The answer is:
a ) $0.0714 per share
b) -$0.0438 per share
c) -$0.0248 per share
a. Calculation of EPS on a basic and diluted basis assuming no change in the issued share capital of Alpha Ltd during the year ended 31.12.2020:
Net profit after tax = Retained earnings - Final preference dividend = $450,000 - $150,000 = $300,000
Basic EPS = Net profit after tax / Weighted average number of ordinary shares outstanding
= $300,000 / (4,200,000 ordinary shares x 1) = $0.0714 per share
Diluted EPS = Net profit after tax / Weighted average number of ordinary shares outstanding (diluted)
= $300,000 / (4,200,000 ordinary shares x 1) = $0.0714 per share
b. Calculation of EPS on a basic and diluted basis assuming a rights issue of $0.50 ordinary shares on 01.07.2020:
Weighted average number of ordinary shares outstanding before rights issue = 4,200,000 ordinary shares x 6/12 months = 2,100,000 shares
Weighted average number of ordinary shares outstanding after rights issue = 2,100,000 + [(2/7) x 4,750,000] = 3,428,571 shares
Net profit after tax = Retained earnings - Interim ordinary dividend - Final preference dividend = $450,000 - $450,000 - $150,000 = -$150,000
Basic EPS = Net loss after tax / Weighted average number of ordinary shares outstanding
= -$150,000 / 3,428,571 shares = -$0.0438 per share
Diluted EPS = Net loss after tax / Weighted average number of ordinary shares outstanding (diluted)
= -$150,000 / 3,428,571 shares = -$0.0438 per share
c. Calculation of EPS on a basic and diluted basis assuming convertible loan stock:
Weighted average number of ordinary shares outstanding = 4,200,000 shares x 1 = 4,200,000 shares
Net profit after tax = Retained earnings - Interim ordinary dividend - Final preference dividend = $450,000 - $450,000 - $150,000 = -$150,000
Weighted average number of ordinary shares outstanding (diluted) = Weighted average number of ordinary shares outstanding + potential common shares from conversion of convertible loan stock
= 4,200,000 + [(2,250,000 x 75%) + (2,250,000 x 95% - 2,250,000 x 75%)] = 6,037,500 shares
Basic EPS = Net loss after tax / Weighted average number of ordinary shares outstanding
= -$150,000 / 4,200,000 shares = -$0.0357 per share
Diluted EPS = Net loss after tax / Weighted average number of ordinary shares outstanding (diluted)
= -$150,000 / 6,037,500 shares = -$0.0248 per share
Note: Negative EPS indicates a net loss for the year.
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The monitoring of a company's financial reporting is the responsibility of the audit committee, which is a sub-group of the board of directors of the company. It could involve internal finance and the disclosure process. In order for the audit committee to be successful, it is necessary for them to be knowledgeable of the procedures and controls that are in place inside the company.
Required:
Discuss FIVE roles and responsibilities of Audit Committees which could contribute to Corporate Governance and Accountability.
By supervising financial reporting and internal controls, the audit committee ensures corporate governance and accountability. Audit committees have five functions in corporate governance and accountability:
Financial Reporting Oversight: The audit committee oversees financial statement accuracy and conformity with accounting rules and regulations. They evaluate internal controls and risk management systems to ensure financial data correctness.
External Audit Oversight: The committee chooses and vets external auditors. They manage the audit process, assess audit scope and quality, and handle external auditor concerns. This assures audit independence and strength.
Internal Control Evaluation: The committee evaluates the company's risk management and internal audit systems. They approve major control policies and procedures to reduce risks and protect firm assets.
Compliance and Ethics: The audit committee monitors the company's legal and ethical compliance. They evaluate the company's compliance programs, including conflict of interest, whistleblower, and anti-bribery and corruption policies. This fosters ethics and compliance in the workplace.
Stakeholder Engagement: The committee coordinates with the board, management, external auditors, shareholders, and regulators. They report on financial reporting, internal controls, and audit findings, assuring transparency, accountability, and effective communication.
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Cheryl purchased a stereo system on credit when she was 17. She made monthly payments until two months after turning 18. She then decided she wanted to cancel the contract? Can she do so? Why or why not?
Cheryl purchased a stereo system on credit when she was 17. She made monthly payments until two months after turning 18. She then decided she wanted to cancel the contract.
Cheryl may be able to cancel the contract, depending on her state's laws and the terms of the contract. According to most US states' laws, a person under the age of 18 is classified as a minor. Minors are frequently unable to legally contract since they are not yet adults. A contract with a minor is commonly considered null and void. It is possible, however, that an emancipated minor, or a minor who has been legally granted adult responsibilities, could have the authority to contract. To be enforceable, most contracts must meet several criteria. In general, they must include all of the terms that were discussed, be lawful, and be entered into freely by all parties involved. To be enforceable, the contract must also be signed by all parties involved, indicating their acceptance of the terms. As a result, if Cheryl signed the contract while she was still a minor, it could be regarded as unenforceable.
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when a company changes from straight-line depreciation to double-declining-balance depreciation, the change is reported
When a company changes from straight-line depreciation to double-declining-balance depreciation, the change is reported in the company’s financial statements. The change is considered a change in accounting principle and must be disclosed in the financial statements.
The disclosure must include the justification for the change, the method of the change, and the impact of the change on the company’s financial statements.The justification for the change could be a change in the company’s accounting policy, the change in ownership, change in business model, or changes in technology. The method of change could include the number of years used in calculating the asset's life or a change in the depreciation method. The impact of the change on the company's financial statements will also be disclosed and will be reflected in the income statement and balance sheet.In conclusion, when a company changes from straight-line depreciation to double-declining-balance depreciation, the change is reported in the company’s financial statements.
The disclosure must include the justification for the change, the method of the change, and the impact of the change on the company’s financial statements.
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Chris contracts to buy 40 acres of land from Dee. If Dee breaches the contract, Chris normal remedy would be
Damages
Specific performance
Quasi contract
Reformation
D). Quasi contract and reformation are not likely to be relevant in this situation. Specific performance is a legal remedy in which a court orders the breaching party to perform their contractual obligation as promised.
Damages may also be available to Chris as a remedy, but it is not typically the first option in a contract dispute involving the sale of land. Damages refer to monetary compensation that the non-breaching party can seek to recover for any losses or harm suffered as a result of the breach.
Quasi contract is a legal theory in which a court can impose an obligation on a party to prevent unjust enrichment, even in the absence of an actual contract. Reformation, on the other hand, is a remedy in which a court can modify a contract to correct a mistake or error made by the parties.
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Please conduct a SWOT analysis on the development of rural
tourism in your hometown.
SWOT analysis stands for Strengths, Weaknesses, Opportunities, and Threats. It is a useful tool for businesses or organizations to assess their internal and external factors.
In this case, we will conduct a SWOT analysis on the development of rural tourism in our hometown.
Strengths- Unique local culture and history: Rural areas tend to have their unique culture, traditions, and history that can attract tourists.- Scenic views: Rural areas are often surrounded by nature, making it an ideal destination for nature lovers.- Community involvement: The development of rural tourism can involve the participation of the local community, thus increasing their income.Weaknesses- Poor infrastructure: Rural areas may have underdeveloped infrastructure, such as poor road networks, electricity, and water supply.- Lack of amenities: Rural areas may have limited access to amenities such as hospitals, banks, and shopping centers.- Limited accommodation options: There may be a limited number of hotels or guesthouses in rural areas, making it challenging for tourists to find accommodation.Opportunities- Increasing interest in sustainable tourism: There is a growing interest in sustainable tourism, and rural tourism can be an eco-friendly alternative.- Diversifying tourism products: Rural tourism can be an opportunity to diversify tourism products beyond the usual urban destinations.- Government support: The government may provide support and incentives for the development of rural tourism.Threats- Natural disasters: Rural areas may be prone to natural disasters such as floods, earthquakes, and landslides.- Competition from other destinations: Rural tourism may face competition from other destinations that offer similar products.- Safety concerns: Rural areas may have security concerns that can discourage tourists from visiting.In conclusion, developing rural tourism can be an opportunity to diversify tourism products and involve the local community. However, the development of rural tourism may face challenges such as poor infrastructure and competition from other destinations. Therefore, it is crucial to consider both the internal and external factors when conducting a SWOT analysis of rural tourism in our hometown.
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Question1 Uno Pizza Store started the year with total assets of $150,000 and total liabilities of $85,000. During the year, the business recorded $175,000 in revenues, $90,000 in expenses, and dividends of $10,000. The net income reported by Uno Pizza Store for the year was a. $75,000 b. $85,000 c. $65,000 d. $175,000 Question 2 If the beginning balance in the retained earnings was $30,000, what will be the ending balance of the retained earnings? Question 3 What was the total capital stock at the beginning of the year? Question 4 What will be the amount of the total assets at the end of the year year
Uno Pizza Store reported a net income of $75,000 for the year.
The beginning balance in retained earnings was $30,000. After adding the net income of $75,000, the ending balance of retained earnings will be $105,000.
The total capital stock at the beginning of the year was $65,000. This is calculated by taking the total assets of $150,000 and subtracting the total liabilities of $85,000.
The total assets at the end of the year will be $225,000. This is calculated by taking the total assets at the beginning of the year of $150,000 and adding the net income of $75,000.
Net income
Net income is calculated by subtracting expenses from revenues. In this case, the revenues were $175,000 and the expenses were $90,000. Therefore, the net income was $75,000.
Ending balance of retained earnings
The ending balance of retained earnings is calculated by adding the net income to the beginning balance of retained earnings. In this case, the beginning balance of retained earnings was $30,000 and the net income was $75,000. Therefore, the ending balance of retained earnings will be $105,000.
Total assets at the end of the year
The total assets at the end of the year is calculated by adding the net income to the total assets at the beginning of the year. In this case, the total assets at the beginning of the year was $150,000 and the net income was $75,000. Therefore, the total assets at the end of the year will be $225,000.
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15. Calculate manufacturing overhead total based on the following: Direct material 100 Indirect material=29 Assembly line workers=1000 Factory supervisor-500 Office rent -400 Factory Taxes 3000
The total manufacturing overhead can be calculated as $4,229.
To calculate the total manufacturing overhead, we need to sum up all the indirect costs associated with the manufacturing process.
Given:
Indirect material: $29
Assembly line workers: $1,000
Factory supervisor: $500
Office rent: $400
Factory taxes: $3,000
To find the total manufacturing overhead, we add up these indirect costs:
$29 + $1,000 + $500 + $400 + $3,000 = $4,929.
Therefore, the total manufacturing overhead based on the given information is $4,929.
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Which of the following should be done to mitigate the problem created by an inclusive approach to talent management and development?
a. Provide a Realistic Job Preview (RJP) and let people select out of the TD process
b. Seek more funding to increase resources to meet employees' development aspirations
c. Reduce political infighting
d. Create an atmosphere of having a war for talent
Option a. Provide a Realistic Job Preview (RJP) and let people select out of the TD process, is the most appropriate action to mitigate the problem created by an inclusive approach to talent management and development.
A realistic job preview provides potential candidates with a clear understanding of what the job entails and what the organization expects from them. It helps them to make an informed decision about whether they want to continue with the talent development process or not. This ensures that only those who are genuinely interested and committed to the organization's goals and objectives will participate in the talent development program.
Options b, c, and d may not be effective in mitigating the problem created by an inclusive approach to talent management. Providing more funding may not address the root cause of the problem, reducing political infighting may not directly contribute to the effectiveness of talent management, and creating a war for talent may lead to unhealthy competition among employees and damage team dynamics.
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In the basic EOQ model, it D = 600 per year, S = $100, and holding cost = S1 per unit per month, what is the economic order quantity? O A. 490 O B. 600 OC. 141 OD. 24 OE. 100
The economic order quantity (EOQ) is not one of the provided options.
To calculate the economic order quantity (EOQ), we can use the following formula:
EOQ = √((2DS) / H)
Where:
D = Annual demand (in units)
S = Ordering cost per order
H = Holding cost per unit per year
In this case, the given values are:
D = 600 per year
S = $100
H = S1 per unit per month = S12 per unit per year
Substituting these values into the formula, we get:
EOQ = √((2 * 600 * 100) / 12) = √(1200000 / 12) = √100000 = 316.23 (approximately)
Therefore, the economic order quantity (EOQ) is not one of the provided options.
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In detail (about a page), please describe the political and
economic effects of the cold war on Angola, and the Republic of
Congo.
The Cold War had significant political and economic effects on Angola and the Republic of Congo. Both countries experienced deep-rooted conflicts and ideological divisions as they became proxy battlegrounds for the larger Cold War powers. The economic consequences included foreign intervention, resource exploitation, and the disruption of local economies.
During the Cold War, Angola and the Republic of Congo were caught in the midst of intense regional conflicts fueled by the rivalry between the United States and the Soviet Union. In Angola, the conflict took the form of a civil war between the Soviet-backed People's Movement for the Liberation of Angola (MPLA) and the U.S.-supported National Union for the Total Independence of Angola (UNITA). The MPLA eventually emerged victorious, and Angola became a Marxist-Leninist state aligned with the Soviet Union. The country became a Cold War battleground where the superpowers supported their respective proxies, resulting in political instability, human rights abuses, and widespread devastationIn the Republic of Congo, the Cold War exacerbated existing political tensions. The country experienced a series of coups and political unrest, with various factions vying for power and seeking support from Cold War actors.
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determine the number of people cyclically unemployed for the year 2004.
To determine the number of people cyclically unemployed for the year 2004, we would need access to specific data and information related to employment and unemployment during that period.
Cyclical unemployment refers to the fluctuation in employment levels caused by changes in the business cycle. During economic downturns or recessions, the number of people facing cyclical unemployment tends to increase as businesses reduce their workforce due to decreased demand.
To obtain the number of people cyclically unemployed for the year 2004, you would need access to data sources such as government reports, labor market surveys, or economic indicators that provide information on unemployment rates and trends for that specific year. By analyzing the data and considering the relevant definitions and methodologies used, it would be possible to estimate the number of people cyclically unemployed during that period.
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Do you agree with Krumboltz that a criterion to judge
the effectiveness of counseling goals is the compatibility with
values of the particular counselor. Explain.
As an AI language model, I don't have personal opinions or beliefs. However, I can provide you with an analysis of the perspective presented by Krumboltz.
Krumboltz's viewpoint suggests that the effectiveness of counseling goals should be judged based on their compatibility with the values of the counselor. This perspective acknowledges the importance of considering the counselor's own values, beliefs, and principles in the counseling process. Here are some points to consider in relation to Krumboltz's perspective: Client-Counselor Relationship: Counseling is a collaborative process that relies on a strong rapport and trust between the counselor and the client. When the counselor's goals align with their personal values, it can enhance the authenticity and genuineness of the therapeutic relationship. This alignment may foster a deeper level of understanding and connection between the counselor and the client.
Authenticity and Congruence: Counselors who align their goals with their values are more likely to be authentic and congruent in their approach. They can genuinely advocate for the goals they set and demonstrate consistency in their actions and beliefs. This congruence can enhance the counselor's credibility and trustworthiness in the eyes of the client.
Ethical Considerations: Counselors are bound by ethical guidelines that emphasize the importance of respecting the autonomy and values of clients. However, it is also important for counselors to have a clear understanding of their own values and beliefs, as this self-awareness can help them navigate ethical dilemmas and make informed decisions in the counseling process.Value-Driven Counseling: Different counselors may have different value systems based on their cultural, religious, or personal backgrounds. These values can influence the counselor's approach to setting goals and determining interventions. When counselors align their goals with their own values, they may feel a stronger sense of purpose and commitment, leading to greater motivation and effectiveness in helping clients achieve their goals.
It's important to note that while considering the counselor's values is valuable, it should not override the client's needs and preferences. The counselor's values should be used as a framework to guide the therapeutic process while maintaining a client-centered approach that respects and acknowledges the uniqueness and autonomy of the client.
Ultimately, the compatibility of counseling goals with the counselor's values can be seen as one factor among many in assessing the effectiveness of counseling. A comprehensive evaluation of the counseling process should also consider factors such as client progress, satisfaction, and the attainment of desired outcomes.
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What does the "separation of powers" mean in practice? What are the advantages and disadvantages to separating governmental power, as opposed to concentrating it? Be sure to discuss the role of each branch of government in your response.
The "separation of powers" is an idea that the powers of a government must be separated among the various branches of government. The principle of separation of powers limits the concentration of power by ensuring that no single branch of government is dominant, as each branch has its responsibilities.
This concept was first introduced by the political philosopher, Montesquieu, in his 1748 work "The Spirit of Laws''. What does the "separation of powers" mean in practice? The "separation of powers" means that the powers of a government are divided among the three branches of government.
This separation provides checks and balances between the three branches, which promotes democracy by preventing the government from becoming too powerful or authoritarian. The three branches of government are: Legislative Branch, Executive Branch, and the Judicial Branch.
Advantages of Separation of Powers: Separation of powers helps prevent the government from becoming too powerful and corrupt by creating checks and balances between the three branches of government. This balance of power ensures that no single branch of government becomes too powerful and can abuse its powers. This separation protects the rights of individuals, promotes accountability, and ensures that the government operates in the best interests of the people.
Disadvantages of Separation of Powers: Separation of powers can lead to gridlock or a situation in which the government is unable to act. The separation can also lead to conflicts and disputes between the three branches of government. The separation can also be a time-consuming and costly process, as each branch of government must approve any laws or policies that are enacted.
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Your textbook provides the steps for developing a SPACE Matrix along with examples. After reviewing the corresponding section from your textbook, develop a SPACE Matrix for a global company that you are familiar with. Include two factors for each of the four axes (SP, IP, SP, and CP). Please be sure to identify the particular strategies the organization should consider based on the results of your SPACE Matrix.
- Strategic Position (SP): Moderate financial strength and low competitive advantage.
- Environmental Stability (ES): Moderate stability in the industry and high inflation rate.
- Competitive Position (CP): High market share and low product quality.
- Industry Position (IP): High growth potential and low technological advancement.
Based on the results of the SPACE Matrix, the organization should consider the following strategies:1. Aggressive Strategies: Focus on improving competitive advantage and product quality to capitalize on the high market share and high growth potential.
2. Market Development Strategies: Exploit the moderate stability in the industry to expand into new markets and diversify the customer base.
How can a SPACE Matrix be developed for a global company?A SPACE Matrix is developed by analyzing various factors related to the company's strategic position, environmental stability, competitive position, and industry position. These factors are assigned numerical values, and the scores are plotted on a matrix. By considering the scores on each axis, the company's strategic position is determined. This information helps identify the appropriate strategies for the organization.
To develop a SPACE Matrix, one must first gather relevant data and assess the company's financial strength, competitive advantage, industry stability, inflation rate, market share, product quality, growth potential, and technological advancement. Assign numerical values to each factor, plot them on the matrix, and calculate the average scores for each axis. Finally, analyze the results to determine the organization's strategic position and recommend appropriate strategies.
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(a) [20 marks] A natural disaster typically causes severe losses to the factors of production (e.g. capital and labour). A panking crisis typically does not. Explain why a banking crisis can inflict a
Answer: A natural disaster and a banking crisis can both have significant impacts on an economy, but they differ in the nature of the losses they inflict on the factors of production. Here's an explanation of why a banking crisis can inflict severe losses while a natural disaster typically affects the factors of production differently:
Explanation:
1. Nature of Losses:
a. Natural Disaster: A natural disaster, such as a hurricane, earthquake, or flood, primarily causes physical damage to the factors of production, including capital and labor. Infrastructure, buildings, machinery, and other physical assets can be destroyed or damaged, and there can be a loss of life or injuries to workers. These losses are tangible and visible.
b. Banking Crisis: A banking crisis, on the other hand, primarily affects the financial sector of the economy. It involves problems in the banking system, such as bank failures, liquidity shortages, and a loss of confidence in financial institutions. While the physical assets may not be directly affected by a banking crisis, the losses occur through financial channels. The crisis can lead to a contraction of credit, reduced investment, and economic instability, which can have widespread implications for businesses, employment, and overall economic activity.
2. Ripple Effects:
a. Natural Disaster: A natural disaster can have localized effects, primarily impacting the regions or areas directly affected by the event. While the immediate impact can be severe, recovery efforts, including rebuilding infrastructure and providing aid, can stimulate economic activity in the affected areas over time. The ripple effects on the broader economy may be limited unless the disaster is widespread.
b. Banking Crisis: A banking crisis has the potential to affect the entire economy, including regions not directly linked to the crisis. Financial institutions play a crucial role in providing credit and liquidity to businesses and households. A banking crisis can lead to a credit crunch, reduced access to funds, and a decline in lending activity, which can have far-reaching consequences across different sectors and regions. It can trigger a downward spiral, impacting investment, consumption, employment, and overall economic growth.
3. Duration and Recovery:
a. Natural Disaster: While a natural disaster can cause immediate and severe losses, the recovery process can begin once the physical damages are addressed. Rebuilding efforts, insurance claims, and government assistance can help restore the affected areas and gradually bring the economy back to normalcy. The duration of recovery can vary depending on the scale and severity of the disaster.
b. Banking Crisis: A banking crisis can have longer-lasting effects and a more prolonged recovery process. Restoring confidence in the financial system, recapitalizing banks, implementing regulatory measures, and stabilizing the economy can take considerable time. The consequences of a banking crisis, such as increased unemployment, business closures, and reduced investment, can persist even after the crisis subsides.
In summary, a natural disaster primarily causes physical losses to the factors of production, while a banking crisis inflicts losses through financial channels and can have broader and longer-lasting impacts on the economy. The two events differ in their nature of losses, ripple effects, and the duration and complexity of the recovery process.
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Wendy Day Kite Company owns 40% of the outstanding stock of Strong String Company. During the current year, Strong String paid a $10 million cash dividend on its common shares. What effect does Strong String's dividend have on Wendy Day's financial statements? (Select "No effect" if none of the categories apply for a particular item. Enter your answer in millions. (i.e., $10,000,000 should be entered as 10).) Answer is complete but not entirely correct. Net income ✓ x million No effect No effect Total assets $ 4 million
Wendy Day's financial statements will show an increase in cash on the balance sheet as a result of Strong String's dividend payment.
Since Wendy Day owns 40% of the outstanding stock of Strong String, it is entitled to receive 40% of the dividend payment. This dividend payment will be reflected as an increase in Wendy Day's cash balance on the balance sheet, but it will not affect net income or total assets.
When a company pays a dividend, it is distributing a portion of its profits to its shareholders. In this case, Strong String paid a $10 million cash dividend on its common shares. Since Wendy Day owns 40% of Strong String's outstanding stock, it will receive 40% of this dividend payment, or $4 million. On Wendy Day's financial statements, the increase in cash from the dividend payment will be reflected on the balance sheet. However, the dividend payment will not affect net income or total assets. Net income is calculated as revenues minus expenses, and the dividend payment does not impact either of these categories. Similarly, total assets are not affected by the dividend payment because it represents a distribution of profits rather than a change in the company's underlying assets. Overall, the dividend payment from Strong String will have a positive impact on Wendy Day's cash position, but it will not affect the company's profitability or asset base.
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Current Attempt in Progress On August 31, the balance sheet of La Brava Veterinary Clinic showed Cash $9,000, Accounts Receivable $1,700, Supplies $600, Equipment $6,000, Accounts Payable $3,600, Common Stock $13,000, and Retained Earnings $700. During September, the following transactions occurred. 1. Paid $2,900 cash for accounts payable due. 2. Collected $1,300 of accounts receivable. 3. Purchased additional equipment for $2,100, paying $800 in cash and the balance on account. 4. Recognized revenue of $7,300, of which $2,500 is collected in cash and the balance is due in October. 5. Declared and paid a $400 cash dividend. 6. Paid salaries $1,700, rent for September $900, and advertising expense $200. 7. Incurred utilities expense for month on account $170. 8. Received $10,000 from Capital Bank on a 6-month note payable.
On August 31, the balance sheet of La Brava Veterinary Clinic showed Cash $9,000, Accounts Receivable $1,700, Supplies $600, Equipment $6,000, Accounts Payable $3,600, Common Stock $13,000, and Retained Earnings $700.
During September, the following transactions occurred.1. Paid $2,900 cash for accounts payable due. The balance sheet of La Brava Veterinary Clinic as of August 31 can be summarized as: Assets | Amount Cash | $9,000Accounts Receivable | $1,700Supplies | $600Equipment | $6,000 Liabilities and Equity | Amount Accounts Payable | $3,600Common Stock | $13,000Retained Earnings | $700In the transaction on September 1, we paid $2,900 cash for accounts payable due. The balance sheet changes as follows: Assets | Amount Cash | $6,100 (9,000 - 2,900)Accounts Receivable | $1,700Supplies | $600Equipment | $6,000Liabilities and Equity | Amount Accounts Payable | $700 (3,600 - 2,900)Common Stock | $13,000Retained Earnings | $7002. Collected $1,300 of accounts receivable. As of September 2, the balance sheet is: Assets | Amount Cash | $7,400 (6,100 + 1,300)Accounts Receivable | $400 (1,700 - 1,300)Supplies | $600Equipment | $6,000Liabilities and Equity | Amount Accounts Payable | $700Common Stock | $13,000Retained Earnings | $7003. Purchased additional equipment for $2,100, paying $800 in cash and the balance on account. The cash payment for the additional equipment is $800. The balance on account is $1,300. As of September 3, the balance sheet is: Assets | Amount Cash | $6,600 (7,400 - 800)Accounts Receivable | $400Supplies | $600Equipment | $8,100 (6,000 + 2,100)Liabilities and Equity | Amount Accounts Payable | $2,000 (700 + 1,300)Common Stock | $13,000Retained Earnings | $7004. Recognized revenue of $7,300, of which $2,500 is collected in cash and the balance is due in October. As of September 4, the balance sheet is: Assets | Amount Cash | $9,100 (6,600 + 2,500)Accounts Receivable | $4,200 (400 + 2,500 + 1,300)Supplies | $600Equipment | $8,100Liabilities and Equity | Amount Accounts Payable | $2,000Common Stock | $13,000Retained Earnings | $1,200 (700 + 7,300 - 1,700 - 900 - 200 - 170)5. Declared and paid a $400 cash dividend. As of September 5, the balance sheet is: Assets | Amount Cash | $8,700 (9,100 - 400)Accounts Receivable | $4,200Supplies | $600Equipment | $8,100Liabilities and Equity | Amount Accounts Payable | $2,000 Common Stock | $13,000Retained Earnings | $800 (1,200 - 400)6. Paid salaries $1,700, rent for September $900, and advertising expense $200.As of September 6, the balance sheet is: Assets | Amount Cash | $5,900 (8,700 - 2,800)Accounts Receivable | $4,200Supplies | $600Equipment | $8,100Liabilities and Equity | Amount Accounts Payable | $2,000Common Stock | $13,000Retained Earnings | $900 (800 - 1,700 - 900 - 200 - 170)7. Incurred utilities expense for month on account $170.As of September 7, the balance sheet is: Assets | Amount Cash | $5,900Accounts Receivable | $4,200Supplies | $600Equipment | $8,100Liabilities and Equity | Amount Accounts Payable | $2,170 (2,000 + 170)Common Stock | $13,000Retained Earnings | $730 (900 - 170)8. Received $10,000 from Capital Bank on a 6-month note payable. As of September 8, the balance sheet is: Assets | Amount Cash | $15,900 (5,900 + 10,000)Accounts Receivable | $4,200Supplies | $600Equipment | $8,100Liabilities and Equity | Amount Accounts Payable | $2,170Common Stock | $13,000Retained Earnings | $10,730 (730 + 10,000)
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Question 1 exposure measures the change in the present value of the firm resulting from unexpected changes in exchange rates. A Accounting OB Transaction. OC. economic OD. Translation
Option "OD. Translation". In financial terms, exposure measures the sensitivity of a company's cash flows, assets, and liabilities to changes in exchange rates. Translation exposure arises from accounting systems when they are used to convert foreign assets or liabilities from one currency into another.
Exposure measures the sensitivity of a company's cash flows, assets, and liabilities to changes in exchange rates. The economic exposure is a measure of the impact of a currency exchange rate change on the present value of the firm. Unexpected changes in exchange rates result in a change in the present value of the firm and may lead to the company becoming insolvent. If the change in exchange rate occurs suddenly and the firm is not prepared to handle the change, then the company may be exposed to currency risk. However, it is the translation exposure that measures the change in the present value of the firm resulting from unexpected changes in exchange rates.The translation exposure arises when accounting systems are used to convert foreign assets or liabilities from one currency into another. It can occur when a company prepares its financial statements in one currency, but its operations take place in another currency. Translation exposure is the risk that a company faces when it converts its assets and liabilities from one currency to another currency during consolidation. Therefore, the correct answer is OD. Translation.
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How does Ford take into account the diversity of consumer roles as it plans its future marketing?
Explain Ford's approach in understanding two or more roles that can affect the buting decision process for vehicles
1.Ford takes into account the diversity of consumer roles as it plans its future marketing through its various approaches such as understanding different consumer roles that can affect the buying decision process for vehicles. Ford has various marketing strategies to cater to the needs of different consumer groups. Ford understands that the world is constantly changing and thus, they adapt to the changing environment by using different technologies and diverse workforce to cater to a wide range of customers.
Ford's future marketing strategy revolves around the following aspects:
Market segmentation: The company has a wide range of product line, offering different vehicles for different needs and target customers. The market segmentation of Ford helps to understand the diverse needs of customers and their preferences.
Diversity and inclusion: Ford has a diverse workforce, including people from different countries and cultures. This helps the company to understand the diversity of its customers and cater to their needs accordingly.
Branding: Ford has developed its brand image by creating a unique identity of its products. The company is known for its innovative and high-performance vehicles. This helps in creating brand loyalty among consumers and helps in building long-term relationships with them. The buying decision process for vehicles is affected by various factors such as the buyer's role, decision-making process, cultural and social factors, etc.
2.Two or more roles that can affect the buying decision process for vehicles are:
Initiator: The initiator is the person who first comes up with the idea of buying a new vehicle. It could be any member of the family, but mostly it is the head of the family or the primary bread earner.
Influencer: The influencer is the person who influences the buying decision of the initiator. This could be anyone who has the knowledge of vehicles or is an expert in the field. It could be a friend, colleague, or a family member. They influence the initiator in choosing the right vehicle based on their preferences.
Ford takes into account these roles and develops its marketing strategies accordingly. The company focuses on building relationships with the customers and providing them with high-quality products that cater to their needs and preferences.
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what were the three alternatives DE had for developing the Hardware and software capabilities to become a digital firm. Use a numbered list and answer in full sentences for full credit.
DE had three alternatives for developing hardware and software capabilities to become a digital firm.
What were the options available to DE for developing hardware and software capabilities?DE could choose to develop the necessary hardware and software capabilities in-house. This option would involve investing in hiring skilled personnel, acquiring technology infrastructure, and dedicating resources to research, development, and implementation. By building internally, DE would have full control over the development process and could tailor the capabilities to their specific needs.
Outsource development: DE could opt to outsource the development of hardware and software capabilities to external vendors or partners. This alternative would involve identifying and selecting reputable and experienced vendors who specialize in the required technologies. Outsourcing would allow DE to leverage the expertise and resources of external entities, potentially reducing costs and time-to-market.
Collaborate or acquire: DE could explore collaboration or acquisition opportunities with existing firms that already possess the desired hardware and software capabilities. By partnering with or acquiring a company that has already developed these capabilities, DE could gain immediate access to the necessary technology and expertise, bypassing the need for extensive development efforts.
Each of these alternatives presents its own advantages and challenges. The choice would depend on factors such as DE's internal resources, strategic goals, budget, timeline, and the level of control desired. Careful evaluation and analysis are crucial to selecting the most suitable path towards becoming a digital firm.
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Using FRED again, search for GDPC1.
a)(5 points)Calculate the percent change in real GDP over the most recent 4 quarter period rounding to two decimal places. This is called the growth rate. Again, please show all work.
%ΔRGDP = ____
Now compare to the potential growth rate as estimated by the Congressional Budget Office (use GDPPOT).
b)(5 points) Again, show your calculations. Is real GDP currently growing too slow, too fast, or just right relative to potential (circle your answer)?
%ΔPotential RGDP = ___
To calculate the percent change in real GDP over the most recent 4 quarter period, we need to use the GDPC1 series from FRED.
To calculate the percent change in real GDP over the most recent 4 quarter period, we can use the formula:
%ΔRGDP = ((RGDP_t - RGDP_t-4) / RGDP_t-4) * 100
where RGDP_t represents the current real GDP and RGDP_t-4 represents the real GDP 4 quarters ago.
By plugging in the values from the GDPC1 series into the formula, we can calculate the percent change in real GDP.
Next, we need to compare this growth rate with the potential growth rate estimated by the Congressional Budget Office (CBO) using GDPPOT. To calculate the percent change in potential real GDP over the same 4 quarter period, we can use the same formula as above, but with GDPPOT data. By performing these calculations and comparing the growth rates, we can assess the relative performance of real GDP and its alignment with its potential.
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a single indirect cost rate may distort product costs because:___
A single indirect cost rate may distort product costs because it assumes that all products consume indirect costs at the same rate, disregarding variations in the actual consumption of resources by different products.
Indirect costs are expenses that are not directly traceable to specific products or services but are necessary for the overall operations of a business. To allocate these costs to products, a single indirect cost rate is often used, which applies a predetermined percentage or rate to the direct costs of each product. However, using a single indirect cost rate can lead to distorted product costs. This is because it assumes that all products consume indirect costs at the same rate, regardless of the actual resource consumption by each product.
In reality, different products may have varying levels of resource utilization or different cost drivers. Some products may require more machine time, floor space, or support services compared to others. By using a single indirect cost rate, the costs of products that consume fewer resources may be overestimated, while the costs of products that require more resources may be underestimated.
This distortion in product costs can have several implications. It may lead to incorrect pricing decisions, where products that should be priced higher due to their higher resource consumption are priced lower, resulting in lower profitability. It can also affect decision-making regarding product mix, resource allocation, and investment decisions, as the true costs of products are not accurately reflected.
To address this issue, businesses often employ activity-based costing (ABC) or other cost allocation methods that allocate indirect costs based on the specific activities and cost drivers associated with each product. This allows for a more accurate and fair distribution of indirect costs, providing better insights into the profitability and cost structure of different products.
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a temporary decrease in spending has no effect on inflation or real growth in the long run.truefalse
The statement "A temporary decrease in spending has no effect on inflation or real growth in the long run.", is false.
Any temporary decrease in spending will have some short-term effect on the economy, but not always the same for each economic variable. For example, a temporary decrease in spending by consumers would lead to a decrease in aggregate demand, which will have an impact on both inflation and real growth. Let's see how it can impact inflation and real growth. Inflation: Inflation is defined as the increase in the prices of goods and services in an economy over time. When there is a decrease in demand, it will cause businesses to lower their prices to stimulate spending, which ultimately leads to lower inflation. This situation is possible in the short run. However, if this temporary decrease in spending leads to a recession, it can have a more significant impact on inflation in the long run. Real Growth: Temporary spending reductions will have a short-term impact on real growth. When there is a decrease in spending, businesses will react by reducing production levels. Consequently, it will have an impact on GDP. When the economy goes back to its normal state, then real growth will stabilize.
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Question 3 Quantity Price 5 $10 10 $9 16 $8 23 $7 31 $6 45 $5 52 $4 60 $3 This monopolist has fixed costs of $40 and constant marginal cost of $5. What is the marginal revenue if they produce 10 units? [Select] What is this monopolist's profit if they were to produce 45 units? [Select] What is the monopolist's profit-maximizing price to charge? [Select] What is the average total cost of production for this monopolist if they produce 16 units? [Select] 4 pts
Marginal revenue at 10 units: $4
Profit at 45 units: $125
Profit-maximizing price: $6
Average total cost at 16 units: $6.25
- Marginal revenue is the change in total revenue when one additional unit is produced. In this case, the total revenue at 10 units is $90, and the total revenue at 11 units is $99, so the marginal revenue is $4 ($99 - $95).
- Profit is calculated by subtracting total cost from total revenue. At 45 units, the total revenue is $225, and the total cost is $100 ($40 fixed cost + $5 marginal cost per unit * 45 units), resulting in a profit of $125.
- The monopolist's profit-maximizing price is determined by setting marginal cost equal to marginal revenue. In this case, the marginal cost is $5, so the monopolist should charge a price of $6 to maximize profit.
- Average total cost is calculated by dividing the total cost by the quantity produced. At 16 units, the total cost is $120 ($40 fixed cost + $5 marginal cost per unit * 16 units), so the average total cost is $7.50 ($120 / 16).
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Unsuccessful teams fail to create a collective and challenging aspiration due to various reasons such as lack of emphasis on performance, lack of effort, and poor leadership. To achieve the best results leaders and managers in organisations should ensure that team members are motivated.
As a newly appointed manager in the human resource section of your department you have realised that the staff working in your section do not work well as a unit. Write a report and explain in detail what measures you will introduce to address the conflicting issues and strengthen your group’s coherence and how you will motivate your staff in working together. In this regard elaborate on the benefits of having motivated employees at government intuitions and discuss the different ways to increase employee motivation.
To address the lack of unity and motivation in the human resource section, I would introduce several measures.
I would establish a clear vision and set challenging goals to create a collective purpose. Secondly, I would improve communication and collaboration through regular team meetings and cross-functional initiatives. Thirdly, I would foster a positive work environment by emphasizing respect, recognition, and providing growth opportunities.
Motivated employees in government institutions bring various benefits, including increased productivity, improved job satisfaction, enhanced creativity and innovation, and higher quality of service.
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10) what is the appropriate treatment in an interim financial report for inventory with a net realizable value below cost?
The appropriate treatment in an interim financial report for inventory with a net realizable value below cost is to recognize a loss on the inventory by reducing the carrying value of the inventory to its net realizable value.
Net realizable value is the estimated selling price of inventory minus the estimated costs of completion and disposal. When the net realizable value of inventory falls below its cost, it indicates that the inventory is overvalued and may not be able to be sold for the original cost. In this case, the inventory needs to be written down to its net realizable value, which means recognizing a loss on the inventory in the financial statements.
When preparing an interim financial report, companies are required to report their financial performance and position for a period shorter than a full fiscal year. In the case of inventory with a net realizable value below cost, the appropriate treatment is to recognize a loss on the inventory by reducing the carrying value of the inventory to its net realizable value. This is necessary because the inventory is not worth the cost that was originally paid for it. The accounting treatment for inventory with a net realizable value below cost is to write down the inventory to its net realizable value. This is done by creating an allowance account to reflect the difference between the original cost and the net realizable value of the inventory. The allowance account is a contra-asset account that reduces the carrying value of the inventory on the balance sheet. The loss is recognized in the income statement as a cost of goods sold.
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Upstream costs for a merchandising entity include:
i. design.
ii. research and development.
iii. distribution.
iv. customer support.
A.
i and iii
B.
i, ii and iii
C.
None of the given answers
D.
iii a
Upstream costs for a merchandising entity include (A) i and iii, as design and distribution are the relevant upstream costs for a merchandising entity.
Upstream costs refer to the costs incurred in the early stages of a product's life cycle, typically before it reaches the end customer. For a merchandising entity, which involves buying and selling finished goods, the upstream costs can vary.
i. Design: Design costs in the context of a merchandising entity involve the expenses associated with creating the visual and aesthetic aspects of a product. These costs encompass various activities and considerations aimed at developing a product's appearance, packaging, and branding to make it attractive and marketable to customers.
ii. Research and Development (R&D): R&D costs are typically associated with the creation of new products or the improvement of existing ones. However, for a merchandising entity that purchases finished goods from suppliers, R&D costs are usually not incurred directly by the entity itself. Therefore, R&D costs are not included in the upstream costs for a merchandising entity.
iii. Distribution: Distribution costs encompass activities involved in getting the finished goods from the suppliers to the merchandising entity's storage or retail locations. This includes transportation, warehousing, and logistics costs. Distribution costs are an essential component of upstream costs for a merchandising entity.
iv. Customer Support: Customer support costs are typically associated with post-sale activities, such as providing assistance, handling returns or exchanges, and addressing customer inquiries. These costs are considered downstream costs as they occur after the product has been sold to the end customer.
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for the first six months of the year, an analyst records the monthly closing stock price (in $) for a firm as: 210, 215, 216, 219, 214, 218. (you may find it useful to reference the t table.)
The primary response is that the confidence interval at a 95% level of significance for the provided data is (211.52, 219.14).
To find the confidence interval for this data, follow the steps below:
Step 1: Calculate the mean:
Mean = (210 + 215 + 216 + 219 + 214 + 218)/6= 1292/6= 215.33
Step 2: Calculate the standard deviation:
S = sqrt[((210 - 215.33)² + (215 - 215.33)² + (216 - 215.33)² + (219 - 215.33)² + (214 - 215.33)² + (218 - 215.33)²)/(6-1))]
S = sqrt[(20.0556 + 0.1111 + 0.1975 + 14.1975 + 2.1975 + 6.7569)/5]
S = sqrt[(43.5161)/5]S = 3.30
Step 3: Choose a level of significance and calculate the value of t.
For a 95% confidence interval, degrees of freedom = 6 - 1 = 5.
Using t-distribution table or calculator, the value of t at the 95% confidence level with five degrees of freedom is 2.571.
Step 4: Calculate the margin of error:
Margin of error (E) = tS/sqrt(n)
Margin of error (E) = 2.571(3.30)/sqrt(6)
Margin of error (E) = 3.81
Step 5: Calculate the confidence interval:
Confidence interval = (mean - E, mean + E)
Confidence interval = (215.33 - 3.81, 215.33 + 3.81)
Confidence interval = (211.52, 219.14)
Therefore, the main answer is that the confidence interval at a 95% level of significance for the given data is (211.52, 219.14) at the 95% confidence level. The detailed answer above shows all the steps involved in the calculation of the confidence interval.
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(3) Consider a binomial tree model with S(0) = 10, u = 0.1, d = −0.2 and r = 0. Asian Options are options whose payoffs depend on the average price of the underlying asset. Let C˜(2) be the payoff at time 2 of an Asian option with strike price 9. i.e. C˜(2) = max nS(0) + S(1) + S(2) 3 − 9, 0 o Compute the following: (a) E∗[C˜(2)|S(1)] (b) E∗[C˜(2)] (c) Var∗[C˜(2)]
In the given binomial tree model with specific parameters, we need to compute the expected value conditional on S(1) [E∗[C˜(2)|S(1)]], the overall expected value [E∗[C˜(2)]], and the variance [Var∗[C˜(2)]] of an Asian option with a strike price of 9 at time 2.
To compute E∗[C˜(2)|S(1)], we need to calculate the expected value of the Asian option payoff at time 2, given the value of S(1). This involves evaluating the conditional expectation based on the given binomial tree model.
To compute E∗[C˜(2)], we need to calculate the overall expected value of the Asian option payoff at time 2. This involves taking the average of the conditional expectations for different values of S(1) in accordance with the binomial tree model.
To compute Var∗[C˜(2)], we need to determine the variance of the Asian option payoff at time 2. This involves calculating the squared deviations from the expected value and taking the average over different possible outcomes, considering the probabilities associated with the binomial tree model.
By evaluating the necessary calculations based on the provided parameters and the Asian option payoff formula, we can determine the expected value conditional on S(1), the overall expected value, and the variance of the Asian option at time 2.
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In response to how the sales incentives might be contributing to falling profits despite growing sales, Dono Company's controller has produced the following information on last year's sales to two cus
There are various factors that might contribute to falling profits despite growing sales. One of them could be attributed to the sales incentives being offered by the company, which may not be profitable in the long term.
In the case of Dono Company, their sales incentives might be contributing to falling profits despite growing sales. The company’s controller provided information on last year's sales to two customers, A and B. Customer A made a purchase worth $10,000 with a 10% discount, whereas customer B made a purchase worth $7,000 with a 5% discount. In the short term, sales incentives such as discounts may increase sales. However, they may not be profitable in the long run as it may lead to a decrease in the profit margin. This is because the profit margin is the difference between the selling price and the cost of the product. When discounts are offered, the selling price reduces, which reduces the profit margin. The controller of Dono Company should evaluate the profitability of their sales incentives. Instead of offering discounts, the company could offer other incentives such as free shipping or bundling products. This would attract more customers and increase sales while maintaining the profit margin. It is important to understand that the aim of a business is to make a profit, and therefore, sales incentives should be designed in a way that they lead to an increase in sales and profitability.
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