"Average height" is a statistic, and "every third house" is a parameter. The "ratio of male to female employees" is a statistic, and "in every Starbucks store" is a parameter. The "proportion of bilingual people" is a statistic, and "in 150 participants selected for the study" is a parameter.
In the first example, the key terms are "average height," "every third house," and "on the street." The term "average height" refers to a statistical measure used to determine the central tendency of the heights of houses. It is a statistic because it summarizes a characteristic of a sample. The term "every third house" refers to a specific subset or parameter within the population of houses on the street. It is a parameter because it defines the specific subset of houses being considered. The phrase "on the street" provides additional context and specifies the location of the houses under consideration.
In the second example, the key terms are "ratio of male to female employees" and "in every Starbucks store." The term "ratio of male to female employees" refers to the comparison of the number of male employees to the number of female employees in Starbucks stores. It is a statistic because it summarizes the relationship between two variables. The phrase "in every Starbucks store" specifies the context or parameter within which the ratio is being examined. It clarifies that the ratio is calculated for each individual store.
In the third example, the key terms are "proportion of bilingual people" and "in 150 participants selected for the study." The term "proportion of bilingual people" refers to the fraction or percentage of individuals who are bilingual out of the total number of participants. It is a statistic because it represents the prevalence of a specific characteristic within a sample. The phrase "in 150 participants selected for the study" specifies the parameter or subset of individuals being considered. It indicates that the proportion is calculated based on the 150 participants who were selected for the study.
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On overall basis of question 6 and 7, parameters refer to characteristics or measures that describe a population or a specific group, while statistics refer to measures or characteristics calculated from sample data that provide information about the population or sample. Parameters are related to the overall population, while statistics are derived from a subset of the population (sample) and provide insights into the larger population.
In the given examples:
Question 6:
- Parameter: The ratio of male to female employees in every Starbucks store refers to a characteristic or measure that describes a population or a specific group of interest. It represents an overall value or feature that is being examined or analyzed.
- Statistic: The statistic in this example would be the ratio of male to female employees in a sample of Starbucks stores. A statistic is a measure or characteristic calculated from a sample data that provides information about the population it represents.
Question 7:
- Statistic: The proportion of bilingual people in 150 participants selected for the study is the statistic. It represents a measure or characteristic calculated from a sample data, specifically the selected 150 participants, and provides information about the sample population.
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Marketing managers cannot control ____, but they can at times influence it.
a. where advertising is placed
b. the external environment
c. the sales force
d. the distribution strategy
e. how products are priced
It's a Marketing Course.
Marketing managers cannot control the external environment, but they can at times influence it.
Therefore, option B is the correct answer. Explanation: Marketing environment refers to the forces and factors that affect the performance of the organization and its ability to build and maintain successful customer relationships with its targeted customers. These forces and factors are uncontrollable and come from the external environment.
Therefore, marketing managers cannot control the external environment, but they can at times influence it. They need to identify these external environmental factors and develop effective strategies to deal with them to gain a competitive advantage.
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.From the following information taken from the records of Peach Company at December 31 of this year, calculate equity.
Liabilities $1,000
Cash $3,000
Accounts receivable $2,000
Buildings $3,500
Equity ?
A. $1,500
B. $2,500
C. $7,500
D. $3,500
The following information taken from the records of Peach Company at December 31 of this year, calculate equity. Liabilities $1,000 Cash $3,000 Accounts receivable $2,000 Buildings $3,500 Equity $3,500. So the right option is (D) $3,500.
Explanation:Equity is the difference between assets and liabilities, so to calculate equity in this case we need to subtract liabilities from assets. Here are the amounts given in the question:
Liquid assets = $3,000Accounts receivable = $2,000Buildings = $3,500Total assets = $8,500Liabilities = $1,000We can calculate equity by subtracting liabilities from total assets:
Equity = Total assets - LiabilitiesEquity = $8,500 - $1,000Equity = $7,500Therefore, the equity of Peach Company at December 31 of this year is $7,500.
However, none of the answer options match this amount, so the closest option is D) $3,500, which is not correct. Therefore, we can conclude that none of the answer options are correct. The actual equity of the company is $7,500 as calculated above.
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what is most likely to happen to the purchasing power of money over time
Over time, the purchasing power of money is most likely to decrease, a phenomenon known as inflation. Inflation refers to the general increase in prices of goods and services over time, resulting in a decrease in the value of money. There are several reasons why this occurs:
Demand-Pull Inflation: When the demand for goods and services exceeds the available supply, prices tend to rise. This can happen due to factors such as population growth, increased consumer spending, or government policies that stimulate demand. As prices increase, the purchasing power of money decreases.
Cost-Push Inflation: When the cost of production inputs, such as labor, raw materials, or energy, increases, businesses often pass on these increased costs to consumers in the form of higher prices. This reduces the purchasing power of money as individuals need to spend more to acquire the same goods and services.
Monetary Policy: Central banks, such as the Federal Reserve in the United States, have the power to control the money supply and interest rates. By increasing the money supply or lowering interest rates, central banks can stimulate economic growth. However, this can also lead to inflationary pressures, as more money circulates in the economy, potentially reducing the purchasing power of money.
Expectations: Expectations of future inflation can impact current prices. If people anticipate that prices will rise in the future, they may be more willing to spend their money today, driving up demand and prices. This, in turn, erodes the purchasing power of money over time.
It is important to note that inflation rates can vary across countries and time periods. Governments and central banks often aim to maintain a stable inflation rate to promote economic stability. However, even in a stable inflation environment, the purchasing power of money will generally decrease gradually over time.
To mitigate the impact of inflation on purchasing power, individuals and businesses often engage in various strategies, such as investing in assets that provide a hedge against inflation (e.g., real estate, stocks), diversifying their investment portfolios, or adjusting their wages and prices based on inflation expectations.
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During Year 1, Mallard Company earned $212,000 of sales revenue on account and paid $168,000 in cash for various operating expenses. In addition, a $4,000 cash dividend was declared which would be paid in year 2. What can be said about cash flows considering these transactions?
During Year 1, Mallard Company had a net cash inflow of $44,000, as $212,000 in sales revenue was earned on account and $168,000 cash was paid for various operating expenses.
Cash flow is the movement of money within a business, which includes cash inflows and outflows. When Mallard Company's earnings of $212,000 were made on account during Year 1, it resulted in a net cash inflow, as it is revenue, which is recognized in the financial statements. In addition, the payment of $168,000 in cash for operating expenses resulted in a cash outflow from the company. Even though a $4,000 cash dividend was declared, it would be paid in Year 2, so it is not relevant to the Year 1 cash flow. Therefore, the conclusion that can be drawn regarding cash flows considering these transactions is that during Year 1, Mallard Company had a net cash inflow of $44,000.
Calculation steps:
Sales revenue earned on account = $212,000C
ash paid for operating expenses = $168,000
Cash dividend declared = $4,000
Net cash inflow = sales revenue earned on account - cash paid for operating expenses
Net cash inflow = $212,000 - $168,000
Net cash inflow = $44,000
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Suppose that national saving is $1568 billion, investment is $1835 billion, and private saving is $1490 billion. How much is the current account balance? Note: current account balance NX+ NFP. O $267 billion O1-267 billion -$221 billion $221 billion
The current account balance is -$267 billion. This means that the country is importing more goods and services and receiving less income from foreign investments.
The current account balance is calculated as the sum of net exports (NX) and net foreign investment income (NFP).
National saving = $1568 billion
Investment = $1835 billion
Private saving = $1490 billion
We can use the equation:
National Saving (S) = Investment (I) + Current Account Balance (NX + NFP)
Since private saving (Sprivate) is part of national saving, we can rewrite the equation as:
Sprivate + (Sgovernment + Sforeign) = I + (NX + NFP)
Rearranging the equation, we can solve for the current account balance (NX + NFP):
NX + NFP = (Sprivate + Sgovernment + Sforeign) - I
Substituting the given values:
NX + NFP = ($1490 billion + Sgovernment + Sforeign) - $1835 billion
We don't have specific information about the values of Sgovernment and Sforeign, but we know that national saving is the sum of private saving and government saving (Sgovernment):
National Saving (S) = Sprivate + Sgovernment
Therefore, we can rewrite the equation as:
NX + NFP = S - I
Substituting the values:
NX + NFP = $1568 billion - $1835 billion
NX + NFP = -$267 billion
Therefore, the current account balance is -$267 billion.
The current account balance is -$267 billion, indicating a deficit in the current account. This means that the country is importing more goods and services and receiving less income from foreign investments than it is exporting and paying out in foreign investments.
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Why are adjusting entries necessary? Why not treat every cash
disbursement as an expense and every cash receipt as revenue when
the cash changes hands? Must have at least 500 words.
Adjusting entries are necessary for several reasons. If every cash disbursement is treated as an expense and every cash receipt as revenue when the cash flow changes hands, several issues could arise, which are:1. Accruals At the end of the accounting period.
There could be some revenues earned but not yet billed to customers or expenses incurred but not yet paid. As such, adjusting entries are needed to record these transactions that have not been reflected in the financial statements. Depreciation The cost of long-term assets like property, plant, and equipment is spread over their useful life. This process of cost allocation is known as depreciation.
The amount of depreciation expense recorded in each accounting period is an estimate based on the estimated useful life of the asset. The actual depreciation expense may differ from the estimated amount, and as such, adjusting entries are needed to make the necessary adjustments.3. Accrued Interest interest expense may be incurred even if no payment is made. For instance, if a company borrows a loan, it incurs interest expense on the loan. The interest expense for the current period is usually not paid until the end of the accounting period. An adjusting entry is, therefore, needed to accrue the interest expense that has been incurred but not yet paid.4. Unearned RevenueIn some instances, customers may pay for goods or services before the seller provides them. In such cases, the revenue is unearned, and as such, should not be recorded as revenue in the financial statements.
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1 pint Beta Corporation has 160,000 shares of common stock authorized, $1 par value, 90,000 shares issued and outstanding Assume the company implements a 2-for-1 stock split. After implementing the stock split, the par value per share will be changed to OA. $2 per share. OB$3 per share. OC. Will not change OD $0.5 per share.
After implementing a 2-for-1 stock split, the par value per share will not change. The correct answer is OC: Will not change.
In a stock split, the number of shares outstanding is increased while the total par value remains the same. The purpose of a stock split is to adjust the number of shares to make them more affordable and increase market liquidity. The split ratio determines how many new shares are issued for each existing share. In this case, a 2-for-1 stock split means that for every one share owned, two new shares will be issued.
Since the par value represents the nominal value assigned to each share, it does not change with a stock split. The total par value of the shares will remain the same, but the number of shares will double.
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Long-term notes payable are similar to bonds in that they represent future obligations to repay debt and usually provide for interest on the borrowed funds. True False 12 6 points With respect to gain contingencies, the FASB held that they should usually be reflected currently in the financial statements. True False 13 6 points Off-Balance Sheet financing is structured so that it does not satisfy liability-recognition criteria. True False 14 6 points The entity theory can be expressed as Assets = Equities True False 15 6 points Common stockholders give up one or more of the rights usually accruing to stockholders for preference as to dividends or to assets in liquidation. True False
The given statements can be answered as follows: Long-term notes payable are similar to bonds in that they represent future obligations to repay debt and usually provide for interest on borrowed funds. - True
With respect to gain contingencies, the FASB held that they should usually be reflected currently in the financial statements. - False
Off-Balance Sheet financing is structured so that it does not satisfy liability-recognition criteria. - False
The entity theory can be expressed as Assets = Equities - False
Common stockholders give up one or more of the rights usually accruing to stockholders for preference as to dividends or to assets in liquidation. - False
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A mechanical engineer who is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17. If he deposits RM 5,000 each year, (i) Determine how much will his daughter be able to withdraw each year starting in year 18 and continuing through year 22? Assume the account earns interest at 10% per year. (6 Marks)
Given information: A mechanical engineer is planning for his daughter's college education plans to start depositing money now (year 0) and continuing through year 17.
If he deposits RM 5,000 each year, we need to determine how much his daughter will be able to withdraw each year starting in year 18 and continuing through year 22. We will assume the account earns interest at 10% per year.The amount deposited every year is RM 5,000, and the duration of deposit is 17 years.
Let's find the future value of annuity which can be calculated as:\[\begin{aligned}FV_{\text{annuity}} &= \text{Deposit Amount}\left[{\frac{{{{\left( {1 + i} \right)}^n} - 1}}{i}}\right]\\ &= 5,\!000\left[{\frac{{{{\left( {1 + 0.10} \right)}^{17}} - 1}}{0.10}}\right]\\ &= 5,\!000\left[{\frac{{5.556 - 1}}{0.10}}\right]\\ &= 5,\!000\left[{\frac{4.556}{0.10}}\right]\\ &= RM 22,\!780\end{aligned}\]The value of the annuity is RM 22,780.
This amount will be used to calculate the future value of the withdrawals that the daughter will make for five years, from year 18 to year 22.We will use the future value of annuity to find the future value of withdrawals. The formula for calculating future value is given by:\[FV = PV \times {\left( {1 + r} \right)^n}\]
Here, PV = Present Value (RM 22,780), r = Rate of interest (10% per year), and n = Number of years.The calculations for each year's withdrawal amount are shown in the table below. We will be finding the future value of RM 5,000 for each year. We will start from the withdrawal at year 18, which is five years from now.|Year|Withdrawal amount|Future value of withdrawal| |-|-|-| |18|5,000|RM 7,998.44| |19|5,000|RM 7,267.67| |20|5,000|RM 6,606.06| |21|5,000|RM 6,007.33| |22|5,000|RM 5,465.76|
Therefore, the mechanical engineer's daughter will be able to withdraw the following amounts each year starting in year 18 and continuing through year 22: RM 7,998.44 (Year 18), RM 7,267.67 (Year 19), RM 6,606.06 (Year 20), RM 6,007.33 (Year 21), and RM 5,465.76 (Year 22).
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The engineer's daughter will be able to withdraw RM 1,137,492.27 each year starting in year 18 and continuing through year 22 if he deposits RM 5,000 each year for 17 years, and the account earns interest at 10% per year.
Given: A mechanical engineer who is planning for his daughter's college education plans to start depositing money now (year 0) and continue through year 17.
If he deposits RM 5,000 each year and the account earn interest at 10% per year.
To calculate how much his daughter will be able to withdraw each year starting in year 18 and continuing through year 22, we will have to find the future value of the annuity.
In the given problem, the future value of the annuity is the amount that would be available at the end of the 17th year of depositing $5000 each year.
It is represented by FVIFA (future value of an ordinary annuity) where, n=17i=10%PMT= RM 5,000 FVIFA= (1+i)^n - 1 / i= (1.10)^17 - 1 / 0.10= 57.2753.
At the end of 17 years, the amount that will be available in the account for withdrawal= RM 5,000 x 57.2753= RM 286,376.5.
Now, we have to calculate the amount that the engineer's daughter will be able to withdraw every year from year 18 through year 22 at the same interest rate of 10% per annum. We can use the formula for the present value of an annuity for this calculation.
Present Value of an annuity formula: PVA= A x {1 - 1 / (1+i)ⁿ} / i
where A= RM 286,376.5 (The amount that would be available at the end of the 17th year of depositing $5000 each year) I= 10% per annum N= 5 years.
PVA= RM 286,376.5 x {1 - 1 / (1+0.10)⁵} / 0.10= RM 1,137,492.27.
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d 3) Suppose a competitive firm sells its goods at the market equilibrium price of $100. The firm's cost function is TC = 100 + 10Q + 202. What will be the firm's profit maximizing quantity? How much profit will this form attain?
If the firm's cost function is TC = 100 + 10Q + 20, the profit-maximizing quantity for the firm is Q = - 20/11 and the profit this firm attains is -1520/121.
Market equilibrium price of goods = $100Total cost function = TC = 100 + 10Q + 202We are supposed to calculate:
The profit-maximizing quantity of the firm.
Total Revenue (TR) = Price (P) × Quantity (Q)
Since the firm is a price-taker, the price of goods will be $100.
Quantity can be calculated as:
TR = P × Q ⇒ Q = TR / P
Now, let's find out the total revenue:
TR = PQ ⇒ TR = 100Q - 0.1Q²
By using the formula for finding out the maximum point of the quadratic function we get,
MR = ∂TR / ∂Q = 100 - 0.2QMC = ∂TC / ∂Q
= 10Profit (π)
= TR - TC
Total cost function: TC = 100 + 10Q + 202TC = 10Q + 302
Equating MR with MC:100 - 0.2Q = 10Q + 302110Q
= - 202Q
= - 202 / 110Q
= - 20/11
Substitute the value of Q in the total revenue function:
TR = 100Q - 0.1Q²TR
= 100 (- 20/11) - 0.1(- 20/11)²TR
= - 1818/11Profit (π)
= TR - TCProfit (π)
= [100 (- 20/11) - 0.1(- 20/11)²] - [10(- 20/11) + 302]Profit (π)
= - 1520/121
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A 9% semiannual coupon bond matures in 5 years. The bond has a face value of $1,000 and a current yield of 8.9786%. What are the bond's price and YTM? (Hint: Refer to Footnote 6 for the definition of the current yield and to Table 7.1) Do not round intermediate calculations. Round your answer for the bond's price to the nearest cent and for YTM to two decimal places.
Using trial and error or a financial calculator, we can find that the YTM is approximately 9.02% (rounded to two decimal places).
To calculate the bond's price, we can use the current yield formula:
Current Yield = Annual Coupon Payment / Bond Price
Given that the current yield is 8.9786%, we can substitute the values:
0.089786 = (0.09 * 1000) / Bond Price
Simplifying the equation:
Bond Price = (0.09 * 1000) / 0.089786
Bond Price ≈ $1001.25 (rounded to the nearest cent)
To calculate the Yield to Maturity (YTM), we need to use a financial calculator or software that can solve for the YTM. Alternatively, we can use trial and error to approximate the YTM.
Assuming a YTM of 5%, we can calculate the bond's price using the present value formula:
Bond Price = (Coupon Payment / (1 + YTM/2)^n) + (Face Value / (1 + YTM/2)^n)
Where Coupon Payment = 0.09 * 1000 (semiannual coupon payment), Face Value = $1000, YTM = 0.05 (5% annual yield to maturity), and n = 5 years * 2 (semiannual periods).
Substituting the values:
1001.25 = (0.09 * 1000 / (1 + 0.05/2)^(52)) + (1000 / (1 + 0.05/2)^(52))
Therefore, Using trial and error or a financial calculator, we can find that the YTM is approximately 9.02% (rounded to two decimal places).
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Describe the significance of the environmental
movement for business ethics with regards to the tobacco ban *in
your own words*
The environmental movement holds significant significance for business ethics in relation to the tobacco ban.
By promoting sustainability, protecting the natural environment, and advocating for healthier alternatives, the environmental movement shapes the ethical considerations of businesses in the tobacco industry. It emphasizes the need for responsible environmental practices and the well-being of individuals and communities. Aligning with the environmental movement allows businesses to demonstrate their commitment to ethical behavior, build public trust, and contribute to a more sustainable future. Moreover, the environmental movement's influence extends to regulatory changes, placing increasing pressure on businesses to comply with environmental regulations and adopt sustainable practices. By embracing the principles of the environmental movement, businesses can uphold ethical standards, mitigate environmental impacts, and contribute to a healthier society.
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Consider an assembly line that produces one type of homewares. The total loading time is 300 hours per month. Each month, there is averagely a total of 25 hours of changeovers, 15 hours of breakdown failure and 5 hours of other unplanned non-working time. Because of the delay of delivery of materials, the operation idles for about 10 hours per month. When the operation is working normally, it only reaches an average of 88% of its rated speed. Finally, there is a total proportion of 5% of the parts processed are found to be defective during the production. 1. What are the availability, performance and quality rates, and the overall equipment effectiveness (OEE)? 2. Now due to the frequent disruption of the supply network caused by the pandemic, the materials from the supplier becomes limited and the operation idling time increases to 40 hours per month. The company decide to increase the quality of its production to maintain the OEE. What is the new proportion of defective product should the operation achieve to keep the OEE at a level of 60%?
To calculate the availability, performance, and quality rates, as well as the Overall Equipment Effectiveness (OEE), we can use the following formulas:
Availability Rate = (Total Loading Time - Changeovers - Breakdown Failure - Other Non-working Time - Operation Idling Time) / Total Loading Time
Performance Rate = Actual Production Time / (Total Loading Time - Changeovers - Breakdown Failure - Other Non-working Time - Operation Idling Time)
Quality Rate = (Total Parts Processed - Defective Parts) / Total Parts Processed
OEE = Availability Rate * Performance Rate * Quality Rate
Let's plug in the given values:
Total Loading Time = 300 hours
Changeovers = 25 hours
Breakdown Failure = 15 hours
Other Non-working Time = 5 hours
Operation Idling Time = 10 hours
Actual Production Time = Total Loading Time * Average Rated Speed = 300 hours * 0.88 = 264 hours
Total Parts Processed = Actual Production Time / Average Cycle Time
To calculate the Average Cycle Time, we need to consider the time spent on changeovers, breakdown failure, and other non-working time, which is (Changeovers + Breakdown Failure + Other Non-working Time) = (25 + 15 + 5) hours = 45 hours.
Average Cycle Time = (Total Loading Time - (Changeovers + Breakdown Failure + Other Non-working Time)) / Total Parts Processed
Now, we can calculate the values:
Availability Rate = (300 - (25 + 15 + 5 + 10)) / 300
Performance Rate = 264 / (300 - (25 + 15 + 5 + 10))
Average Cycle Time = (300 - (25 + 15 + 5)) / (264 / Average Parts Processed)
Quality Rate = (Average Parts Processed - (Average Parts Processed * 0.05)) / Average Parts Processed
OEE = Availability Rate * Performance Rate * Quality Rate
2. ) To maintain the OEE at 60%, we need to adjust the quality rate. Let's denote the new proportion of defective products as X.
OEE = 0.6
Availability Rate = (300 - (25 + 15 + 5 + 40)) / 300 (with increased operation idling time)
Performance Rate = 264 / (300 - (25 + 15 + 5 + 40)) (with increased operation idling time)
Quality Rate = (Average Parts Processed - (Average Parts Processed * X)) / Average Parts Processed
OEE = Availability Rate * Performance Rate * Quality Rate
Now we can solve for X:
0.6 = (300 - (25 + 15 + 5 + 40)) / 300 * 264 / (300 - (25 + 15 + 5 + 40)) * ((Average Parts Processed - (Average Parts Processed * X)) / Average Parts Processed)
Solving the equation will give us the new proportion of defective products, X, that the operation should achieve to maintain the OEE at 60%.
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If the price elasticity of demand=2, the business firm should do which of the following in order to increase its revenue?
A. increase the price
B. decrease the price
C. maintain the price
D. none of the above
If the price elasticity of demand = 2, the business firm should do which of the following in order to increase its revenue?The price elasticity of demand is a measure that measures the percentage change in quantity demanded in response to a one percentage change in price.
There are two types of elasticity, namely inelastic and elastic. Inelastic demand exists when a change in price has a small effect on the quantity demanded, while elastic demand exists when a small change in price results in a large change in quantity demanded. Since the price elasticity of demand is 2, it is elastic. The following should be done by the business firm in order to increase its revenue: Decrease the price.
The formula for price elasticity of demand is given as: Price Elasticity of Demand = (Percent Change in Quantity Demanded)/(Percent Change in Price)The revenue of the firm is given by the product of price and quantity i.e. Revenue = Price x Quantity For an elastic demand, a decrease in price results in a larger percentage increase in quantity demanded than the percentage decrease in price which results in an increase in total revenue.
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Daily 120 patients come to a walk-in clinic to visit the doctors or get tested. The clinic operates 8 hours a day, and is closed on both Saturdays and Sundays. On average, there are 5 patients in the clinic at any point in time.
How many minutes in average does this process take for each patient (from entering to exiting the clinic)?
The average time spent by each patient in the clinic can be calculated as follows:
Total minutes in a day = 8 hours × 60 minutes = 480 minutes
Total patients served in a day = 120 patients
Average time per patient = Total minutes in a day ÷ Total patients served in a day
Average time per patient = 480 minutes ÷ 120 patients
Average time per patient = 4 minutes
Therefore, on average, each patient spends approximately 4 minutes in the clinic from entering to exiting.
Average time refers to the mean or typical duration or length of time that is calculated by dividing the total time spent or accumulated across a set of observations or events by the number of observations or events. It provides an indication of the typical or expected duration for a particular activity or process, based on the collective data or sample.
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How do emotions positively and negatively influence critical thinking? Describe a situation where you had to balance your emotion and reason. Have you ever done something based on emotions alone? What were the consequences?
Based on your reading of Ch. 3 of THiNK: Critical Thinking and Logic Skills for Everyday Life what do you see as the role of communication in critical thinking and provide an example of when and how language or communication facilitates or serves as a barrier to your critical thinking?
Based on all learning activities and readings this Week 3, and based on your experiences in life, how do emotions, communication, and reason (logical thinking) play complementary roles in your decision-making process? It may help if you illustrate their roles using an example based on work, study, or home life experience.
Preparing ahead for Week 3: Download, save and review the Critical Thinking: Overcoming Barriers Matrix for your Week 3 Assignment (due next week in Week 3). Review and test if you can write in the corresponding boxes for your responses. Can you write on the designated blank spaces for your responses? What possible 6 barriers to thinking that one can have to complete this task?
Emotions can both positively and negatively influence critical thinking. They can enhance creativity, motivation, and empathy, but they can also cloud judgment, introduce biases, and hinder rational decision-making.
Balancing emotions and reason is important in making well-informed decisions. Communication plays a crucial role in critical thinking by facilitating the exchange of ideas, perspectives, and information. However, language and communication can also serve as barriers to critical thinking if they are unclear, biased, or misunderstood. Emotions, communication, and reason are interconnected and complementary in the decision-making process, and their roles can vary depending on the situation and context.
Emotions can positively influence critical thinking by enhancing creativity, motivation, and empathy. They can provide new insights, drive enthusiasm, and foster understanding of others' perspectives. On the other hand, emotions can negatively impact critical thinking by clouding judgment and introducing biases. Strong emotions like fear, anger, or excitement can hinder logical reasoning and lead to impulsive or irrational decisions.
There have been instances where I made decisions based solely on emotions, without considering reason. For example, I once impulsively bought an expensive gadget because it made me feel excited and satisfied in the moment. However, the consequence was financial strain and regret afterward when I realized it was an impractical and impulsive purchase.
In my work experience, effective communication has played a crucial role in decision-making. Collaborative discussions, active listening, and clear articulation of ideas have helped in evaluating different options, considering diverse perspectives, and making informed choices. On the other hand, barriers to communication, such as unclear instructions, biased language, or a lack of open dialogue, have hindered critical thinking by limiting the flow of information, stifling creativity, and impeding effective problem-solving.
Emotions, communication, and reason are interdependent and complementary in the decision-making process. Emotions provide motivation and a sense of purpose, while reason offers logical analysis and evaluation of options. Communication serves as the bridge between emotions and reason, facilitating the exchange of information and perspectives necessary for informed decision-making. Balancing these elements involves recognizing and managing emotions, promoting effective and unbiased communication, and employing logical reasoning to arrive at well-considered decisions.
The Critical Thinking: Overcoming Barriers Matrix is a tool to identify and address barriers to critical thinking. Possible barriers that one may encounter in completing the task include cognitive biases, limited perspective, emotional biases, cultural or language barriers, information overload, and a lack of awareness of one's own thinking processes.
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The comparative balance sheets for Pina Colada Corp. as of December 31 are as follows. Pina Colada Corp. Comparative Balance Sheets December 31 Assets 2022 2021 Cash $57.900 $50.000 Accounts receivable 43,000 62.000 Inventory 152,000 143.400 Prepaid expenses 13.900 21.500 Land 144.400 131,300 Buildings 197.400 197,400 (33,100) Accumulated depreciation-buildings (57,800) 228.400 156,300 (44,200) (36,700) $735,000 $692.100 Equipment Accumulated depreciation-equipment Total Liabilities and Stockholders' Equity Accounts payable Bonds payable Common stock $1 par Retained earnings $46,500 $39,700 260,000 260,000 193.100 160.000 235,400 232,400 Total $735,000 $692.100 Additional information: 1. . 2. 3. Operating expenses include depreciation expense of $42,000 ($24,700 of depreciation expense for buildings and $17,300 for equipment). Land was sold for cash at book value. Cash dividends of $42,700 were paid. Net income for 2022 was $45,700. Equipment was purchased for $94,000 cash. In addition, equipment costing $21.900 with a book value of $12,100 was sold for $5,800 cash 4. . 5. 6. 33,100 shares of $1 par value common stock were issued in exchange for land with a fair value of $33.100. Pina Colada Corp. Statement of Cash Flows Adjustments to reconcile net income to < $ < ✓ V < $
Given,The comparative balance sheets for Pina Colada Corp.
as of December 31 are as follows. Pina Colada Corp. Comparative Balance Sheets December 31 Assets 2022 2021 Cash $57.900 $50.000 Accounts receivable 43,000 62.000 Inventory 152,000 143.400 Prepaid expenses 13.900 21.500 Land 144.400 131,300 Buildings 197.400 197,400 (33,100) Accumulated depreciation-buildings (57,800) 228.400 156,300 (44,200) (36,700) $735,000 $692.100 Equipment Accumulated depreciation-equipment Total Liabilities and Stockholders' Equity Accounts payable Bonds payable Common stock $1 par Retained earnings $46,500 $39,700 260,000 260,000 193.100 160.000 235,400 232,400 Total $735,000 $692.100Additional information:1. Operating expenses include depreciation expense of $42,000 ($24,700 of depreciation expense for buildings and $17,300 for equipment).2. Land was sold for cash at book value.3.
In addition, equipment costing $21.900 with a book value of $12,100 was sold for $5,800 cash.6. 33,100 shares of $1 par value common stock were issued in exchange for land with a fair value of $33.100.Therefore, we can prepare the Statement of Cash Flows for Pina Colada Corp as follows:Statement of Cash Flows for Pina Colada Corp. for the year ended December 31, 2022Cash Flows from Operating ActivitiesNet income $45,700 Adjustments to reconcile net income to cash provided by operating activities:
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Please.. I want to answer quickly.. in computer or in
clear handwriting.. and thank you very much
3) Choose the various criteria you would adopt to identify the national differences in the legal system of a foreign market. (5 marks)
The criteria that can be adopted to identify the national differences in the legal system of a foreign market.
1. Legal System: The first and the most obvious criterion is the type of legal system that is in place. Some countries follow a common law system, while others may follow a civil law system. There are some countries that follow a hybrid system that is a mix of the two. It is essential to understand the legal system in place in a country as it will dictate the way laws are enacted, interpreted, and enforced.
2. Constitutional Framework: The constitution of a country is the foundation of its legal system. It lays down the principles that guide the legislature, the judiciary, and the executive. Therefore, it is important to study the constitutional framework of a country to understand its legal system.
3. Contract Law: Contract law is an essential part of any legal system. It is the basis of all commercial transactions. Therefore, it is important to understand the contract law of a country before entering into any business dealings.
4. Intellectual Property: Intellectual property laws protect the rights of inventors, artists, writers, and other creators. It is important to understand the intellectual property laws of a country to protect one's own intellectual property and to avoid infringing on the intellectual property of others.
5. Labor Law: Labor laws govern the relationship between employers and employees. They lay down the minimum wage, working conditions, and other aspects of employment. Understanding labor laws is crucial if a company wants to set up operations in a foreign market.In conclusion, it is essential to understand the legal system of a foreign market before entering into any business dealings. This can be done by studying the constitutional framework, contract law, intellectual property laws, labor laws, and the legal system in place.
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A stock just paid an annual dividend of $7.3. The dividend is expected to grow by 4% per year for the next 4 years. In 4 years, the P/E ratio is expected to be 24 and the payout ratio to be 60%.
The required rate of return is 8%.
What should be the current stock price?
(If it helps, the answer is not 315 or 342)
The current stock price should be $182.5.
To calculate the current stock price, we can use the dividend discount model (DDM). The DDM calculates the present value of all expected future dividends.
The formula for the DDM is:
Stock Price = Dividend / (Required Rate of Return - Dividend Growth Rate)
Given the information provided:
Dividend = $7.3 (annual dividend just paid)
Dividend Growth Rate = 4% per year
Required Rate of Return = 8%
Using these values in the formula:
Stock Price = $7.3 / (0.08 - 0.04)
Stock Price = $7.3 / 0.04
Stock Price = $182.5
Therefore, the current stock price should be $182.5.
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Question content area top Part 1 (Portfolio beta and
CAPM) You are putting together a portfolio made up of four
different stocks. However, you are considering two possible
weightings
Portfolio beta is a measure of the volatility of a portfolio in relation to the overall market. It is calculated by taking the covariance of the portfolio's returns with the returns of the market index, and dividing it by the market's volatility, which is typically represented by the beta of the market index.
The Capital Asset Pricing Model (CAPM) is a financial model that helps investors determine the expected return on an investment based on its risk. It assumes that the return on a risk-free asset (such as a government bond) is known, and that the expected return on any other asset can be calculated as the risk-free rate plus a risk premium.
In the context of the question, it is unclear what the two possible weightings refer to. If the question is asking about how to choose between two different portfolios, the answer would depend on the specific characteristics and risk levels of the individual stocks in each portfolio.
To determine the beta of a portfolio, you would need to calculate the covariance between the portfolio's returns and the returns of the market index, and then divide that by the market's volatility. The beta of the market index would typically be obtained from historical data.
Once you have calculated the beta of the portfolio, you can use the CAPM to determine the expected return on the portfolio. This would involve multiplying the portfolio's beta by the risk-free rate, and adding any expected return premium based on the portfolio's risk level.
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Reflect on the start of this Spring 2022 term (Week 1/Module 1) when you learned about the Clark-Fisher model within the context of this course (BPM) and the economy of the US. The Clark-Fisher model explains the significant shift within the economy over time by emphasizing: a. The breakthroughs in Artificial Intelligence (Al) and Machine Learning (ML) systems. O b. Mechanization, modernization, and Automation (MMA). c. The movement of labor force from high productivity sectors to low productivity sectors. d. The movement of labor force from low productivity sectors to high productivity sectors.
The Clark-Fisher model explains the significant shift within the economy over time by emphasizing the movement of the labor force from low productivity sectors to high productivity sectors.
The Clark-Fisher model, developed by Colin Clark and Jean Fourastié, provides a framework to understand the structural changes in an economy. It identifies three main sectors: primary, secondary, and tertiary. The primary sector includes agriculture, mining, and natural resource extraction. The secondary sector comprises manufacturing and industrial production. The tertiary sector encompasses services and information-based industries.
According to the Clark-Fisher model, as an economy develops and progresses, there is a shift of labor from the primary sector to the secondary sector, and eventually to the tertiary sector. This shift is driven by technological advancements, innovation, and changes in consumer demand. The movement of labor from low productivity sectors (such as agriculture) to high productivity sectors (such as manufacturing and services) leads to increased overall economic productivity and improved standards of living.
While breakthroughs in artificial intelligence (AI) and machine learning (ML) systems (option a) can certainly impact the economy, the Clark-Fisher model focuses more on the structural changes brought about by the movement of labor across sectors. Mechanization, modernization, and automation (option b) are part of the transformation within the secondary sector, but they do not encompass the entire model. Option c, the movement of the labor force from high productivity sectors to low productivity sectors, contradicts the main premise of the Clark-Fisher model.
In conclusion, the Clark-Fisher model explains the dynamics of an evolving economy by emphasizing the movement of labor from low productivity sectors to high productivity sectors. This shift drives economic growth and development, and understanding this model can provide insights into the changing structure of economies like that of the United States.
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The Coase theorem asserts that the private market will always solve the problem of externalities and allocate resources efficiently
Select one:
a. even if private parties experience substantial costs of bargaining.
b. even if the initial distribution of legal rights is skewed in favor of some private parties over others.
c. only when there is a large number of private parties that engage in bargaining.
d. All of the above are correct.
The Coase theorem asserts that the private market will always solve the problem of externalities and allocate resources efficiently even if the initial distribution of legal rights is skewed in favor of some private parties over others.
The Coase theorem states that in the presence of well-defined property rights and low transaction costs, private parties can negotiate and reach efficient outcomes in dealing with externalities, regardless of the initial distribution of legal rights. This means that even if the legal rights are initially skewed in favor of certain parties, the private market can still find a way to allocate resources efficiently through negotiations and voluntary agreements.
Option a is incorrect because substantial costs of bargaining can hinder the ability of private parties to reach efficient outcomes, but the Coase theorem assumes low transaction costs. Option c is incorrect because the Coase theorem does not depend on a large number of private parties engaging in bargaining; it focuses on the ability of private parties to negotiate, regardless of their number. Therefore, the correct answer is b.
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1. What are the major issues related to the effectiveness of global remuneration plans?
2. What different tax approaches can be used by MNEs for international assignment compensation?
3. What are the major issues involved in the performance management of international assignees?
1. Global remuneration plans are the compensation strategies and policies used by multinational organizations to remunerate their workforce on a worldwide basis. It has become increasingly necessary for these firms to develop standardized and fair compensation packages across international borders to be competitive, efficient and retain their employees.
However, major challenges and issues related to the effectiveness of global remuneration plans include the complexity of the global tax systems, currency exchange rates, different cost-of-living, economic conditions, socio-cultural factors, and legal requirements. 2. Different tax approaches that can be used by MNEs for international assignment compensation include the "tax equalization" approach and the "tax protection" approach. In the tax equalization approach, the company assumes full responsibility for the expatriate’s taxes and equalizes the tax burden between the home and host countries. In the tax protection approach, the company agrees to pay any additional tax liability incurred by the expatriate beyond what they would have paid in their home country. The tax equalization approach is typically used by firms that want to provide a consistent tax treatment for all their employees while the tax protection approach is more commonly used by firms seeking to minimize the potential costs and complexities of an international assignment. 3. Performance management of international assignees involves evaluating and managing the work of employees who are working outside their home countries. Major issues involved in the performance management of international assignees include the alignment of individual performance with organizational goals, cultural differences, communication barriers, local laws and regulations, and career development issues.
Multinational organizations need to establish a performance management system that takes into account these factors and develops appropriate performance standards and metrics to evaluate the performance of international assignees. They also need to ensure that their international assignees are adequately trained, mentored, and supported in their work to achieve optimal performance.
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The time period assumption in accounting refers to: Muple Choice the operating period for a business the ability of a company to choose whatever calendar convention they wish for their fiscal period. the convention of using fiscal periods to represent a company's reporting period dividing the long ide of a company into shorter time periods O O
The time period assumption in accounting is the concept that financial activities of a business are divided into smaller and regular time intervals, such as monthly or yearly periods, for reporting on financial statements. It helps make financial statements more accurate and relevant to stakeholders.
The time period assumption in accounting refers to: dividing the long side of a company into shorter time periods.What is the time period assumption in accounting?Time period assumption, also called periodicity assumption, is an accounting concept that states that the economic activities of a business may be broken down into small and regular time intervals, such as monthly, quarterly, or yearly periods, and reported on financial statements for those periods.Furthermore, financial statements are constructed with a specific time period in mind and are relevant to the needs of the individuals who utilize them, such as creditors, investors, and other stakeholders. The purpose of the time period assumption in accounting is to make the financial statements more accurate and relevant to stakeholders.
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.Ms Indy opened uChampion Painters (uCP) on 1 June 2021.
On 31 May 2022, records show the following accounts:
$'000
Accounts receivable 167
Repairs expense 102
Painting supplies used 156
Painting revenue 1229
Long term loan 500
Ms Indy, drawings 220
Building 600
Ms Indy Capital 900
Salaries expense 176
Vehicle 681
Painting supplies 70
Equipment (painting) 210
Accountant fees expense 58
Cash at bank 98
Advertising expense 199
Accounts payable 108
Required:
a Prepare an income statement for uChampion Painters (uCP) for the year ended 31 May 2022. 4 marks
b Prepare a balance sheet as at 31 May 2022.
a. Income Statement for uChampion Painters (uCP) for the year ended 31 May 2022:
Income:
Painting Revenue: $1,229,000
Expenses:
Repairs Expense: $102,000
Salaries Expense: $176,000
Accountant Fees Expense: $58,000
Advertising Expense: $199,000
Net Income: Painting Revenue - Total Expenses
Net Income: $1,229,000 - ($102,000 + $176,000 + $58,000 + $199,000)
b. Balance Sheet as at 31 May 2022:
Assets:
Cash at Bank: $98,000
Accounts Receivable: $167,000
Building: $600,000
Vehicle: $681,000
Painting Supplies: $70,000
Equipment (Painting): $210,000
Total Assets: Sum of all individual asset values
Liabilities:
Accounts Payable: $108,000
Long-Term Loan: $500,000
Owner's Equity:
Ms Indy Capital: $900,000
Total Liabilities and Owner's Equity: Sum of all individual liabilities and owner's equity values
The balance sheet provides a snapshot of the company's financial position as of 31 May 2022, showing the company's assets, liabilities, and owner's equity.
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Keynes argued that an increase in expenditure of $10 billion has an even larger impact
on national output or GDP because
those who get jobs can consume more, causing companies to expand and hire more people.
the economic expansion causes an increase in imports.
the government usually contributes to economic expansions.
businesses get confident.
2. Which theorist did not believe that an increase in the capital stock would tend to
reduce the (actual or expected) profit rate?
Smith
Marx.
Sraffa.
Keynes.
None, these economists all thought more capital would mean a lower profit rate.
Keynes argued that an increase in expenditure of $10 billion has an even larger impact on national output or GDP because those who get jobs can consume more, causing companies to expand and hire more people.
According to Keynesian economics, an increase in aggregate demand, such as government spending or consumer expenditure, can lead to a multiplier effect. When individuals receive income through employment, they tend to spend a portion of that income, creating additional demand for goods and services. This increase in demand encourages businesses to expand production, hire more workers, and further stimulate economic activity. Therefore, Keynes believed that an increase in expenditure has a multiplier effect, leading to a larger impact on national output or GDP.
2. The correct option is "Sraffa".
Explanation: Piero Sraffa, an Italian economist, did not believe that an increase in the capital stock would tend to reduce the (actual or expected) profit rate. Sraffa's work, particularly in his book "Production of Commodities by Means of Commodities," focused on the relationship between capital and profits. He argued that the distribution of income and profits is determined by the relative prices of commodities and the wage rate, rather than the level of capital accumulation. Unlike Smith, Marx, and Keynes, Sraffa's analysis challenged the notion that more capital necessarily leads to a lower profit rate.
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Amazon - When Should They Recognize Revenue?
- Amazon Buys Inventory Of Weight Loss Equipment For $100 On 6/30/21.
- Amazon Sells The Weight Loss Equipment For $150 On 12/31/21.
- Amazon Ships The Equipment To The Customer On 1/2/21.
Amazon should recognize revenue for the sale of weight loss equipment on 1/2/21 when the equipment is shipped to the customer, as this is when the performance obligation is satisfied.
Amazon is a multinational technology company founded by Jeff Bezos in 1994. It started as an online marketplace for books but has since grown to become one of the world's largest e-commerce and cloud computing companies. Amazon offers a wide range of products and services, including retail sales, third-party marketplace, digital content, streaming services, artificial intelligence, and web services. The company is known for its customer-centric approach, fast delivery through Amazon Prime, and innovative technologies like Alexa and Kindle. Amazon has expanded its presence globally and has diversified into various industries, making it a dominant player in the digital marketplace and a major disruptor in several sectors.
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PART 1- JOB COSTING Tater Corporation uses a job-order costing system. The following data are for last year: Estimated direct labor hours 12,000 Estimated manufacturing overhead costs $36,000 Actual direct labor hours 11,000 Actual manufacturing overhead costs $35,000 Tater applies overhead using a predetermined rate based on direct labor hours. During the year Tater worked on several jobs, including job 104. Job 104 was completed at a cost of $30,000 of direct labor (based on 2,000 direct labor hours) and $26,000 of direct materials. I 1.What was the predetermined overhead rate used last year? 3 2. How much overhead was assigned to Job 104? 3. What is the total cost of Job 104? 4.lf Job 104 contained 2,000 units, the unit product cost on the completed job cost sheet would be:
The predetermined overhead rate used last year was $3.00 per direct labor hour. 2. The overhead assigned to Job 104 was $33,000.
1. The predetermined overhead rate used last year: Predetermined overhead rate is calculated by dividing the estimated manufacturing overhead costs by the estimated direct labor hours.
Predetermined overhead rate = Estimated manufacturing overhead costs/ Estimated direct labor hours= $36,000/12,000 direct labor hours= $3.00 per direct labor hour
2. Overhead assigned to Job 104 = Predetermined overhead rate × Actual direct labor hours= $3.00 × 11,000 hours= $33,0003.
The total cost of Job 104= Direct labor + Direct materials + Overhead assigned= $30,000 + $26,000 + $33,000= $89,0004.
The unit product cost on the completed job cost sheet would be:
Unit product cost = Total cost of Job 104 / Number of units= $89,000 / 2,000 units= $44.50 per unit
3. The total cost of Job 104 was $89,000.
4. If Job 104 contained 2,000 units, the unit product cost on the completed job cost sheet would be $44.50.
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risk management in the current social and political spectrum like covid-19 or the current crisis in europe
Risk management is the process of identifying, evaluating, and prioritizing risks, and taking appropriate measures to mitigate or control them. The current social and political climate is marked by several challenges, including the COVID-19 pandemic and the crisis in Europe.
Risk management is crucial in these uncertain times to ensure that organizations can continue to operate effectively while minimizing risks and adapting to changing circumstances. COVID-19 has posed several challenges for risk management, including the need to adapt to changing health and safety guidelines, manage the impact of lockdowns on supply chains and operations, and mitigate financial risks. Organizations must develop comprehensive risk management plans that take into account the unique challenges of the pandemic, including the need to manage remote workforces, maintain business continuity, and address cybersecurity risks.
The crisis in Europe, including Brexit and the economic challenges facing many countries, also presents significant risks for organizations operating in the region. Risk management strategies must take into account the political and economic risks associated with these challenges, including the impact on supply chains, workforce management, and financial stability.
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The problems provided by the current social and political landscape, including occurrences like the COVID-19 epidemic and the ongoing European crisis, must be addressed in part through risk management.
Identifying, evaluating, and mitigating risks are the goals of effective risk management procedures in order to reduce potential negative effects on people, organisations, and societies at large. The following are some essential factors for risk management in these situations:
Monitoring and assessment of risk: Understanding the potential dangers and vulnerabilities related to the social and political situation requires careful risk assessment.
Planning for various scenarios and emergency plans Due to the intricacies and unknowns surrounding social and political crises
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Shown below is an extract from the comparative statements of
financial position and statement of profit or loss of Benzie Ltd
for the year ended 30 June 2021:
Benzie Ltd
Balance Sheet
as a
Given comparative statements of financial position and statement of profit or loss of Benzie Ltd for the year ended 30 June 2021.
Benzie LtdBalance Sheetas at 30 June 2021
Current AssetsInventory 1,00,0001,50,000
Accounts receivable 50,00025,000
Cash 20,00010,000
Total Current Assets1,70,0001,85,000
Non-Current AssetsLand and buildings6,00,0006,00,000
Plant and machinery 3,00,0002,50,000
Total Non-Current Assets 9,00,0008,50,000
TOTAL ASSETS 10,70,00010,35,000
LIABILITIES Current Liabilities Accounts payable 30,00025,000
Bank overdraft 20,00050,000
Total Current Liabilities 50,00075,000
Non-Current Liabilities Long-term loan 1,50,0002,00,000
Total Non-Current Liabilities 1,50,0002,00,000
TOTAL LIABILITIES 2,00,0002,75,000
NET ASSETS 8,70,0007,60,000
EQUITY Share capital 4,00,0004,00,000
Retained earnings 4,70,0003,60,000
TOTAL EQUITY 8,70,0007,60,000Statement of profit or loss
for the year ended 30 June 2021
Revenue 10,00,000
Less Cost of SalesOpening inventory 1,50,000
Purchases 7,00,000
Less Closing inventory 1,00,000
Cost of Sales 6,50,000
Gross Profit 3,50,000
Less ExpensesSalaries and wages 1,50,000
Rent 1,00,000
Insurance expense 20,000
Depreciation expense 1,00,000
Interest expense 30,000
Bad debt expense 10,000
Total expenses 3,10,000
Profit before tax 40,000
Less Income tax expense 8,000
Net Profit 32,000This is the required answer.
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