operate its business. Calculate the total expenses for each company.

Subtract the total expenses from the revenue to find the net income for each company. Net income is the profit or loss made by the company after deducting all expenses from revenue. Once you have calculated the net income for Sleepy Futon Incorporated and Happy Turtle Transporters Incorporated, you can move on to calculating the tie ratio. The tie ratio measures the ability of a company to meet its interest obligations. It is calculated by dividing the earnings before interest and taxes (EBIT) by the interest expense. Find the EBIT for each company. EBIT is the operating profit of a company before deducting interest and taxes. Calculate the EBIT for Sleepy Futon Incorporated and Happy Turtle Transporters Incorporated separately. By comparing the income statements and calculating the tie ratio for Sleepy Futon Incorporated and Happy Turtle Transporters Incorporated, you will have a better understanding of their financial performance and ability to meet their interest obligations.

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Related Questions

A measure of the variability of the population that is considered when using classical variables sampling. Issued when the auditors conclude that the financial statements do not present the financial condition, results of operations or cash flows in accordance with GAAP. A percentage fee charged for professional services in connection With executing a transaction or performing some other business

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The measures of variability of a population that are considered when using classical variables sampling and the percentage fee charged for professional services in connection with executing a transaction or performing some other business are as follows:

A measure of the variability of the population that is considered when using classical variables sampling.

Classical variable sampling is a popular statistical sampling method that auditors use to assess the monetary amount of a population's attribute.

Classical variable sampling is a random sampling strategy that is based on the concept of "central limit theorem," which states that as the sample size grows larger, the distribution of the sample implies that the sample average is a good estimation of the population mean.

In a normal distribution of the population, classical variables sampling assumes that the variability in the population is spread evenly across the whole population. When auditors conclude that the financial statements do not present the financial condition, results of operations or cash flows in accordance with GAAP, they issue an audit report.

The audit report is a letter that contains the auditor's opinion on whether a company's financial statements are free of material misstatements and in accordance with Generally Accepted Accounting Principles (GAAP) or not. If the financial statements are not in accordance with GAAP, the auditor may issue a qualified opinion.

A qualified opinion is issued when the auditor believes that the financial statements do not comply with GAAP but are not so material as to require an adverse opinion or disclaimer of opinion. A percentage fee charged for professional services in connection with executing a transaction or performing some other business.

A percentage fee charged for professional services in connection with executing a transaction or performing some other business is called a commission.

Commission is a fee charged by a broker or agent for their services in facilitating or executing a transaction, such as buying or selling a stock or other financial asset. The commission is typically a percentage of the total transaction amount and is paid by the buyer or seller.

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XYZ Pty Ltd (XYZ) called for tenders for supplies of seedlings for its’ iceberg lettuce farm with a closing date of 30 June. The following tenders were submitted: 1. Lettuce R Us Pty Ltd hand-delivered its tender on 29 June to the head office of XYZ. 2. We Grow Pty Ltd posted its tender on 29 June. This letter arrived at XYZ head office on 1 July. Lettuce R Us Pty Ltd’s tender was the lowest of the two, however, XYZ awarded the contract to We Grow Pty Ltd because of their outstanding reputation. XYZ posted a letter to We Grow Pty Ltd advising that its tender was successful. Unfortunately, this letter never reached We Grow Pty Ltd because it was accidentally destroyed by a disgruntled postal worker who had just been made redundant. Since We Grow Pty Ltd had not heard from XYZ, it instead entered into a contract with another grower and committed its full stock of seedlings to this contract. XYZ became aware of the full situation concerning We Grow Pty Ltd. It seeks advice concerning its contractual position in relation to both tenders.
Question 2
Joseph leased a shop in the Central Shopping Centre for the past three years. Joseph is very concerned about his health and he has been diagnosed as suffering from a disease that will result in him requiring constant care in the near future. The lease on the shop was about to expire and the manager of the shopping centre, Thomas, told him that he had ‘better decide quickly’ whether he wanted to renew his lease because there were two other potential tenants who would take his space ‘at a moment’s notice’. Despite being aware of Joseph’s illness and needs, Thomas would only offer Joseph a new five-year lease at a substantially higher rent. Joseph really wanted to retire to look after his health but felt like he could not afford to give up the income from the shop. He reluctantly signed the new lease. One year later Joseph received a large payout from a legal claim and could now afford to retire. Advise Joseph whether he is able to avoid the lease at common law.
Question 3
Michael is a director of Road Bikes Pty Ltd (RB) which has developed sophisticated engineering for manufacturing high quality handmade road bikes. RB has attracted attention from professional and amateur cyclists’ around the State of Queensland. Michael is involved in a serious cycling accident and is left no choice but to sell RB. George is a world champion cyclist and is immediately interested in purchasing the business. George prepares a contract for the purchase of RB and hands the contract to Michael. The contract includes a term that would prevent Michael from opening another road bike manufacturing business anywhere in Australia for the next 25 years. Michael and George sign the contract. Michael quickly recovers from his accident and wants to know whether there is any way he can set up a new bike manufacturing business under common law. Advise Michael.

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Question 1A tender is a suggestion by a party that it can or will supply goods or services on specific terms. When XYZ called for tenders, two businesses responded with offers. Lettuce R Us Pty Ltd delivered their offer to XYZ's head office on June 29th, while We Grow Pty Ltd posted its tender on the same day and it arrived at XYZ's head office on July 1st.

Even though Lettuce R Us Pty Ltd had a lower offer, XYZ awarded the contract to We Grow Pty Ltd due to their excellent reputation. However, because of a disgruntled postal worker who had just been terminated, the letter notifying We Grow Pty Ltd that they had been given the contract was mistakenly destroyed.

As a result, XYZ would be required to provide the contract to Lettuce R Us Pty Ltd as the only existing tenderer that had complied with the terms of the tender and had made the lowest compliant tender. As a result, XYZ would be required to pay Lettuce R Us Pty Ltd for the delivery of the seedlings.

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a) What is the differences between implied volatility and historical volatility of stock prices? Is there a difference in your answer if the asset is a commodity like corn instead? [10 marks ] b) What is the price of a European put option on a non-dividend-paying stock when the stock price is $69, the strike price is $70, the risk-free interest rate is 5.5% per annum, the volatility is 30% per annum, and the time to maturity is 90 days?

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a) Implied volatility and historical volatility are the two kinds of volatility in the stock market that assist the investors in determining how volatile the underlying asset's price is.

The key difference between historical and implied volatility is that historical volatility is calculated by measuring the regular changes in the underlying asset's price in the past, while implied volatility is derived from the options pricing model, which includes the impact of supply and demand on the underlying assets' price. If the asset is a commodity like corn, the difference between implied and historical volatility will remain the same.

However, implied volatility could be a better predictor of future volatility than historical volatility because options are a direct reflection of the market's perception of future volatility and are dependent on current demand and supply levels.b)To calculate the price of a European put option on a non-dividend-paying stock, we can use the Black-Scholes option pricing formula.

Using the Black-Scholes formula:Put price = Ke^(-rt)N(-d2) - S_0N(-d1)where, K = strike price, r = risk-free interest rate, t = time to maturity (in years), S_0 = stock price, σ = volatility, N() = standard normal cumulative distribution function. First, we need to calculate d1 and d2:d1[tex]= [ln(S_0/K) + (r + σ^2/2)t] / [σ√t]d2 = d1 - σ√t[/tex] Plugging in the given values, we get:d1 = [ln[tex](69/70) + (0.055 + 0.3^2/2)(90/365)] / [0.3√(90/365)] = -0.2957d2 = -0.2957 - 0.3√(90/365) = -0.6185[/tex]Using the standard normal cumulative distribution function, we find:[tex]N(-d1) = N(0.2957) = 0.3835N(-d2) = N(0.6185) = 0.2675[/tex]Finally, we can calculate the put price:Put price[tex]= 70e^(-0.055*90/365) * 0.2675 - 69*0.3835 = $3.41.[/tex]

Therefore, the price of a European put option on a non-dividend-paying stock when the stock price is $69, the strike price is $70, the risk-free interest rate is 5.5% per annum, the volatility is 30% per annum, and the time to maturity is 90 days is $3.41.

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A 7-year project is expected to provide annual sales of $157,000 with costs of $89,500. The equipment necessary for the project will cost $280,000 and will be depreciated on a straight-line method over the life of the project. You feel that both sales and costs are accurate to +/−15 percent. The tax rate is 21 percent. What is the annual operating cash flow for the worst-case scenario? Multiple Choice $49,125 $82,554 $20,147 $23,979 $32,515

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The annual operating cash flow for the worst-case scenario is $37,125. Hence, option A, $49,125 is incorrect.

The given annual sales of the project are $157,000 with costs of $89,500 and the equipment cost is $280,000. The depreciation of equipment will be on a straight-line method over the life of the project. The annual operating cash flow for the worst-case scenario is calculated as follows:

Sales = $157,000 + 15% (157,000)

= $180,550Costs

= $89,500 + 15% (89,500)

= $103,425Depreciation

= $280,000/7

= $40,000Taxes

= 21% x (Sales - Costs - Depreciation)OCF = (Sales - Costs - Depreciation) x (1 - Tax Rate)OCF

= ($180,550 - $103,425 - $40,000) x (1 - 0.21)OCF

= $37,125. Therefore, the annual operating cash flow for the worst-case scenario is $37,125. Hence, option A, $49,125 is incorrect.

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A certain fan system has a seasonal airflow requirement as shown in Figure 1. For four months of the year, the demand is almost double that of the other eight months. Figure 1: Monthly average air flow rate requirements. If you rearrange the months according to demand, from the highest to the lowest, you obtain what is known as a duration diagram, as shown in Figure 2. Figure 2: Air flow duration diagram. The area under a duration curve is flow rate × time, which represents the total volume delivered. This diagram clearly shows that four months require a flow rate of approximately 11m3/s each, and the other eight months require a flow rate of about 7m3/s each. The power requirements for these two conditions can be approximated as shown in Figure 3. Note that the high flow rate periods require the fan to deliver 100kW to the air and the lower flow rate periods require 25kW to be delivered to the air. Figure 3: Approximated power duration diagram (power transferred from the fan to the air). At present, these two different demands are handled by a single fan that is powered by a motor controlled by a variable speed drive (VSD). During the high flow rate periods, the fan spins at full speed, but during the low flow rate periods it is slowed down significantly. The system operators are very pleased that so much energy is saved by using the VSD. However, there is another option. You are aware that the motor and the VSD are less efficient at very low loads. You therefore decide to check the feasibility of using the existing fan for four months and installing a much smaller fan that would operate for the other eight months. By doing this, there would not be any periods of operating at part load for either fan, and you could eliminate the VSD altogether. The equipment performance and costing details are shown in Table 1. Table 1: Performance and cost data for fan investigation. Existing motor efficiency at full load (high-demand months) 94% Existing motor efficiency at ¼ load (low-demand months) 91% Existing VSD efficiency at full load (high-demand months) 97% Existing VSD efficiency at ¼ load (low-demand months) 94% Efficiency of all fans at all loads 70% New small motor efficiency at full load 94% Cost of new small motor R35,000 Cost of new small fan R15,000 Cost of electricity (R/kWh) R2.00 5.1 For the existing system, what is the electrical input power drawn for the four high-demand months (power of 100kW delivered to the air) and the eight low-demand months (power of 25kW delivered to the air)? Show your calculations and round off to 1 decimal place. Start writing here: 5.2 For the proposed new system of installing a smaller fan for low-demand months (instead of using a VSD), what is the electrical input power drawn for the four high-demand months, and the eight low-demand months? Show your calculations. Start writing here: 5.3 If you install the new system, what would the monthly electricity cost savings be for the low-demand and high-demand months? Assume that there are 30 days in a month and that the fan system runs for 24 hours a day.

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For the existing system, what is the electrical input power drawn for the four high-demand months (power of 100kW delivered to the air) and the eight low-demand months (power of 25kW delivered to the air)

Show your calculations and round off to 1 decimal place.

The electrical input power can be calculated using the equation, Power = Energy ÷ Time.

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2-year $100 treasuries paying an annual coupon of $5 are trading at par. 2-year Zero-coupon bonds are trading at 5.1% per year. What rate would a one year zero trade at, and consequently what is the forward rate going from year 1 to year 2?

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We know that the 2-year 100 treasuries are trading at par and the annual coupon paid is 5.  the yield to maturity of the bond is 5% per year. The price of a bond is inversely proportional to the yield to maturity. if the yield to maturity increases, the price of the bond will decrease and vice versa.

Let's assume that the price of the one year zero-coupon bond is P. We know that the price of the 2-year zero-coupon bond is 100, and it is trading at 5.1% per year. Using the formula for the price of a zero-coupon bond, we can write the following:

P = 100 / (1 + 0.051)² = 90.38

The forward rate is the interest rate at which two parties agree to exchange cash flows at a future date. In this case, we need to find the forward rate going from year 1 to year 2. We know that the price of the 1-year zero-coupon bond is

P = 90.38.

Using the formula for the price of a zero-coupon bond, we can write the following:

100 = P / (1 + r)¹ + 100 / (1 + x)²

where r is the annual interest rate of the 1-year zero-coupon bond, and x is the forward rate going from year 1 to year 2. Solving for r, we get:

r = (100 / P) - 1 = 10.52% per year

Solving for x, we get:

x = ((100 / P) - (1 + r)) / (1 + r) = 5.00% per year

The rate at which the one year zero-coupon bond would trade is 10.52% per year. The forward rate going from year 1 to year 2 is 5.00% per year. This means that if you invest in the 1-year zero-coupon bond today, you will earn an interest rate of 10.52% per year.

If you roll over this investment into a 2-year zero-coupon bond after one year, you will earn a forward rate of 5.00% per year for the second year. The total return on your investment will be 15.52% per year.

The forward rate going from year 1 to year 2 is an important tool for investors who want to manage their interest rate risk and maximize their returns.

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Stephen Covey (1991) contended that effective leaders "begin with the end in mind." These leaders have a deep understanding of their own goals and mission in life.
How would you describe your own values and purpose in life?
In what way is your leadership influenced by these values?

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Stephen Covey (1991) contended that effective leaders "begin with the end in mind." These leaders have a deep understanding of their own goals and mission in life. This means that they have a clear idea of what they want to achieve, and they work towards achieving it with dedication and perseverance. In my own life, I try to live by this principle. I believe that if you have a clear idea of what you want to achieve, you are more likely to achieve it.

My values in life include honesty, integrity, and hard work. I believe that honesty and integrity are essential for building trust and maintaining healthy relationships with others. I also believe that hard work is necessary for achieving success in life. I have always been motivated to work hard and do my best, no matter what the task at hand may be.
My purpose in life is to make a positive impact on the world around me. I want to help others and make a difference in their lives. I believe that every person has the potential to make a difference in the world, and I want to do my part to make that happen.
My leadership is influenced by these values because I try to lead by example. I believe that the best way to lead others is to be honest and transparent with them. I also believe that hard work and dedication are essential for achieving success as a leader. When I am leading others, I try to motivate them to do their best and achieve their goals. I believe that if we work together and support each other, we can accomplish great things. In conclusion, by beginning with the end in mind and having a clear understanding of our goals and mission in life, we can become effective leaders who make a positive impact on the world around us.

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milo company manufactures beach umbrellas. the company is preparing detailed budgets for the third quarter and has assembled the following information to assist in the budget preparation: the marketing department has estimated sales as follows for the remainder of the year (in units): july31,000october21,000 august72,000november7,500 september41,000december8,000 the selling price of the beach umbrellas is $11 per unit

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The estimated sales revenue for each month in the third quarter is as follows: July: $341,000, August: $792,000, and September: $451,000.

Based on the information provided, Milo Company's marketing department has estimated the sales of beach umbrellas for the remainder of the year. The sales projections in units are as follows: July: 31,000 units, August: 72,000 units, September: 41,000 units, October: 21,000 units, November: 7,500 units, and December: 8,000 units.To calculate the sales revenue, we need to multiply the sales volume by the selling price per unit. The selling price of the beach umbrellas is given as $11 per unit.Therefore, the sales revenue for each month can be calculated as follows: July: 31,000 units x $11 = $341,000, August: 72,000 units x $11 = $792,000, September: 41,000 units x $11 = $451,000, October: 21,000 units x $11 = $231,000, November: 7,500 units x $11 = $82,500, December: 8,000 units x $11 = $88,000.These sales revenue figures will be used in the budget preparation for the third quarter of the year.

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Peabody Enterprises prepared the following sales budget:


March (6081), Arpil (13158), May (12217), June (14022)


The expected gross profit rate is 40% and the inventory at the end of february was $10,000. desired inventory levels at the end of the month are 20% of the next month’s cost of goods sold. what is the budgeted ending inventory for may in dollars not units?

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The budgeted ending inventory for may is  $1,466.04. Budgeted ending inventory is the projected value of inventory at the end of a specific period, based on planned sales and desired inventory levels.

To calculate the budgeted ending inventory for May, we need to determine the cost of goods sold (COGS) for May and then calculate the desired inventory level for May.

To calculate the budgeted ending inventory for May, we need to determine the cost of goods sold (COGS) for May and then calculate the desired inventory level for May.

First, let's calculate the COGS for May:

COGS for May = Sales budget for May * (1 - Expected gross profit rate)

COGS for May = $12,217 * (1 - 40%)

COGS for May = $12,217 * 0.6

COGS for May = $7,330.20

Next, let's calculate the desired inventory level for May:

Desired inventory for May = COGS for May * Desired inventory ratio

Desired inventory for May = $7,330.20 * 20%

Desired inventory for May = $7,330.20 * 0.2

Desired inventory for May = $1,466.04

Therefore, the budgeted ending inventory for May is $1,466.04.

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People have a portfolio demand for money in part because Multiple Choice the return on money is often higher than other financial assets. money is part of a well-diversified financial portfolio. money is needed to pay brokerage commissions. there is no cost to holding money which gives it a relatively high return.

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People have a portfolio demand for money in part because money is part of a well-diversified financial portfolio. Even though money does not provide a return on investment (ROI), individuals hold money because it is the most liquid of all assets, and is needed to facilitate transactions.

The portfolio demand for money suggests that individuals hold money in the form of currency or in short-term investments, such as bank accounts, money market funds, and Treasury bills. Holding money provides liquidity, which is the ability to convert assets into cash without incurring any significant cost or delay.Moreover, money is a means of payment for goods and services and is necessary to meet financial obligations. If people did not hold any money, they would be unable to buy goods and services, pay their rent or mortgage payments, or pay bills, such as utility bills and credit card payments.

Besides its function as a medium of exchange, money also serves as a store of value, meaning that it retains its purchasing power over time. Even though money does not earn interest, it is relatively safe, and investors can quickly convert it into other assets without incurring any significant transaction costs.In conclusion, the demand for money is part of a well-diversified financial portfolio.

Money provides liquidity, a means of payment, and a store of value. While money does not earn interest, it is relatively safe and can be quickly converted into other assets. Therefore, holding money as a part of an investment portfolio is crucial.

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the law of demands suggests that as proce falls the quantity of a good purchased will rise. true or false?

Answers

Answer:

True , the quantity of purchased goods will increase

5) Suppose the Mexican economy skyrockets and many people around the world want to send their wealth into Mexico. Would vacations in Mexico then become more expensive or less expensive for Americans? Explain.

Answers

Suppose the Mexican economy skyrockets and many people around the world want to send their wealth into Mexico. Would vacations in Mexico then become more expensive or less expensive for Americans

The Mexican economy is said to have skyrocketed. This means that a lot of people around the world want to send their wealth into Mexico. To answer this question, we must first understand that the economy is a measure of a country's production and consumption of goods and services.

A higher economic growth means more money for the country. With an increase in money comes inflation. This can lead to currency devaluation, causing the price of goods and services to rise. These high prices could make vacationing in Mexico more expensive for Americans because the cost of goods and services, including hotels, transportation, and food, is likely to be higher.

However, the opposite can occur as well. If the economy skyrockets, people around the world will likely invest in Mexico. This investment will increase the country's revenue and exchange rates. When the exchange rates rise, the US dollar can become more valuable.

As a result, the price of Mexican goods and services, including hotels, transportation, and food, can decrease. This could make vacationing in Mexico less expensive for Americans.In conclusion, whether vacations in Mexico become more expensive or less expensive for Americans when the Mexican economy skyrockets depends on the effect of inflation and the exchange rate on the value of the US dollar.

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ACME Incorporated is a private company that follows ASPE. It is authorized to issue an unlimited number of both common and $6.00 cumulative preferred shares. On December 31, 2021 there were 11,000 common and 5,000 preferred shares issued with the following balances: Common Shares, $125,000; and Preferred Shares, $115,000. The statement of retained earnings showed retained earnings of $264,000 at December 31,2021. Required: Prepare the shareholders' equity section of the balance sheet on December 31 , 2021.

Answers

The shareholder's equity section of the balance sheet on December 31, 2021:Acme incorporated is a private company that follows ASPE.

It is authorized to issue an unlimited number of both common and $6.00 cumulative preferred shares.

On December 31, 2021, there were 11,000 common and 5,000 preferred shares issued with the following balances: Common Shares, $125,000; and Preferred Shares, $115,000.

The statement of retained earnings showed retained earnings of $264,000 at December 31, 2021.

The balance sheet's equity section for shareholders on December 31, 2021, can be calculated by combining the common and preferred share accounts with retained earnings.

The retained earnings, preferred shares, and common shares accounts must be added to compute shareholders' equity section.

Shareholders' equity can be calculated as follows : Common shares outstanding: [tex]$125,000 (11,000 shares × $11.36 per share)Preferred shares outstanding: $120,000 (5,000 shares × $24 per share)

Shareholders' equity: $509,000 ($125,000 + $120,000 + $264,000)[/tex]

Therefore, the Shareholders' equity section of the balance sheet on December 31, 2021, is $509,000.

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Which the following is correct? a. The majority of contract negotiations involve a strike. b. Prohibiting strikes may lead to alternative forms of employee protest. c. A strike means that employees refuse to enter the employer’s premises. d. A work to rule campaign has no connection with a strike.

Answers

The correct statement is: c. A strike means that employees refuse to enter the employer’s premises.

A strike is a form of industrial action where employees collectively refuse to work and may involve various activities such as picketing or demonstrations. It typically includes employees refusing to enter the employer's premises to perform their work duties as a means of demonstrating their grievances or demanding certain changes from the employer. Strikes are often used by employees as a bargaining tool during contract negotiations to exert pressure on employers to meet their demands.

Option a is incorrect because the majority of contract negotiations do not necessarily involve a strike. Negotiations can involve various methods of reaching agreements, including compromise and mediation.

Option b is true, but it is not the best answer for the given question. Prohibiting strikes may indeed lead to alternative forms of employee protest, such as work stoppages, slowdowns, or other disruptive actions, as employees seek ways to express their dissatisfaction when strikes are not allowed.

Option d is incorrect. A work-to-rule campaign is a form of industrial action where employees strictly adhere to the literal interpretation of work rules and contract terms, often resulting in a slowdown or reduced productivity. Although different from a strike, a work-to-rule campaign is still a form of employee action aimed at demonstrating discontent or seeking concessions from the employer.

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given the same purchase price, which of the following strategies can inflate the goodwill? a. allocate as much as possible to depreciable assets b. allocate as much as possible to intangible assets c. increase the fair value of liabilities d. allocate more to depreciable assets with longer useful lives

Answers

Given the same purchase price, an increase in the fair value of liabilities can inflate the goodwill. Thus, option C is appropriate.

Your purchase price is the price you pay to buy the components or resellable items from your vendor; your cost price is the amount you pay to assemble or produce the finished item. You could purchase the same or equivalent components from another vendor(s) for a different price.

According to the Sale and Purchase Agreement including the Principal Sale and Purchase Agreement, whatever the case may be, the Sale and Purchase Price refers to the total purchase price of the Property.

The total Purchase Price is the total sum that the buyer is required to pay for the goods or services under the terms of the purchase agreement, including the cost of taxes, fees for administration, and financing costs.

Thus, option C is correct.

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Consider the fiat currency system and the recent developments in the decentralized form of money creation. Discuss such developments in the monetary system and their effects on classifying currency as an asset class (e.g., Bitcoin). Should countries consider digital currencies powered by distributed consensus mechanisms over the legal tender system? Support your arguments.

Answers

The fiat currency system is a monetary system that has been in operation for several decades and has had its fair share of advantages and disadvantages. One of the major benefits of this system is the fact that it is easy to use and has a high degree of liquidity.
There are several arguments to support the classification of digital currencies as an asset class. Firstly, digital currencies are created through a complex and decentralized process that involves several parties. This process is designed to ensure that the currency is not controlled by any one entity or individual, making it more transparent and secure.
In conclusion, countries should consider digital currencies powered by distributed consensus mechanisms over the legal tender system. Digital currencies offer several advantages over traditional fiat currencies, including increased transparency, security, and decentralization.

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Suppose GDP last year in a closed economy was $3000, taxes were $200, government spending was $500, and consumption was $1400. What was privat saving? $1,400 −$300 none of the listed answers are correct 51,100

Answers

The private saving in the closed economy is $900.

To find private savings in a closed economy, we can use the equation:
Private Saving = GDP - Taxes - Government Spending - Consumption
Given:
GDP = $3000
Taxes = $200
Government Spending = $500
Consumption = $1400
Substituting these values into the equation:
Private Saving = $3000 - $200 - $500 - $1400
                        = $900
Therefore, the private saving in the closed economy is $900.

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Under the common law a counteroffer by the offeree will terminate the original offer.
True
False
A contract between two parties that one party can choose to disaffirm or to enforce is known as _____________________.
Group of answer choices
A. a voidable contract
B. a quasi-contract
C. a void contract
D. (All of the above)
E. B and C only

Answers

The correct answer is option A. A voidable contract.Under the common law, a counteroffer by the offeree will terminate the original offer is true. In contract law, if the person to whom an offer is made does not immediately accept the offer, the person may choose to reject the offer or make a counteroffer.

A counteroffer is a response to an offer that modifies the original terms and constitutes a rejection of the original offer.A counteroffer terminates the original offer because it modifies the offer's initial terms, which effectively communicates the offeree's rejection of the initial offer. If the offeror receives a counteroffer, they may either accept the new offer, make a counteroffer, or reject the counteroffer. If the offeror makes a counteroffer, the same process occurs.

The original offer is no longer valid after a counteroffer.A contract between two parties that one party can choose to disaffirm or to enforce is known as a voidable contract. A contract is considered voidable if one of the parties had legal capacity at the time of signing but can be disaffirmed or enforced by one of the parties for some legal reason.  All of the above options do not apply. Therefore, the correct answer is option A. A voidable contract.

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Question 14 The four building blocks of financial statement analysis include (1) liquidity, (2) creditworthiness, (3) solvency, and (4) profitability. True False Question 15 The inventory turnover ratio is equal to the average inventory balance divided by the cost of goods sold. True False

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14. True: The four building blocks of financial statement analysis are crucial for assessing a company's financial health and performance.

15. False: The inventory turnover ratio is calculated by dividing the cost of goods sold by the average inventory, not the other way around.

14. True. The four building blocks of financial statement analysis are liquidity, creditworthiness, solvency, and profitability. These blocks represent different aspects of a company's financial health and are used to assess its performance and financial stability.

- Liquidity refers to a company's ability to meet its short-term obligations and is determined by ratios such as the current ratio and the quick ratio.

- Creditworthiness assesses a company's ability to repay its long-term debts and is evaluated using ratios like the debt-to-equity ratio and interest coverage ratio.

- Solvency focuses on a company's long-term financial viability and evaluates its ability to meet its long-term obligations. Ratios such as the debt ratio and the solvency ratio are used for this analysis.

- Profitability measures a company's ability to generate profits and is assessed using ratios like the gross profit margin, net profit margin, and return on equity. By analyzing these four building blocks, investors and analysts can gain insights into a company's financial performance, risk profile, and overall financial health.

15. False. The inventory turnover ratio is calculated by dividing the cost of goods sold by the average inventory balance. It measures how efficiently a company manages its inventory and how quickly it sells its inventory during a specific period. The formula for the inventory turnover ratio is Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory. The inventory turnover ratio provides valuable insights into a company's inventory management practices. A higher ratio indicates that inventory is being sold quickly, which is generally favorable as it minimizes carrying costs and potential obsolescence. Conversely, a lower ratio suggests slower inventory turnover, which may indicate issues such as overstocking or poor sales performance.

While the average inventory balance is a component of the inventory turnover ratio, it is not equal to the ratio itself. The ratio is specifically calculated by dividing the cost of goods sold by the average inventory balance, giving a meaningful measure of inventory efficiency.

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4. The cost function of a firm is given by C(q)=q^{2}+4 q+4 . a. Suppose that the firm is operating in a perfectly competitive market and the current price is p . What is the firm's supply

Answers

The firm's supply in a perfectly competitive market is given by q = (p - 4)/2. This equation represents the quantity of output the firm is willing to produce and supply at any given market price (p).

The firm's supply in a perfectly competitive market is determined by its marginal cost (MC) curve. To find the firm's supply, we need to determine the level of output (q) at which the marginal cost equals the market price (p).

The marginal cost is the derivative of the cost function with respect to quantity (q). In this case, the cost function is given by C(q) = q^2 + 4q + 4.

Taking the derivative of the cost function with respect to q:

MC(q) = dC(q)/dq = 2q + 4

Setting the marginal cost equal to the market price:

MC(q) = p

2q + 4 = p

Now, we can solve for the quantity (q) at which the firm's supply is determined:

2q = p - 4

q = (p - 4)/2

Therefore, the firm's supply in a perfectly competitive market is given by q = (p - 4)/2. This equation represents the quantity of output the firm is willing to produce and supply at any given market price (p).

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if the demand for alarm clocks decreases, the effect on the alarm clock job market will

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If the demand for alarm clocks decreases, the effect on the alarm clock job market will be detrimental to the alarm clock manufacturers and suppliers.

They will have to lay off some of their employees due to a lack of demand for their products.

The job market will become highly competitive due to the decline in demand,

and the number of jobs available for individuals will decrease.

In addition, the decrease in demand for alarm clocks will lead to a decrease in the production of these devices.

This decrease in production may lead to a decrease in the number of alarm clocks produced,

which may result in a decrease in the number of alarm clocks available on the market.

This could lead to alarm clocks becoming more expensive because of the decrease in supply relative to the demand.

The alarm clock manufacturers may also have to cut down on their profit margins to reduce the price of their products,

which could result in lower wages and benefits for their employees.

if the demand for alarm clocks decreases,

the effect on the alarm clock job market will be negative,

and job loss will be one of the major issues that alarm clock manufacturers and suppliers will have to deal with.

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A ________ is the privilege granted to an individual or company by the government, which gives them the sole right to produce and sell a good. A) brand B) patent C) copyright D) trademark

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A patent is the privilege granted by the government to an individual or company, giving them exclusive rights to produce and sell a new invention or technology.

It is a form of intellectual property protection that allows the inventor to prevent others from making, using, or selling the patented invention without permission. Patents are typically granted for a limited period of time, usually 20 years from the date of filing the patent application. During this time, the patent holder has the exclusive right to commercialize and profit from their invention. This exclusivity encourages innovation by providing inventors with an incentive to invest time, effort, and resources into developing new and useful products or processes. Patents play a crucial role in promoting technological advancements and economic growth. They encourage inventors to disclose their inventions to the public in exchange for the exclusive rights granted by the patent. This disclosure of knowledge benefits society by allowing others to learn from the invention, build upon it, and contribute to further advancements in the field.

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(PROJECT RISK MANAGEMENT)
Risk assessment serves many purposes for an organisation to measure the probability of each risk and its impact on the project. It will help the project manager to be aware of and change any decisions that will affect the objectives or slow down the progress of the project.
As a project manager, recommend THREE statistical techniques that can be used in your project risk
assessment. Your recommendation should be based on your project example.

Answers

By using sensitivity analysis, project managers can identify potential risks and develop contingency plans to address those risks based on changes in key variables.

As a project manager, I recommend the following three statistical techniques that can be used in project risk assessment:

Monte Carlo Analysis

Monte Carlo analysis is a technique used in probability and statistics to simulate the effects of different sources of uncertainty in a project. Monte Carlo simulations are often used in project risk management to estimate the likelihood of various outcomes and to identify potential risks that could impact the project. By using Monte Carlo analysis, project managers can generate a range of possible outcomes and develop contingency plans to address potential risks.

PERT (Program Evaluation and Review Technique)

PERT (Program Evaluation and Review Technique) is a statistical method used in project management to analyze the tasks and activities required to complete a project. PERT involves estimating the amount of time each task will take and then using statistical techniques to determine the probability of completing the project within a given time frame. PERT can be used in project risk management to identify potential risks and to develop contingency plans to address those risks.

Sensitivity Analysis

Sensitivity analysis is a statistical technique used in project risk management to analyze the impact of changes in variables on the outcomes of a project. Sensitivity analysis involves changing one variable at a time and observing the effects on the overall outcome of the project.

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according to circular 21, as long as a teacher doesn't copy more than three illustrations from a book, it is fair use.

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According to Circular 21, as long as a teacher doesn't copy more than three illustrations from a book, it is fair use. To be more specific, Circular 21 is the part of the copyright law that outlines the rules for fair use of copyrighted material.

Under the "fair use" doctrine, teachers and other educators are permitted to make copies of copyrighted works without getting permission from the copyright holder as long as certain conditions are met. These conditions include the purpose of the use, the nature of the copyrighted work, the amount and substantiality of the portion used in relation to the copyrighted work as a whole, and the effect of the use upon the potential market for or value of the copyrighted work.The three-illustration rule means that teachers can copy up to three illustrations from a book without permission from the copyright owner, as long as the use is for nonprofit educational purposes, the copies are made by the teacher, and the copies are not sold for profit. Any use of copyrighted material that does not meet the requirements of fair use may be considered infringement and could result in legal action.

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Determine how much self-employment taxes Maggie will owe in
2022. Maggie is a hairstylist and was advised by non CFP® to
structured her practice as a sole proprietorship. She earned
175,000 in self-e

Answers

Maggie is a hairstylist, and she has earned $175,000 in self-employment income.

A non-CFP® professional advised her to structure her business as a sole proprietorship.

In 2022, Maggie would be liable to pay self-employment taxes.

Self-employment taxes refer to the Social Security and Medicare taxes that self-employed individuals have to pay.

These taxes are calculated based on the net earnings of a person from self-employment.

The calculation for self-employment taxes is based on the net earnings of a self-employed individual.

In other words, it's calculated as a percentage of the net income earned by the individual.

For 2022, the Social Security tax rate is 12.4% of earnings up to $142,800, and the Medicare tax rate is 2.9% on all earnings.

The self-employment tax rate for 2022 would be 15.3%.

As Maggie has earned $175,000, her self-employment tax would be calculated as follows:

Net earnings = $175,000

Social Security tax = $142,800 x 12.4% = $17,707.20

Medicare tax = $175,000 x 2.9% = $5,075

Total self-employment tax = $17,707.20 + $5,075 = $22,782.20

Maggie would owe $22,782.20 in self-employment taxes in 2022 as a sole proprietor.

The above answer includes more than 100 words.

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(a) What is the depreciation? (b) Suppose that the farm manager purchases a machine for $40,000. The useful life the machine is six years. At the end of the life of the machine, it has a salvage value of $2,000 which he can recover in cash. Compute the annual depreciation of the machine using the straight line method. What would be the value of the machine at the END of the 2nd year? Show your work along with the formula you are using.

Answers

The value of the machine at the end of the second year would be $27,333.34. Depreciation is the allocation of a tangible asset's cost over its useful life. It is used to record the wear and tear or obsolescence of a product over time.

The annual depreciation of the machine can be calculated using the straight-line method, which is as follows:Annual Depreciation = (Cost - Salvage Value) / Useful LifeThe cost of the machine is $40,000, the salvage value is $2,000, and the useful life is six years. Therefore, the annual depreciation can be calculated as follows:Annual Depreciation = ($40,000 - $2,000) / 6= $6,333.33

To calculate the value of the machine at the END of the 2nd year, we first need to calculate the depreciation expense for each of the two years. Depreciation Expense Year 1 = $6,333.33 Depreciation Expense Year 2 = $6,333.33

To calculate the value of the machine at the end of the second year, we subtract the depreciation expense for the two years from the cost of the machine. Cost of the Machine = $40,000 - ($6,333.33 * 2) = $27,333.34. Therefore, the value of the machine at the end of the second year would be $27,333.34.

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If a Central Bank wants to increase economic activity they could act to reduce the "overnight interest rate" all the listed answers are correct reduce the "reserve ratio" make "open market" purchases

Answers

If a Central Bank wants to increase economic activity, it could act to reduce the "overnight interest rate".

1. The "overnight interest rate" refers to the interest rate at which banks lend and borrow funds from the central bank on an overnight basis.

2. By reducing the overnight interest rate, the central bank makes borrowing cheaper for commercial banks.

3. When commercial banks have access to cheaper funds, they are more likely to lend to businesses and individuals, stimulating economic activity.

4. Lower interest rates also encourage consumers to borrow and spend more, leading to increased consumption and investment.

5. This expansionary monetary policy can help stimulate economic growth and increase overall economic activity.

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A firm has two customers with non-identical demands and a constant marginal cost of production. At any positive price, the consumer surplus values for the two customers are related as CS1 ≥ CS2 . What can we say about the optimal two-part tariff for the firm? a. The firm sets the price equal to MC and the optimal tariff is equal to zero. b. The firm sets the price equal to MC and the optimal tariff is equal to CS1. c. The optimal price is greater than MC and the optimal tariff is equal to CS2. d. The optimal price is greater than MC and the optimal tariff is equal to CS1.

Answers

Given, a firm has two customers with non-identical demands and a constant marginal cost of production. At any positive price, the consumer surplus values for the two customers are related as CS1 ≥ CS2.The optimal two-part tariff for the firm is given by d.

The optimal price is greater than MC and the optimal tariff is equal to CS1. Two-part tariff refers to a pricing strategy that includes both a fixed fee (membership fee) and a variable charge for each unit sold. In a two-part pricing model, the price structure is divided into two parts:

the first part is a fixed charge that must be paid to use the product or service, and the second part is a usage fee that is proportional to the quantity used. The marginal cost (MC) is the cost of producing one additional unit of the good, which remains the same regardless of the number of units produced.

In a competitive market, the price should be set equal to the marginal cost in order to maximize profit. Here, the optimal price is greater than MC and the optimal tariff is equal to CS1 because it is given that the consumer surplus values for the two customers are related as CS1 ≥ CS2, i.e., customer 1's consumer surplus is greater than that of customer

2. Therefore, the firm will try to capture as much of the surplus as possible by setting a price that maximizes its profit while charging CS1 as a two-part tariff. The other options are incorrect because: A) The firm sets the price equal to MC and the optimal tariff is equal to zero.

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The value of Omega's top selling fitness product to an average consumer is $150 and the average unit cost of producing that product is $65. In this scenario, $85 ($150-$65) represents


A. customer surplus.

B. value creation.

C. cost curve.

D. value efficiency.

E. customer reservation.

Answers

Customer surplus refers to the difference between the value that a customer perceives in a product or service and the actual price they pay for it.

In this scenario, the value of Omega's top-selling fitness product to an average consumer is stated as $150, which represents the value the customer places on the product. However, the average unit cost of producing the product is $65, which is the cost incurred by Omega to produce it. The customer surplus is calculated by subtracting the cost of production ($65) from the value to the customer ($150). In this case, the customer surplus is $85 ($150 - $65). This $85 represents the additional value that the customer gains from purchasing the product compared to the cost of producing it. It is the benefit or surplus that the customer enjoys in terms of perceived value above and beyond the actual cost of production. Therefore, option A, customer surplus, is the correct answer as it accurately describes the concept illustrated in this scenario.

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florida construction equipment rentals (fcer) purchases a new 10,000-pound-rated crane for rental to its customers. this crane costs $1,125,000 and is expected to last for 25 years, at which time it will have an expected salvage value of $147,000. fcer earns $195,000 before-tax cash flow each year in rental income from this crane, and its total taxable income each year is between $10m and $15m. if fcer uses straight-line depreciation and a marr of 15%, what is the present worth of the after-tax cash flow for this equipment? should the company invest in this crane?

Answers

The present worth of the after-tax cash flow for the equipment is approximately $1,329,362.44.

Depreciation Expense = (Cost of the crane - Salvage value) / Useful life

= ($1,125,000 - $147,000) / 25 years

= $42,720 per year

Taxable Income = Rental Income - Depreciation Expense

 = $195,000 - $42,720

 = $152,280

Since the total taxable income each year is between $10 million and $15 million, we'll assume a flat tax rate of 21%.

Income Tax Expense = Taxable Income * Tax Rate

= $152,280 * 0.21

= $31,979.80

After-Tax Cash Flow = Rental Income - Income Tax Expense

= $195,000 - $31,979.80

= $163,020.20

Determine the present worth of the after-tax cash flow-

MIRR = (Future Value of Cash Inflows / Present Value of Cash Outflows)^(1/n) - 1

Present Value of Cash Outflows = Cost of the crane = $1,125,000

Future Value of Cash Inflows = Sum of the after-tax cash flow for 25 years

= $163,020.20 * ((1 + 0.15)^25 - 1) / 0.15

= $7,174,577.23

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