Assets Current assets Cash Accounts receivable Inventory Total 2020 Total assets SMOLIRA GOLF CORPORATION 2020 and 2021 Balance Sheets 2021 $36,085 $39,400 29,296 43,312 $112,008 18,651 4,120 $ 58,856

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Answer 1

The answer to this question is:Cash and accounts receivable are examples of current assets. The assets listed in the table are all current assets except for "Total assets."

Current assets are items that a business may convert to cash within one year of the balance sheet date. Cash and cash equivalents, accounts receivable, inventory, and prepaid expenses are all examples of current assets.What is cash?Cash is the most liquid of all assets because it can be used to buy other assets. Cash equivalents such as bank accounts, marketable securities, commercial paper, and short-term government bonds can be used to purchase other assets as well.

Cash equivalents are defined as investments with a maturity of three months or less at the time of purchase. In general, cash and cash equivalents are highly liquid assets that can be converted into cash with minimal transaction costs.What are accounts receivable?Accounts receivable are amounts owed to a business by customers who have purchased goods or services but have yet to pay for them. Accounts receivable are included in current assets because they are expected to be collected within a year of the balance sheet date.

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Related Questions

answer case study questions respectively
research on the case study of W.W. Grainger and answer the questions
得分 6. Case study (25points) In the case of W.W. Grainger(P27), 1)What products should W.W. Grainger carry at a store? 2) What products should W.W. Grainger carry at DC? Why? 3) How should Web orde

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In the case study of W.W. Grainger, the following products are recommended for each of their stores and distribution centers (DC):

1) Products that W.W. Grainger should carry at a store: W.W. Grainger should carry products that are in high demand or have an urgent need and require immediate attention by the customers, especially if they need to take advantage of the local expertise and convenience of the brick and mortar stores. In addition to this, they should also carry products with short lead times and low product weight for lower handling costs. Moreover, the products should be in the higher margin product lines to maximize the profitability of the retail store.

2) Products that W.W. Grainger should carry at DC:W.W. Grainger should carry products that are slow-moving and bulky, have a long lead time, and heavy, and are difficult to transport. These products require more storage space and are easier to manage at the distribution centers. Furthermore, by carrying these products at DC, Grainger can take advantage of economies of scale, leading to lower inventory costs and better utilization of space. They can also carry these products at lower margin product lines since they do not require local expertise and direct customer service.

3) How should Web orders be fulfilled? W.W. Grainger should provide multiple fulfillment options for web orders, including the option to ship the products to the customer's home, business, or the nearest retail store. Customers should be able to see product availability and estimated delivery times on the website, so they can make an informed decision when placing an order. Additionally, Grainger should offer customers the option to pick up their web orders at a retail store. By doing this, Grainger can take advantage of its brick-and-mortar stores' infrastructure and expertise while providing a convenient, low-cost fulfillment option for customers.

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QUESTION 18 The market model of competition requires price taking behavior by many buyers and sellers. O True O False QUESTION 19 Globalization benefits all trading nations equally and fairly in the short run and the long run.
O True O False

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It is inaccurate to say that globalization benefits all trading nations equally and fairly in the short run and the long run.

Question 18: The market model of competition requires price-taking behavior by many buyers and sellers. This statement is true in economics. It refers to the condition in which the prevailing price is beyond the control of any single seller or buyer.

The market sets the price instead of any one entity. A price-taking firm or entity is a small producer or consumer in a particular market. These firms cannot set their own prices. Instead, they must accept the market price that prevails. In a perfectly competitive market, no individual buyer or seller can affect the market price, so all are forced to take the price that the market sets. This, therefore, requires price taking behavior by many buyers and sellers.

Question 19: Globalization benefits all trading nations equally and fairly in the short run and the long run. This statement is false. Although globalization has many benefits, it does not benefit all trading nations equally and fairly in the short run or long run. The benefits of globalization include increasing the flow of goods and services across borders, creating jobs, and reducing poverty.

However, many countries are not able to benefit from globalization because of their size, location, and economic structure. Some countries may become too dependent on a few key exports or vulnerable to economic crises. Others may lose their jobs and industries as global competition forces companies to relocate or downsize. Therefore, it is inaccurate to say that globalization benefits all trading nations equally and fairly in the short run and the long run.

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Which of the following named beneficiaries would not be able to receive the death benefit directly from the insurer in the event of the insured's death?
A) William, Jr., minor son of the insured
B) Fred, a business partner of the insured
C) Flossie, the present wife of the deceased
D) Wilma, the former wife of the decease

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The named beneficiary who would not be able to receive the death benefit directly from the insurer in the event of the insured's death is the option B) Fred, a business partner of the insured.What is beneficiary?A beneficiary is a person who is entitled to receive benefits from a specific policy or contract in the event of the insured's death. The insurance policy owner determines the beneficiary. Insurance policy beneficiaries can be one or more people, charities, or organizations.

What is death benefit?A death benefit is a payment made by an insurance company to a beneficiary upon the death of the insured. The payout is made according to the policy's terms and conditions. The policy's owner determines the beneficiary who will receive the benefit. The proceeds can be used to pay for a wide range of expenses, including funeral costs, outstanding debt, and medical bills. The death benefit is often tax-free.Insurance policies are contracts between the policyholder and the insurance provider.

The contract specifies the beneficiaries who will receive the death benefit upon the insured's death. Beneficiaries are classified into two categories: primary and contingent. Primary beneficiaries are the first to receive benefits, while contingent beneficiaries receive benefits only if the primary beneficiaries are unable to receive them.

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Corporate social responsibility (csr) is based on the belief that businesses should be concerned with the welfare of and not only of their owners.

a. true
b. false

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Corporate social responsibility (CSR) is the belief that corporations should be accountable for the well-being of society, in addition to their owners. This is generally accomplished by supporting social causes, reducing negative social and environmental impacts organizations.

With this in mind, the main answer to the question is true .Here is a long answer explaining why the answer is true Corporate social responsibility (CSR) is a term used to describe a company's efforts to be responsible for the well-being of the environment and society. It is an approach that businesses use to improve their impact on society and the environment while still earning a profit. Companies that exercise CSR ensure that their decisions and actions take into account the interests of stakeholders such as employees, customers, suppliers, investors, and the broader community. Corporate social responsibility (CSR) is based on the belief that companies should be accountable not only to their owners but also to society at large.

In other words, it's a way for companies to give back to the community that they operate in. When companies become responsible, they earn the trust of their stakeholders and are more likely to gain a competitive advantage. CSR programs can take many forms, such as ethical labor practices, environmental protection, philanthropy, and community engagement. Some companies make significant donations to charitable organizations that work to make the world a better place. Others work to reduce the environmental impact of their operations by using sustainable practices. There is no one-size-fits-all approach to CSR because each company has its own values and priorities. Nonetheless, the are essence of corporate social responsibility is to balance economic prosperity with social and environmental are the responsibility.

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"If a compensation system works well for one business, that same compensation system should also work well for other businesses." Explain whether this statement is true. 4 2. Explain why it is important to understand which managerial strategy a firm is practicing before designing a compensation system for that firm. 3. Give your opinion about recent trends in compensation practices taking place in North America and explain what may be causing those trends.

Answers

1. The statement "If a compensation system works well for one business, that same compensation system should also work well for other businesses" is false.

The compensation system is specific to the business and industry, so what works well for one company may not work well for another. The compensation system must align with the company's culture, goals, objectives, and strategies, as well as its industry.

2. Understanding the managerial strategy a firm is practicing is essential when designing a compensation system for that firm because it allows the compensation system to be aligned with the company's goals and objectives.

The compensation system should be designed to support the company's culture and strategy, and it must also be competitive with other companies in the same industry to attract and retain the best talent.

3. Recent trends in compensation practices taking place in North America include the use of performance-based pay, flexible benefits, and more work-life balance options. This is due to the increased competition for talent, and companies are recognizing the need to offer attractive compensation packages to retain their employees.

Additionally, with the rise of remote work, companies are offering more flexibility in work arrangements to support their employees' needs.

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Critically differentiate between shareholder and stakeholder
models of governance in organizations? How does each affect
strategy? Illustrate your answer with examples.

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The shareholder and stakeholder models of governance represent different perspectives on the purpose and focus of organizations. Here's a critical differentiation between the two models and their impact on strategy:

Shareholder Model:

Focus: The shareholder model primarily emphasizes maximizing shareholder wealth and returns on investment. It places the interests of shareholders (owners of the company) at the center of decision-making.

Scope: Shareholders are considered the primary stakeholders, and decisions are primarily driven by financial performance indicators, such as profitability and shareholder value.

Impact on Strategy: Under the shareholder model, strategy often prioritizes short-term financial gains and focuses on increasing shareholder value. Decisions may prioritize cost-cutting, maximizing profits, and delivering returns to shareholders. For example, a company may implement aggressive cost reduction measures, such as layoffs or reducing investment in long-term projects, to boost short-term financial performance and meet shareholder expectations.

Stakeholder Model:

Focus: The stakeholder model recognizes that organizations have a broader set of stakeholders, including employees, customers, suppliers, local communities, and society at large. It acknowledges the importance of considering their interests and balancing their needs.

Scope: Stakeholders encompass a wider range of individuals or groups who are impacted by or have an impact on the organization's activities and outcomes.

Impact on Strategy: The stakeholder model takes a more long-term and holistic perspective on strategy. It seeks to create value for all stakeholders and considers their diverse interests. Strategic decisions aim to balance the needs and expectations of various stakeholders, such as ensuring fair treatment of employees, providing quality products or services to customers, maintaining good relationships with suppliers, and being socially responsible. For instance, a company may invest in employee training and development programs, sustainable business practices, or community engagement initiatives to enhance its reputation and build long-term relationships with stakeholders.

Illustrative Example:

Consider a manufacturing company that is facing a decision on whether to outsource production to a low-cost country. Under the shareholder model, the primary focus would be on reducing costs and maximizing profits, potentially leading to outsourcing to cut labor expenses. This decision may result in job losses for employees and potential negative impacts on the local community. In contrast, the stakeholder model would consider the interests of all stakeholders. The company would evaluate not only financial considerations but also the potential effects on employees, suppliers, local communities, and the broader societal impact. The decision may involve weighing the potential cost savings against the social impact and the long-term sustainability of the business.

Overall, while the shareholder model prioritizes the interests of shareholders, the stakeholder model recognizes the broader impact and importance of considering the needs and expectations of multiple stakeholders. The choice of governance model significantly influences the strategic decisions made by an organization, shaping its approach to value creation and sustainability.

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Project Management
Why estimating time and cost is important to the project.
What you think is difficult about estimating the project times.
What you think is difficult about estimating the project costs. Explain why you think this is difficult.

Answers

Estimating time and cost are important in project management because it helps to plan and budget for the project properly.

Estimating project time is challenging because the project manager needs to consider all the tasks that need to be completed, assign the tasks to team members, and estimate the time required to complete each task. Inaccurate estimation of project time can cause delays and disruption in project delivery, leading to an increase in project cost.

Estimating project cost is difficult because there are many variables that affect the project cost. Project managers need to consider various costs such as direct costs, indirect costs, and overheads. They also need to consider the time taken to complete the project, resources required, and the cost of any unforeseen events

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You work in a business consulting company as an executive secretary; after signing your work contract, your manager asks you to work on tasks that are not related to the company you are working for. These tasks are actually related to more than five external commercial companies. On top of that, your manager orders you to write letters to each of these five companies stating your employment as their secretary. According to the labor law, in your case, you must receive a separate monthly salary from each company. However, one month after doing the extra work, you find out that you have received only one salary. You are shocked, you feel used, and are not satisfied with what your manager has done. However, being a loyal and committed employee, you are confused what to do.
Identify the Ethical dilemma in the above case. (2 points)
Which type of conflict (truth vs loyalty, short term vs long term, justice vs mercy, or individual vs community) is this ethical dilemma? Explain why you think so. (2 points)
Identify which stakeholder would be directly impacted in this case? Explain why. (1 points)
Which rule would you use to solve the dilemma, greater good or golden rule? State why. (2 points)
Which department is directly responsible for the dilemma? State why. (1.5 points)
Solve the dilemma in the above case using the 3 steps method: (1.5 points)
- analyze the consequences
- analyze your actions
- make a decision
Note: This is an ethics question. and I need short answers only. and explain your answer.

Answers

The ethical dilemma, in this case, is the manager assigning tasks unrelated to the company and requesting false representation.

The type of conflict in this ethical dilemma is truth vs loyalty. The employee feels torn between being loyal to the company and following the manager's orders, while also recognizing the truth that the manager's actions are unethical.

The stakeholder directly impacted in this case is the employee. They are the one who has been assigned tasks outside of their job description and have not received the separate salaries as promised.

To solve the dilemma, the golden rule should be used. Treating others as you would like to be treated would lead to an ethical decision in this case, as the employee would not want to be deceived or exploited.

The department directly responsible for the dilemma is the management or leadership department. The manager is the one who assigned unrelated tasks and instructed the employee to write false letters, which caused the ethical dilemma. Analyzing the consequences, the employee could face legal and ethical consequences if they continue to participate in the manager's actions. Analyzing their actions, the employee should prioritize honesty, integrity, and adherence to the labor law. The decision should be to refuse to engage in unethical activities, communicate concerns to higher management or HR, and seek guidance on the appropriate course of action.

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Use the concept of the MRP to solve the following: Assume that workers know their MRP (marginal revenue product). However, the firms cannot distinguish between high skilled and low skilled workers LOW SKILLED WORKERS MRP = $100.00 AN HOUR; THEIR OPPORTUNITY COST IS = $80.00 AN HOUR HIGH SKILLED WORKERS MRP = $200.00 AN HOUR; THEIR OPPORTUNITY COST = $130.00 AN HOUR Predict the equilibrium wage in the labor market, given that each firm takes the price as given (wage rates below) and earns zero (0) economic profit. Wage per hour A) wage 90 B) wage 100 C) wage 140 D) wage 150 E) wage 170 F) wage 130 G) wage 160 H) wage 120 1) wage 145 J) wage115

Answers

The equilibrium wage in the labor market, given the provided MRP values and opportunity costs, would be $130.00 per hour (Option F).

In a competitive labor market, firms hire workers up to the point where the wage equals the workers' marginal revenue product (MRP). Since the firms cannot distinguish between high-skilled and low-skilled workers, they will base their hiring decisions solely on the workers' MRP.

For low-skilled workers, their MRP is $100.00 per hour, which means firms are willing to pay up to that amount to hire them. However, the opportunity cost for low-skilled workers is $80.00 per hour, indicating that they would be willing to work for a wage lower than their MRP.

On the other hand, highly skilled workers have an MRP of $200.00 per hour and an opportunity cost of $130.00 per hour. In this case, their opportunity cost is higher than their MRP, indicating that they would require a wage equal to or higher than $130.00 per hour.

To ensure zero economic profit, firms will be willing to hire both low-skilled and high-skilled workers at the same wage. The wage of $130.00 per hour (Option F) allows both types of workers to be employed while ensuring firms do not earn an economic profit.

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Explore why a business operation may need to consult with a lawyer. Create a realistic scenario and creative example that shows at least three ways a lawyer would be needed to advise a client or represent them in some way, based on a business setting. The scenario could take place anywhere in the world, or even all around it.

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Businesses often encounter legal problems that need to be resolved by seeking help from lawyers. The use of a lawyer may be necessary in various ways, including representation in legal issues and advisory services.

Here are three ways that businesses may need the services of lawyers.1. Contractual and Regulatory Compliance Issues Lawyers can be hired to assist businesses in complying with all the rules and regulations set by the state, federal or international government to ensure that their operations run smoothly without breaking any laws.

A lawyer can be hired to draft and review contractual documents. They can provide legal advice on the legal implication of signing particular contracts and other legal documents. 2. Intellectual Property Issues Businesses may require the services of a lawyer to represent them when intellectual property disputes arise.

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Norma owns and operates an accounting business as a sole
proprietor. She purchased several computers at a cost of $9,000 for
use in her business. Her business produced $120,000 of net income.
Assume t

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(A) Norma can deduct the cost of the computers as a business expense on her tax return.  (B) By depreciating the computers, Norma will allocate a portion of their cost as an expense each year.

(A) The computers are considered a capital expenditure because they are a significant purchase with a useful life that extends beyond the current tax year. Instead of deducting the entire $9,000 in the year of purchase, Norma will need to depreciate the computers over their useful life.

The IRS provides guidelines for depreciating business assets, and Norma can choose a depreciation method that suits her needs. One commonly used method is the Modified Accelerated Cost Recovery System (MACRS). MACRS allows for a specific depreciation schedule based on the asset's class life and the method chosen (e.g., the 5-year property class).

(B) This depreciation expense will reduce her taxable income, resulting in a lower tax liability. The amount of depreciation deducted each year will depend on the depreciation method chosen and the useful life of the computers.

It's important to note that the specific details of Norma's tax situation may vary, and it's advisable for her to consult with a tax professional or accountant who can provide personalized advice based on her circumstances.

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Note- The complete question is "Norma owns and operates an accounting business as a sole proprietor. She purchased several computers at a cost of $9,000 for use in her business. Her business produced $120,000 of net income. Norma wants to know how she can deduct the cost of the computers and how it will affect her net income for tax purposes. "

Explanation of the need that this product fulfills as it relates to specific target market. Is it a ""Me Too"" imitator? How is it different from other product brands in the. This should also include the product positioning.

Answers

A product fulfilling the needs of the target marketThere are a lot of factors that need to be considered when a new product is being launched. The foremost among them is how the product fulfills the needs of its target market and what makes it stand out from the competitors in the market.

There are a lot of companies out there that produce "Me Too" products that are identical to those of their competitors. For a product to be successful, it needs to have certain unique features that make it stand out from the rest. This not only makes it easier to market, but it also helps to build a loyal customer base that values the uniqueness of the product. A product's positioning is also essential in ensuring its success in the market.Product positioning refers to the way in which a product is marketed to its target market. It is all about creating a unique image for the product that makes it stand out from the rest.

This could be achieved by highlighting the product's unique features, its high-quality standards, or its value for money proposition. The idea is to create a distinct image for the product that sets it apart from its competitors. A product's positioning could be based on its quality, price, design, packaging, or any other feature that is unique to the product.Finally, it is important to understand the needs of the target market. This involves understanding their preferences, their purchasing behavior, and their lifestyles. A product that fulfills the needs of its target market has a much higher chance of success in the market than one that does not. The product needs to be designed in such a way that it appeals to its target market.

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Attempts Score/1 4. Chapter MC. Section 4. Problem 061 Alge Your friend offers to pay you an annuity of $4,000 at the end of each year for 3 years in return for cash today. You could eare 5.5% on your money in other investments with equal risk. What is the most you should pay for the annuty Select the correct answer Ca. $10,794.93 Ob. $10,798.13 Cc. $10,788.53 Cd. $10,001.33 Oe. $10,791.73

Answers

The most you should pay for the annuity is approximately $10,794.93. The correct answer is option A: $10,794.93.

To calculate the maximum amount you should pay for the annuity, we can use the formula for the present value of an annuity:

[tex]PV = PMT * [(1 - (1 + r)^{-n}) / r],[/tex]

where PV is the present value, PMT is the annuity payment, r is the interest rate (expressed as a decimal), and n is the number of periods.

Plugging in the given values, we have:

PMT = $4,000

r = 5.5% = 0.055

n = 3

[tex]PV = $4,000 * [(1 - (1 + 0.055)^{-3}) / 0.055][/tex]

Performing the calculations, we find:

PV ≈ $10,794.93

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a) Describe why investors select to invest in hedge funds?
b) Describe the differences between a hedge fund and a venture capital fund c) How can an investor gain exposure to real estate? What are the benefits of each method?

Answers

a) Investors choose to invest in hedge funds for potential high returns, portfolio diversification, and access to sophisticated investment strategies. Hedge funds employ various strategies and have flexibility in pursuing investment opportunities. They target high-net-worth individuals and institutional investors, often with high minimum investment requirements.

b)Hedge funds differ from venture capital (VC) funds in several aspects. Hedge funds aim to generate absolute returns through diverse strategies, while VC funds focus on investing in early-stage companies. Hedge funds have periodic liquidity provisions and charge management and performance fees, while VC funds have illiquid investments with longer investment horizons and charge management fees and carried interest.

c) To gain exposure to real estate, investors can choose various methods. Direct ownership allows for control over properties but requires significant capital and active management. Real estate investment trusts (REITs) offer indirect exposure to real estate, dividends from rental income, and liquidity through stock exchanges. Real estate mutual funds or ETFs provide diversification and professional management. Real estate crowdfunding platforms allow investors to pool funds for specific real estate investments. Each method has its benefits and considerations in terms of control, liquidity, and management involvement.

a) Investors select to invest in hedge funds due to the following reasons:

Hedge funds use different types of strategies for generating returns, including strategies that are unavailable to traditional investment products.

Hedge funds have a higher expected return potential than conventional investment products. They also provide diversification to an investor's portfolio.

Venture capital funds, for example, focus on start-ups and early-stage companies, while private equity funds typically invest in established businesses.

b) Differences between a hedge fund and a venture capital fund:

Hedge funds and venture capital funds are different in many ways, but the most significant distinction is in their investment objectives.

Hedge funds aim to produce absolute returns over a specified period and use a variety of strategies to do so, including short selling, leveraging, and derivatives.

Venture capital funds invest in businesses that are in their initial stages of growth and that have high growth potential.

c) Methods of gaining exposure to real estate and their advantages:

Investing in real estate assets provides investors with several ways to gain exposure to this asset class. Real estate investment trusts (REITs), real estate mutual funds, and real estate partnerships are the three most popular methods.

REITs are one of the most convenient ways to gain exposure to the real estate market, with lower expenses, higher liquidity, and no minimum investment amount required.

Real estate mutual funds, on the other hand, are another way to gain exposure to the real estate market. They pool resources from various investors to purchase a diversified range of real estate assets and debt.

Real estate partnerships are another way to gain exposure to the asset class. This type of partnership is a pool of capital created by a group of investors to purchase, develop, and/or manage real estate assets.

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Use the following data to calculate GDP:
consumption = $4000;
gross investment = $1200;
government purchases = $1000;
net exports = –$80;
transfer payments = $680
a. GDP = 6280
b. GDP = 5440
c. GDP = 6120
d. GDP = 6800

Answers

To calculate GDP (Gross Domestic Product) using the given data, we need to sum up the following components:

GDP = Consumption + Gross Investment + Government Purchases + Net Exports

Given:

Consumption = $4000

Gross Investment = $1200

Government Purchases = $1000

Net Exports = –$80

Substituting the values:

GDP = $4000 + $1200 + $1000 + (–$80)

GDP = $4000 + $1200 + $1000 – $80

GDP = $6200 – $80

GDP = $6120

Therefore, the correct answer is:

c. GDP = $6120

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Shown are selected data from a recent annual report of CVS Health, a large drugstore chain. (Dollar amounts are in millions.) Beginning of the Year End of the Year Total assets $ 94,462 $ 95,131 Total stockholders' equity 36,834 37,695 Operating income 9,517 Net income 6,623 a. Compute for the year CVS Health's return on average total assets. b. Compute for the year CVS Health’s return on average total stockholders’ equity. (Do not round intermediate calculations. Round your percentage answers to 2 decimal places. i.e. 0.1234 as 12.34%.)

a.Return on assets%

b.Return on equity%

please make sure you round correctly

Selected information from the financial statements of Remmer, Inc., includes the following. Year 2 Year 1
Net sales $ 2,200,000 $ 2,000,000
Total expenses 2,005,000 1,800,000
a-1. Compute the percentage change in year 2 for the amounts of net sales.

a-2. Compute the percentage change in year 2 for the amounts of total expenses.

b-1. State whether the following statement is true or false; Net income increased at a greater percentage rate than did net sales.

Req A-1 Compute the percentage change in year 2 for the amounts of net sales.

Percentage change for net sales %
Req-A2

Percentage change for total expenses %

Answers

a. CVS Health's return on average total assets for the year is approximately 6.99%.

b. CVS Health's return on average total stockholders' equity for the year is approximately 17.77%.

a-1. The percentage change in net sales for Year 2 is approximately 10.00%.

a-2. The percentage change in total expenses for Year 2 is approximately 11.39%.

b-1. The statement "Net income increased at a greater percentage rate than did net sales" cannot be determined from the given information.

a. To compute CVS Health's return on average total assets, we need the average total assets for the year. The average total assets can be calculated by adding the beginning and end of the year total assets and dividing it by 2.

Average Total Assets = (Beginning of the Year Total Assets + End of the Year Total Assets) / 2

Average Total Assets = ($94,462 + $95,131) / 2

Average Total Assets = $94,796.5

Return on Average Total Assets = (Net Income / Average Total Assets) * 100

Return on Average Total Assets = ($6,623 / $94,796.5) * 100

Return on Average Total Assets ≈ 6.99%

b. To compute CVS Health's return on average total stockholders' equity, we need the average total stockholders' equity for the year. The average total stockholders' equity can be calculated by adding the beginning and end of the year total stockholders' equity and dividing it by 2.

Average Total Stockholders' Equity = (Beginning of the Year Total Stockholders' Equity + End of the Year Total Stockholders' Equity) / 2

Average Total Stockholders' Equity = ($36,834 + $37,695) / 2

Average Total Stockholders' Equity = $37,264.5

Return on Average Total Stockholders' Equity = (Net Income / Average Total Stockholders' Equity) * 100

Return on Average Total Stockholders' Equity = ($6,623 / $37,264.5) * 100

Return on Average Total Stockholders' Equity ≈ 17.77%

a-1. Percentage change in net sales for Year 2:

Percentage Change = ((Year 2 Net Sales - Year 1 Net Sales) / Year 1 Net Sales) * 100

Percentage Change = (($2,200,000 - $2,000,000) / $2,000,000) * 100

Percentage Change ≈ 10.00%

a-2. Percentage change in total expenses for Year 2:

Percentage Change = ((Year 2 Total Expenses - Year 1 Total Expenses) / Year 1 Total Expenses) * 100

Percentage Change = (($2,005,000 - $1,800,000) / $1,800,000) * 100

Percentage Change ≈ 11.39%

b-1. The statement "Net income increased at a greater percentage rate than did net sales" cannot be determined from the information provided.

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Maslow’s hierarchy of needs has at the top the "Self-actualisation need", and according to him this is the highest of the requirements, and describes self-actualised workers as:

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Maslow's hierarchy of needs has self-actualization need at the top and describes self-actualized workers as workers who have fully achieved their potential and can get more satisfaction from their work than just a paycheck. Let's delve deeper into this.Maslow's hierarchy of needs is a theory that explains human motivation.

Maslow's hierarchy of needs is a five-level model that explains human needs in order of their importance. Each level has a specific set of needs that must be met before a person can move on to the next level. In this hierarchy of needs, self-actualization need is the highest. It is defined as the desire to achieve one's full potential and be the best that one can be.Self-actualized workers are individuals who have realized their full potential and can get more satisfaction from their work than just a paycheck.

They are motivated by a desire to be creative, solve problems, and work on projects that challenge them. Self-actualized workers are driven by internal factors such as personal growth, fulfillment, and self-expression rather than external factors such as salary or benefits.These workers are characterized by the following qualities:They are confident in their abilities and are not afraid to take risks. They have a sense of purpose and direction in their lives. They have a strong sense of creativity and enjoy working on projects that challenge them. They are independent thinkers who are not afraid to challenge the status quo. They have a strong sense of ethics and are committed to making a difference in the world. In conclusion, self-actualized workers have fully realized their potential and are motivated by a desire to be creative, solve problems, and work on projects that challenge them.

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Which section would the sale of a building be found? O Investing Operating Financing

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The sale of a building would typically be recorded in the Investing section of a company's financial statements.

Financial statements are organized into three main sections: Investing, Operating, and Financing. Each section represents different activities of a business. The Investing section focuses on the purchase and sale of long-term assets, such as buildings, equipment, and investments in other companies. It includes cash flows related to the acquisition and disposal of these assets. The sale of a building would fall under this category as it involves the disposal of a long-term asset.

On the other hand, the Operating section of the financial statements deals with the day-to-day operations of the business, including revenue generation, expenses, and income from regular business activities. It encompasses cash flows related to sales of goods or services, payments to suppliers, and other operating expenses. The Financing section captures activities related to raising capital and managing the company's financial structure. It includes cash flows from activities such as borrowing money, issuing stocks or bonds, and making dividend payments.

Since the sale of a building represents a capital transaction involving a long-term asset, it is appropriately classified under the Investing section. This section provides a clear view of the company's investment activities and the impact of such transactions on its financial position.

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A Treasury bond that matures in 10 years has a yield of 4.50%. A 10-year corporate boed has a yield of 8.25%. Assume that the laty premium on the corre bond is 0.65%. What is the default risk premium on the corporate bond? Round your answer to the decimal places

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If a 10-year corporate bond has a yield of 8.25% then the default risk premium on the corporate bond is 3.75%.

Treasury bonds are fixed-income securities that are issued by the United States Treasury Department with maturity dates ranging from a few months to 30 years.

Treasury bonds are considered to be among the safest investments because they are backed by the United States government, which is considered to be the safest and most creditworthy borrower in the world.

A corporate bond is a debt security issued by a corporation to raise money. The issuer of the bond promises to pay the bondholder a specified amount of interest for a specified period of time and then return the principal amount of the bond when it matures.

The default risk premium on the corporate bond is calculated as follows:

Corporate bond yield - Treasury bond yield = Default risk premium

Default risk premium = 8.25% - 4.50% = 3.75%

Since the current market situation is such that the market views the risk of default on corporate bonds to be greater than the risk of default on Treasury bonds, the yield on corporate bonds is higher than the yield on Treasury bonds.

However, some of the difference in yields between corporate bonds and Treasury bonds is due to the fact that corporate bonds are generally less liquid and less marketable than Treasury bonds, which makes them more expensive to trade. Therefore, an additional liquidity premium is included in the yield on corporate bonds.

The liquidity premium is generally estimated to be between 0.25% and 1.25%.In this problem, the yield premium on the corporate bond due to its lower credit rating is 3.75%.

However, this is not the total yield premium because it does not include the liquidity premium. The liquidity premium is estimated to be 0.65%.

Therefore, the total yield premium on the corporate bond is 3.75% + 0.65% = 4.40%.

Finally, to calculate the default risk premium on the corporate bond, we subtract the liquidity premium from the total yield premium:

Default risk premium = Total yield premium - Liquidity premium

Default risk premium = 4.40% - 0.65% = 3.75%

Thus, the default risk premium on the corporate bond is 3.75%.

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You purchased a newly issued bond with 30 years to maturity, 4.75 percent coupon rate with annual coupon payments, and a face value of $1,000 one year ago. When you made the purchase, your required return on the bond was 5.25 percent. Today, you sold the bond after you received the latest coupon payment. If the required return on this bond was 4.25 percent when you sold it, how many percent was your annual holding period return from the bond investment? Round your
answer to two decimal places.

Answers

The annual holding period return from the bond investment was 10.51%.

Maturity in bonds refers to the total time it takes to reach the date of maturity when the bond issuer pays the bondholder the face value of the bond.

For instance, if the bond has a maturity date of 30 years, it implies that the bondholder will receive the principal amount after 30 years from the purchase date.

One year ago, an investor purchased a newly issued bond with a maturity of 30 years. The bond has a coupon rate of 4.75 percent, with annual coupon payments, and a face value of $1,000.

When the bond was bought, the required return was 5.25 percent.

Now, the bond was sold after the latest coupon payment and the required return is 4.25 percent.

The annual holding period return from the bond investment is to be determined.

To begin with, calculate the coupon payment of the bond as follows;

Coupon payment = Coupon rate x Face value of the bond = 4.75% x $1,000 = $47.50

The bondholder received one coupon payment since the bond was held for one year.

Thus, the bondholder received a $47.50 coupon payment.

Next, determine the selling price of the bond at the required return of 4.25 percent as follows:

Selling price = Coupon payment / (1 + required return) + Coupon payment / (1 + required return)2 + Coupon payment / (1 + required return)3 + … + Face value of the bond / (1 + required return)n

Selling price = $47.50 / 1.0425 + $47.50 / (1.0425)2 + $47.50 / (1.0425)3 + … + $1,000 / (1.0425)30

Applying the formula for calculating the present value of an annuity,

PV = (C/r) x (1 - (1 + r)^-n)

where C = coupon payment, r = discount rate, n = number of periods, we get;

Selling price = $47.50 x [(1 - 1/1.0425^30) / 0.0425] + $1,000 / (1.0425)30

Selling price = $1,197.55

Therefore, the annual holding period return from the bond investment is calculated as follows:

Annual holding period return = [(Selling price / Purchase price)1/n - 1] x 100%

Here, the variable "n" represents the duration in years for which the bond has been held.

In this context, the phrase "where n is the number of years the bond was held" can be rephrased as follows:.

Purchase price of the bond is the price paid when the bond was purchased a year ago.

It can be determined as follows:

Purchase price = Coupon payment / (1 + required return) + Coupon payment / (1 + required return)2 + Coupon payment / (1 + required return)3 + … + Face value of the bond / (1 + required return)n

Purchase price = $47.50 / 1.0525 + $47.50 / (1.0525)2 + $47.50 / (1.0525)3 + … + $1,000 / (1.0525)30

Purchase price = $1,090.12

Substituting the values,Annual holding period return = [(1,197.55 / 1,090.12)1/1 - 1] x 100%

Annual holding period return = 10.51%

Therefore, the annual holding period return from the bond investment was 10.51%.

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When there are 2 servers with multiple queues with arrival rate=2, and service rate=3, what is the average waiting time under assumptions of M/M/1?
When there are 2 servers with a single queue length with arrival rate=4, and service rate=3, what is the average waiting time under assumptions of M/M/2?
Determine if a single waiting line is better than the multiple queue case

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The average waiting time in the M/M/1 queueing system is 1.71 units and the average waiting time in the M/M/2 queueing system is 4 units.  

In the M/M/1 queueing system with two servers and multiple queues, where the arrival rate is 2 and the service rate is 3, we can calculate the average waiting time using the following formula

Average Waiting Time (W) = (1 / (µ - λ)) * (ρ / (1 - ρ))

where:

λ = arrival rate

µ = service rate

ρ = λ / µ (traffic intensity)

In this case, the arrival rate (λ) is 2 and the service rate (µ) is 3. Therefore, ρ = λ / µ = 2 / 3.

Plugging these values into the formula, we get:

W = (1 / (3 - 2)) * ((2 / 3) / (1 - (2 / 3)))

= (1 / 1) * (2 / (3 - 2 / 3))

= 2 * (2 / (3 - 2 / 3))

= 2 * (2 / (3 - 2 / 3))

= 2 * (2 / (9 / 3 - 2 / 3))

= 2 * (2 / (7 / 3))

= 2 * (2 * 3 / 7)

= 12 / 7

≈ 1.71

Therefore, the average waiting time in the M/M/1 queueing system with two servers and multiple queues is approximately 1.71 units.

Now, let's consider the M/M/2 queueing system with two servers and a single queue length, where the arrival rate is 4 and the service rate is 3.

In this case, we can use the formula:

W = (1 / (µ - λ)) * (ρ / (1 - ρ))

The arrival rate (λ) is 4 and the service rate (µ) is 3. Therefore, ρ = λ / µ = 4 / 3.

Plugging these values into the formula, we get:

W = (1 / (3 - 4)) * ((4 / 3) / (1 - (4 / 3)))

= (1 / (-1)) * ((4 / 3) / (1 - (4 / 3)))

= (-1) * ((4 / 3) / (1 - (4 / 3)))

= (-1) * ((4 / 3) / (1 - (4 / 3)))

= (-1) * ((4 / 3) / (-1 / 3))

= (-1) * ((4 / 3) * (-3 / 1))

= 4

Therefore, the average waiting time in the M/M/2 queueing system with two servers and a single queue length is 4 units.

To determine if a single waiting line is better than the multiple queue case, we compare the average waiting times. In the M/M/1 queueing system, the average waiting time is approximately 1.71 units, while in the M/M/2 queueing system, the average waiting time is 4 units.

Since the average waiting time is lower in the M/M/1 system, it suggests that a single waiting line is better than the multiple queue case in terms of reducing waiting times.

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What is the value of a building that is expected to generate fixed annual cash flows of $3,949.00 every year for a certain amount of time if the first annual cash flow is expected in 6 years and the last annual cash flow is expected in 13 years and the appropriate discount rate is 18.80 percent? a)$5234.64 (plus or minus $10) b)$6218.75 (plus or minus $10) c) $6639.35 (plus or minus $10) d) $5588.68 (plus or minus $10) e) None of the above is within $10 of the correct answer

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The value of the building, expected to generate fixed annual cash flows of $3,949.00 every year for a certain period, with the first cash flow in 6 years and the last cash flow in 13 years, can be calculated using the present value formula and the appropriate discount rate.

The correct answer is (c) $6639.35 (plus or minus $10).

To calculate the present value of the cash flows, we need to discount each cash flow back to its present value using the appropriate discount rate of 18.80 percent. The formula for calculating the present value is:

PV = CF₁ / (1 + r)¹ + CF₂ / (1 + r)² + ... + CFₙ / (1 + r)ⁿ

Where:

PV is the present value of the cash flows,

CF₁, CF₂, ..., CFₙ are the cash flows in each respective year,

r is the discount rate, and

¹, ², ..., ⁿ represents the respective year.

Substituting the values into the formula:

PV = $3,949 / (1 + 0.1880)⁶ + $3,949 / (1 + 0.1880)⁷ + ... + $3,949 / (1 + 0.1880)¹³

Using a financial calculator or spreadsheet, we can calculate the present value to be approximately $6639.35.

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Celestial Crane Cosmetics's weighted average cost of capital is 8%, and project Beta has the same risk as the firm's average project. Based on the cash flows, what is project Beta's NPV? $1,346,796 -$1,403,204 -$928,204 -$4,153,204

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NPV (Net Present Value) represents the difference between the present value of cash inflows and the present value of cash outflows over a period of time.

It's important to note that the WACC (Weighted Average Cost of Capital) represents the minimum rate of return at which the company generates value. Now, let's discuss the solution to the given problem below. Project Beta's NPV will be determined based on the cash flows. The formula for calculating the Net Present Value (NPV) of a project is as follows: NPV = ∑ (Cash Flow / (1+ r) t), where r is the WACC, and t is the time in years. For calculating NPV, we need to know the cash flows. Hence, let us calculate the cash flows first.Cash Flows= Total cash inflows - Total cash outflows= $50,000 - $20,000 - $30,000= $0Now, we know the cash flows. We can calculate NPV using the formula mentioned above. NPV = ∑ (Cash Flow / (1+ r) t)NPV = $0 / (1 + 0.08)¹ = $0 / 1.08 = $0Therefore, Project Beta's NPV is $0 because the sum of the present value of cash inflows equals the sum of the present value of cash outflows. Therefore, the option that represents Project Beta's NPV is -$928,204 as none of the given options represents the calculated NPV. More than 100 words are included in the answer.

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When mergers and acquisitions create the most value?
When mergers and acquisitions destruct the most value?

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Mergers and acquisitions (M&A) can create value when they are done strategically and executed well.

However, they can also destroy value if they are not well-thought-out or if they are not executed properly.

M&A can create value in a number of ways. For example, it can allow companies to enter new markets, expand their product offerings, or gain access to new technologies. M&A can also help companies to reduce costs, improve efficiency, or increase market share.

However, M&A can also destroy value. For example, if a company overpays for a target, it can end up with a large debt burden. If the integration of two companies is not done well, it can lead to lost productivity and customer dissatisfaction.

Overall, M&A is a risky , strategy However, it can be a very effective way for companies to grow and create value if it is done carefully.

Here are some additional factors that can contribute to the success or failure of an M&A transaction:

The strategic fit between the two companies

The financial strength of the acquirer

The management team's experience with M&A

The level of integration required

The reaction of customers, employees, and regulators

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Why should a person, who is not attending a contest,
assume risks items be thrown while watching a game?

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A person who is not attending a contest and not participating in any of the activities should assume risks related to items being thrown while watching a game because they are at risk of being hit by the item and suffering an injury.

Even if the item is intended to be thrown in a safe manner, there is still a risk of it being thrown in a way that could cause harm to others. Additionally, the person may be in a crowded area where it is difficult to avoid being hit by an item. It is important for individuals to prioritize their safety and avoid taking unnecessary risks.  

It is also important to consider the location of the event. If the event is being held in a crowded area, there is a higher risk of injury because there are more people in close proximity to each other. This means that if an item is thrown, it is more likely to hit someone and cause injury.

Overall, it is important for individuals to prioritize their safety and avoid taking unnecessary risks. If you are not attending a contest and are not participating in any of the activities, it is best to stay away from the area where items are being thrown and avoid putting yourself in a position where you could be injured.  

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Unethical digital ads are those that guarantee or promise something for the consumer but end up being misleading or deceptive"". 1. Some people say that even uninformative advertising is beneficial to consumers and the economy. Evaluate this argument. 2. Why is advertising to children particularly troubling to ethicists?

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advertising to children may encourage them to develop materialistic values and influence their lifestyle, which can be problematic. 1. Some people argue that even uninformative advertising is beneficial to consumers and the economy.

Evaluate this argument.The people who support the notion that even uninformative advertising is beneficial to consumers and the economy argue that uninformative ads benefit the economy by stimulating the consumption of goods and services, which in turn stimulates demand, employment, and economic growth.However, there are several flaws in this argument. Firstly, advertisements that are irrelevant or uninformative do not help consumers make informed purchasing decisions, which may result in them wasting their money on something that is not beneficial to them. Secondly, advertising that promises a guarantee or misleading information is unethical. Therefore, not all advertising is beneficial to consumers and the economy.2. Why is advertising to children particularly troubling to ethicists?Advertising to children is particularly troubling to ethicists for the following reasons: Children are more impressionable than adults and are more susceptible to advertising, which may manipulate them into buying something that is not beneficial to them. This is especially true since children are not yet aware of the concept of "marketing" and do not have the same critical thinking abilities as adults. Therefore, advertising to children can be seen as manipulative and unethical as it can exploit children's lack of awareness and critical thinking abilities.

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Swifty Company had 100 units in beginning inventory at a total cost of $10,000. The company purchased 200 units at a total cost of $26,000. At the end of the year, Swifty had 50 units in ending inventory. (a) Your answer is partially correct. Compute the cost of the ending inventory and the cost of goods sold under FIFO, LIFO, and average-cost. (Round average- cost per unit and final answers to O decimal places, e.g. 1,250.) FIFO LIFO Average-cost The cost of the ending inventory 6500 $ The cost of goods sold $ 31000 $ $

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To calculate the cost of ending inventory and the cost of goods sold under FIFO, LIFO, and average-cost methods, we'll need to follow the principles of each method.

FIFO (First-In, First-Out):Under the FIFO method, it is assumed that the first units purchased are the first ones sold. Therefore, the cost of the ending inventory consists of the most recently purchased units, while the cost of goods sold uses the cost of the earliest purchased units.Cost of Ending Inventory (FIFO)In this case, we have 50 units in ending inventory. Since the most recent purchase was 200 units, we can assume that the remaining 50 units are from this purchaseCost of ending inventory = 50 units × cost per unit (from the most recent purchase)LIFO (Last-In, First-Out):Under the LIFO method, it is assumed that the last units purchased are the first ones sold. Therefore, the cost of the ending inventory consists of the earliest purchased units, while the cost of goods sold uses the cost of the most recently purchased units.

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In the chemical process industry, there are various routes for manufacturing chemicals. A search of the literature reveals many different processes to produce chemical R*. Assume 8000 operational hours per year. Land cost is not included in the total capital investment. Prepare a detailed production report and answer the following questions. (Assume suitable data wherever necessary. Give proper references if data collection is from external sources. (* Each student will be given a separate chemical product)

Select the various available processes used in the industry and discuss the major differences between each process.

a. Prepare a qualitative flow sheet for one selected process.
b. Calculate the total cost of all major equipment used in the above process for a 50,000 tons per year production capacity.
c. Estimate fixed capital investment and the total capital investment cost if the working capital is 14% of total capital investment.
d. Calculate the production cost per unit and total gross profit for the given production capacity. Compare the production cost per unit with the market cost.

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I can provide you with a general outline of what a production report might include and answer any conceptual questions you may have.

A production report for a chemical product typically includes the following information:

Product Information: Name and description of the chemical product being manufactured, its purpose, and its applications.

Production Volume: The quantity of the chemical product produced during a specific time period (e.g., per day, month, or year).

Production Process: Detailed description of the manufacturing process, including the raw materials used, reaction conditions, equipment involved, and any specific steps or considerations.

Quality Control: Information on the quality control measures implemented during production, including testing methods, standards, and acceptance criteria.

Yield and Efficiency: Calculation of the yield and efficiency of the production process, indicating the percentage of the raw materials that are converted into the final product.

Energy and Resource Consumption: Data on the energy and resources consumed during the production process, such as electricity, water, and raw material usage.

Environmental Impact: Evaluation of the environmental impact associated with the production process, including waste generation, emissions, and any mitigation measures implemented.

Cost Analysis: Calculation of the production cost, including raw material costs, labor costs, energy costs, and overhead expenses.

Safety Considerations: Discussion of any safety considerations or precautions taken during the production process to ensure the well-being of workers and compliance with regulations.

Future Improvements: Suggestions or recommendations for improving the production process, increasing efficiency, reducing costs, or addressing any environmental or safety concerns.

Please note that the specific details and calculations in a production report will vary depending on the chemical product and the manufacturing process.

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Discuss two major types of foreign exchange regimes. Where necessary use relevant examples to strengthen your discussion.

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The two major types of foreign exchange regimes are:  Foreign exchange regimes refer to the various ways through which countries manage their currencies in the international market.

They differ in their level of flexibility and the extent to which the exchange rates are influenced by market forces. The two main types of foreign exchange regimes are fixed exchange rate regimes and flexible exchange rate regimes.Fixed exchange rate regimesIn a fixed exchange rate regime, the value of a currency is pegged to another currency or a basket of currencies. The central bank of the country intervenes in the foreign exchange market by buying or selling its currency in order to maintain the exchange rate within a narrow band. This means that the exchange rate is fixed and does not fluctuate based on market forces. The advantages of fixed exchange rate regimes include stability and predictability in trade, investment, and finance. Examples of countries that use fixed exchange rate regimes include China, Hong Kong, and Saudi Arabia.Flexible exchange rate regimesIn a flexible exchange rate regime, the exchange rate is determined by market forces of supply and demand. The central bank does not intervene in the foreign exchange market, but instead allows the exchange rate to float freely. This means that the exchange rate is not fixed and can fluctuate based on market conditions. The advantages of flexible exchange rate regimes include the ability to adjust to changes in the global economy and the independence of monetary policy. Examples of countries that use flexible exchange rate regimes include the United States, Canada, and Japan.In conclusion, fixed and flexible exchange rate regimes differ in their level of flexibility and the extent to which exchange rates are influenced by market forces. While fixed exchange rate regimes provide stability and predictability, flexible exchange rate regimes provide independence and the ability to adjust to changes in the global economy.

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PA 12-3 (Algo) Joe Birra needs to purchase malt for his... Joe Birra needs to purchase malt for his microbrewery production. His supplier charges $40 per delivery (no matter how much is delivered) and $1.00 per gallon. Joe's annual holding cost per unit is 30 percent of the price per gallon. Joe uses 225 gallons of malt per week. Joe's supplier offers a 3.00 percent discount if Joe is willing to purchase 8000 g. gallons or more. What would Joe's total annual cost (purchasing, ordering, and holding) be if he were to take advantage of the discount?

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To calculate Joe's total annual cost if he takes advantage of the discount, we consider purchasing, ordering, and holding costs.  

The discounted price per gallon is $0.97 for 8000 or more. Joe places one order per year, costing $40. His annual holding cost per gallon is 30% of the price. With 225 gallons used per week, the total annual purchasing cost is $218.25. The total ordering cost is $40. Assuming half of the order quantity is held on average, the total holding cost is $1164. Therefore, Joe's total annual cost, including all costs, is $1422.25 when he takes advantage of the discount.

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ACold Inc. is a frozen-food distributor with 10 warehouses across the country. Ivan Tory, one of the warehouse managers, wants to make sure that the inventory policies used by the warehouse are minimizing inventory while still maintaining quick delivery to ACold's customers. Because the warehouse carries hundreds of different products, Ivan decided to study one. He picked Caruso's Frozen Pizza (CFP). Demand for CFP averages 400 per day with a standard deviation of 152. Because ACold orders at least one truck from its suppliereach day, ACold's computer system is designed to implement an order-up-to policy for each product. Ican notes that any order for CFP's arrives four days after the order.a. Suppose it uses an order up to level of 2410. What is its expected on-hand inventory?b. Suppose it uses an order-up-to level of 2500. What is its expected on-order inventory?c. Suppose it uses an order-up to level of 2000. What is the in-stock probability?d. Suppose it wants a .90 in-stock probability. What should its order-up to level be? Harper is considering three alternative investments of $10,000. Assume that the taxpayer is in the 24% marginal tax bracket for ordinary incomeand 15% for qualifying capital gains in all tax years. The selected investment will be liquidated at the end of five years. The alternatives are: A taxable corporate bond yielding 5.333% before tax and the interest can be reinvested at 5.333% before tax. A Series EE bond that will have a maturity value of $12,200 (a 4% before-tax rate of return). Land that will increase in value.The gain on the land is classified and taxed as a long-term capital gain. The income from the bonds is taxed as ordinary income. How much must the land increase in value to yield a greater after-tax return than either of the bonds? Use the future value tables in Appendix H as needed for your calculationsand comparisons. 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The angular size of the Sun,"sun", is the angle spanned in the sky by the Sun as seen from Earth:Knowing the radius of the Sun "Rsun" and the average distance from Earth to the Sun "dsun", we can estimate the angular size of the Sun by considering the imaginary triangle of the following picture:Considering trigonometric relations, we find that:Therefore:Knowing that:Rsun = 6.96x105 kmdsun =1AU=1.496x108 kmNow, calculate sun using the formula:You can access this online scientific calulator to do the calculation:Note: To use the arctan (tan-1) function in the calculator you just need to click "func" and then the tan-1function button as shown below:Value: 10Calculate sun using the formula:Note: Keep 3 decimals in your answer Use practical and real examples to explain your answersWalmart Inc. is an American multinational retail corporation that operates a chain of hypermarkets, discount department stores, and grocery stores.Briefly evaluate the strengths and weaknesses of affiliate marketing for Walmart. Explain what is meant by strategic behavior. 7. The NCAA is described as a cartel. In what way is it a cartel? What is the product being produced? How does the cartel stay together? Most standardized tests of intelligence have a distribution of scores that ________.A) has a positive skew B) has a negative skewC) appears bimodal with two peaks of high frequency D) follows the normal curve Hey guys and ladies ,Explain why managers should be concerned about the trustcustomers have in their brand or company and what they can do tobuild trust? 230,000 Marik corporation began operations in 2020 and reported pretax financial income of for the year. Marik income tax rate is 75.00 % for all years. Marik uses accrual basis for accounting purposes and cash basis for tax purposes. During 2020 the following events and transactions occurred: Amount Recorded product warranty liability that is expected to be paid in 2021 24,000 19,200 Company sold goods FOB shipping point in December 2020 on account. sodium-60 has a half-life of 15.0 hours. at the end of 60.0 hours, how many grams of an original 16 g sample remain? A surprise road trip? Been a long time since I have done one of those - and they are always fun - especially if I am just told to 'get in the car!' LOL! I keep coming back to the point - what am I being taught? I personally believe what I am being taught is as important as is the means I am being taught. Take for instance, flight training. It is not as simple as getting in the left seat of an airplane and pulling back on the stick. Rather, there is ground school - so you know how to talk with the tower and such; there is weather so you don't get caught in the 'soup,' there is Bernoulli's Principle, which must be understood. Then there are the instruments and how they operate. My style of learning will depend on what is being taught as the means will vary. Thoughts? Select an advertisement. Identify the physical or other emotional, relational, characteristics of the message in the advertisement that caught your attention. List what you see as the primary characteristics of advertisements (Image and text) that grab peoples attention Computer printers and ink cartridges are complementary goods. If the price of printers falls, thena the supply of ink cartridges will increase (right shift of the cartridge supply curve).b the demand for printers will increase (right shift of the printer demand curve).c the demand for ink cartridges will increase (right shift of the cartridge demand curve).d all of the above would occur. Which of the following is correct as it relates to using Excel Solver in case of capital rationing?Group of answer choicesOne creates binary variables that have the value of either 1 (chosen) or 0 (not chosen).One sets the objective such as to maximize the net present value of chosen investments.One sets the constraint such as the total investments being greater than the amount of capital available.