give a short simple explanation and give each example;

1. What is international suppliers in global supply chain system?

2. What is offshore manufacturing in global supply chain system?

3. What is fully integrated global supply chain?

4. Explain the benefits of global supply chain management?

Answers

Answer 1

1. International suppliers in global supply chain systemInternational suppliers in the global supply chain system refer to suppliers of goods or services that are located in other countries other than the buyer's country.

They provide components and raw materials for manufacturing or finished goods for distribution and resale. Examples of international suppliers include Chinese manufacturers, Indian IT services, and European logistics companies.2. Offshore manufacturing in global supply chain systemOffshore manufacturing in global supply chain system is a business model whereby a company outsources its manufacturing process to a foreign company that specializes in a particular product line.

The foreign company is responsible for producing the product according to the buyer's specifications. Examples of offshore manufacturing include Nike shoes produced in China, iPhones produced in India, and cars produced in Mexico.3. Fully integrated global supply chainA fully integrated global supply chain is a system where all the components, suppliers, and manufacturers are interdependent and interconnected.

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Related Questions

(Annuity number of periods) You've just bought a new flat-screen TV for $3,000 and the store you bought it from offers to let you finance the entire purchase at an annual rate of 14 percent compounded monthly. If you take the financing and make monthly payments of $100, how long will it take to pay off the loan? How much will you pay in interest over the life of the loan?

Answers

Over the life of the loan, you will pay approximately $739 in interest.

To determine how long it will take to pay off the loan and the total interest paid, we can use the annuity formula. The formula for the number of periods required to pay off an annuity is:

n = -log(1 - (r × P) / A) / log(1 + r)

where

n = number of periods

r = interest rate per period

P = principal amount (loan amount)

A = monthly payment

Principal amount (P) = $3,000

Interest rate per period (r) = 14% / 12 (since it's compounded monthly)

Monthly payment (A) = $100

r = 14% / 12 = 0.14 / 12 = 0.01167

n = -log(1 - (0.01167 × 3000) / 100) / log(1 + 0.01167)

n ≈ 37.39

Therefore, it will take approximately 37.39 months to pay off the loan.

Total interest paid = (A × n) - P

Total interest paid = (100 × 37.39) - 3000

Total interest paid ≈ $3,739 - $3,000

Total interest paid ≈ $739

Thus, over the life of the loan, you will pay approximately $739 in interest.

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Summit Systems will pay a dividend of $1.58 this year. If you expect Summit's dividend to grow by 5.3% per year, what is its price per share if the firm's equity cost of capital is 10.9%? The price per share is $ (Round to the nearest cent.)

Answers

The price per share of Summit Systems is approximately $30.50, calculated using the dividend discount model with a dividend growth rate of 5.3% and an equity cost of capital of 10.9%.

The price per share can be calculated using the dividend discount model (DDM), which takes into account the expected dividend growth rate and the equity cost of capital. The formula for DDM is:

Price per Share = Dividend / (Equity Cost of Capital - Dividend Growth Rate)

Substituting the given values into the formula:

Price per Share = $1.58 / (0.109 - 0.053)

Price per Share = $1.58 / 0.056

Price per Share ≈ $30.50 (rounded to the nearest cent)

Hence, based on the given information, the price per share of Summit Systems is approximately $30.50. This calculation assumes that the dividend growth rate and the equity cost of capital remain constant over time. It is important to note that stock prices can be influenced by various factors in the market, and this calculation provides an estimate based on the provided data.

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Hie Corpotabon Has A Current Fatio (Current Assets/ Current Babilities) Of 2.1. How Will The Payment Of A Cash Dividend Dedared

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Corporation has a current ratio of 2.1. The payment of a cash dividend declared will impact the company's current ratio as follows Dividend payment is recorded in the cash flow statement's financing activities section and has no effect on the balance sheet.

When a cash dividend is declared, the company's cash balance decreases, reducing the current asset. However, there will be no change in the current liabilities portion of the balance sheet as dividends are not a liability.The current ratio formula is Current assets/ Current liabilities, where current assets refer to the assets that can be converted into cash within one year, while current liabilities refer to the obligations that must be paid within one year of the balance sheet date.

When the dividend is paid, the company's current asset account will decrease, reducing the current ratio if the current liabilities do not change.To conclude, the payment of a cash dividend will reduce Hie Corporation's current ratio. This is because dividends paid will be considered as a reduction in the company's current assets, while current liabilities remain constant. However, the extent of the reduction will depend on the amount of the dividend payment and the initial value of the current assets.

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Which of the following is consistent with risk averse preferences? A consumer has a positive risk premium. A consumer prefers a certain income to an uncertain, yet equal, expected income. All of these are consistent with risk aversion. The consumer's expected utility of a random income is less than the utility of that expected inocme.

Answers

All of the options mentioned are consistent with risk averse preferences.

Risk aversion refers to a consumer's tendency to prefer certainty over uncertainty when it comes to income or outcomes.

1. A consumer having a positive risk premium is consistent with risk aversion. A risk premium is the additional return required by an individual to take on a risky investment compared to a risk-free investment. A positive risk premium indicates that the consumer demands compensation for taking on additional risk.

2. A consumer preferring a certain income to an uncertain, yet equal, expected income is also consistent with risk aversion. This means that the consumer would rather have a guaranteed income rather than taking a chance on an income that has an equal expected value but carries uncertainty.

3. The consumer's expected utility of a random income being less than the utility of that expected income is another indication of risk aversion.

Utility refers to the satisfaction or happiness derived from consuming goods or experiencing certain outcomes. If the expected utility from a random income is less than the utility from an expected income, it suggests that the consumer values certainty over uncertainty.

In summary, all the options provided are consistent with risk averse preferences as they demonstrate a preference for certainty and a hesitation towards risky or uncertain outcomes.

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"A consumer prefers a certain income to an uncertain, yet equal, expected income."

Risk aversion refers to a preference for certainty over uncertainty when it comes to income or outcomes. In this case, the consumer's preferences are being evaluated to determine if they exhibit risk aversion.

This means that the consumer values the certainty of receiving a certain income more than the uncertainty associated with an equal expected income. Risk-averse individuals typically prefer to avoid risk and would rather have a guaranteed outcome, even if it means forgoing the potential for higher gains.

The other options, such as "A consumer has a positive risk premium" and "The consumer's expected utility of a random income is less than the utility of that expected income," do not directly indicate risk aversion. However, they may be related to risk preferences in a broader context.

Therefore, the option "A consumer prefers a certain income to an uncertain, yet equal, expected income." is consistent with risk averse preferences.

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what are rhe factors to consider when raising project finance from equity to debt markets

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When transitioning from equity to debt markets to raise project finance, there are several factors to consider. Here are some key considerations:

Risk profile: Debt markets generally prefer projects with lower risk profiles. Assess the risk factors associated with your project, such as market demand, competition, regulatory environment, and financial stability. Lower-risk projects are more likely to attract debt financing.Project cash flows: Debt markets focus on the ability of the project to generate sufficient cash flows to service the debt. Evaluate the projected cash flows, including revenue streams, operating costs, and debt repayment ability. A strong and stable cash flow stream increases the chances of securing debt financing.Debt capacity: Determine the optimal debt capacity of your project. Assess the maximum level of debt the project can support while maintaining financial viability. Debt capacity depends on factors such as cash flow stability, collateral value, debt-to-equity ratios, and industry norms.Collateral and security: Debt financing often requires collateral or security to protect lenders' interests. Identify the assets or revenue streams that can be pledged as collateral and assess their value. The availability and quality of collateral will influence the terms and interest rates offered by debt market participants.Debt structure and terms: Evaluate the most suitable debt structure for your project. Consider factors such as interest rates, repayment terms, amortization schedules, and any covenants or conditions attached to the debt. Understand the impact of these terms on your project's cash flow and financial flexibility.Cost of capital: Compare the cost of equity financing with the cost of debt financing. Debt is generally considered cheaper than equity due to tax advantages and lower required returns. Assess the overall cost of capital and the impact on project economics to determine the feasibility of transitioning to debt markets.Market conditions: Monitor the prevailing market conditions, including interest rate trends, availability of debt financing, and investor appetite for project finance. Timing your entry into the debt market during favorable conditions can enhance your chances of securing attractive terms.Regulatory and legal considerations: Understand the regulatory and legal framework governing debt financing in your jurisdiction. Comply with relevant laws, regulations, and disclosure requirements. Seek legal advice to ensure your project meets all necessary criteria and documentation for debt market participation.Investor relationships: Cultivate relationships with potential debt investors, including banks, institutional investors, and debt funds. Engage with financial advisors and intermediaries who can connect you with suitable debt financing sources. Building trust and credibility with potential lenders can facilitate the transition to debt markets.

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Which of the following statements explain Selling Orientation? A. Consumers prefer products that are widely available and inexpensive. B. Tries to find not only the right customers for products but also the right products for customers. C. Consumers favor products offering the most quality, performance, or innovative features, D. Concentrates on achieving high production efficiency, low costs, and mass distribution. E. Consumers and businesses, if left alone, won't buy enough of the organization's products. Which of the following is NOT correct? A. Demand: Want for specific products backed by an ability to pay B. Metamediary: Provides a single access point where buyers can locate and contact many different sellers C. Need: Human requirements. D. Want: a Specific object that might satisfy the need E. Metamarket: Contains various industries

Answers

The statement that does not explain Selling Orientation is E.) Metamarket Contains various industries. Statement E, Contains various industries, does not provide an explanation of Selling Orientation.

The concept of Selling Orientation focuses on achieving high production efficiency, low costs, and mass distribution. It emphasizes the organization's perspective of selling products to customers.

The remaining statements, A, B, C, and D, are all relevant to different marketing orientations. A represents the market orientation, where the focus is on meeting consumer preferences. B relates to the marketing concept, which aims to match the right products with the right customers.

C represents the product orientation, focusing on offering quality and innovative features. Therefore, E, the statement about metamarket, is the one that does not align with Selling Orientation.

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Option D, "Concentrates on achieving high production efficiency, low costs, and mass distribution," is the correct statement that explains Selling Orientation.

Selling Orientation is a business approach that focuses on achieving high production efficiency, low costs, and mass distribution. It is not concerned with understanding customer needs or preferences.

Option D, "Concentrates on achieving high production efficiency, low costs, and mass distribution," accurately describes Selling Orientation. This approach assumes that consumers and businesses, if left alone, won't buy enough of the organization's products. It emphasizes pushing products onto customers rather than identifying and meeting their specific needs.

Option A, "Consumers prefer products that are widely available and inexpensive," describes a Market Orientation, where the organization focuses on meeting customer demands by offering products that are readily available and affordable.

Option B, "Tries to find not only the right customers for products but also the right products for customers," describes a Societal Marketing Orientation, which goes beyond meeting customer needs to also consider the societal well-being and long-term sustainability of the organization.

Option C, "Consumers favor products offering the most quality, performance, or innovative features," describes a Product Orientation, where the organization focuses on product quality, performance, and innovation to attract customers.

Option E, "Consumers and businesses, if left alone, won't buy enough of the organization's products," is consistent with Selling Orientation.

In summary, Option D, "Concentrates on achieving high production efficiency, low costs, and mass distribution," is the correct statement that explains Selling Orientation.

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AMAZON AS AN EMPLOYER CASE STUDY

-What do you propose as a solution?

!!!PLEASE DESCRIBE WHAT SHOULD BE THE SOLUTION FOR THE PROBLEM IN THIS STUDY CASE !!!

!!! NEED IT URGENTLY !!!

Answers

One proposed solution for addressing concerns related to Amazon as an employer is to prioritize and invest in employee well-being and work-life balance.

Amazon has faced criticism and scrutiny regarding its working conditions, including long hours, high productivity expectations, and inadequate breaks. To address these concerns, the company can implement measures to prioritize the well-being of its employees and promote a healthy work-life balance.

One approach could involve reevaluating productivity targets and ensuring they are reasonable and achievable without causing excessive stress or compromising employees' physical and mental health. Providing regular breaks, sufficient rest periods, and opportunities for relaxation and self-care can contribute to a healthier work environment.

Additionally, fostering a supportive and inclusive workplace culture is crucial. Encouraging open communication channels, valuing employee feedback, and addressing concerns promptly can help create a positive work environment where employees feel heard and supported.

Investing in employee training and development programs can also enhance job satisfaction and promote career growth within the company. By providing opportunities for skill-building and advancement, Amazon can demonstrate a commitment to employee success and well-being.

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the plan-do-check-act (pdca) process improvement model can be applied specifically to improving project meetings. group of answer choices true false

Answers

True. The Plan-Do-Check-Act (PDCA) process improvement model can be applied to improving project meetings, allowing for continuous improvement and optimization.

Plan: Identify the objectives and desired outcomes of the project meetings. Set clear agendas, define roles and responsibilities, and establish meeting guidelines.

Do: Execute the planned activities during the project meetings. Follow the agenda, encourage participation, and ensure effective communication and collaboration among team members.

Check: Evaluate the effectiveness of the project meetings. Assess whether the objectives were met, gather feedback from participants, and analyze meeting outcomes.

Act: Take appropriate actions based on the evaluation and feedback received. Make adjustments to meeting processes, address any identified issues or areas for improvement, and implement changes to enhance future project meetings.

By applying the PDCA model, project teams can continuously assess and refine their meeting practices, ensuring that meetings are productive, efficient, and contribute to project success.

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A stock's price is $100. Over each of the next two three month periods it is expected to go up by 15% or down by 10%. The risk free rate is 4% p.a. The stock pays a dividend of $1 per quarter. Assume the option expires the day before the second period dividend is paid.
a. What should be the current price of a 6-month European style put option with a strike price of $95?
b. What should be the current price of a 6-month American style put option with a strike price of $95?
c. What should be the current price of a 6-month European style call option with a strike price of $95?
d. What should be the current price of a 6-month American style call option with a strike price of $95?

Answers

The European style put and call options will have the same prices as their American style counterparts.

a. Current price of a 6-month European style put option with a strike price of $95:

Using the binomial option pricing model, we can calculate the option price by considering the potential price movements of the stock over the next two three-month periods.

1. - After the first three months: $100 * (1 + 15%) = $115 (up) or $100 * (1 - 10%) = $90 (down).

  - After the second three months: $115 * (1 + 15%) = $132.25 (up) or $90 * (1 - 10%) = $81 (down).

2. - Up movement probability: (1 + risk-free rate - down rate) / (up rate - down rate)

    = (1 + 4% - (-10%)) / (15% - (-10%)) = 1.1935.

3. - At the end of six months, if the stock price is above the strike price ($95), the option payoff is $95 - stock price.

  - If the stock price is below the strike price, the option payoff is zero.

4.

  - Discount factor:[tex](1 + risk free rate)^{(-number of periods)}[/tex]

    = (1 + 4%)⁻² = 0.9608.

5.

  - Option price = (up payoff probability * up payoff + down payoff probability * down payoff) * discount factor

    = (1.1935 * ($95 - $132.25) + (1 - 1.1935) * 0) * 0.9608.

b. Current price of a 6-month American style put option with a strike price of $95:

The American style put option can be exercised at any time before expiration. Therefore, the price should be equal to the European style put option calculated in part (a).

c. Current price of a 6-month European style call option with a strike price of $95:

The call option price can be calculated using the same steps as in part (a), but with a different option payoff calculation:

  - At the end of six months, if the stock price is above the strike price ($95), the option payoff is stock price - $95.

  - If the stock price is below the strike price, the option payoff is zero.

d. Current price of a 6-month American style call option with a strike price of $95:

The American style call option can be exercised at any time before expiration. Therefore, the price should be equal to the European style call option calculated in part (c).

To calculate the option prices, we use the binomial option pricing model to consider the potential price movements of the stock and calculate the expected option payoffs. The prices are then discounted to the present value using the risk-free rate. The European style put and call options will have the same prices as their American style counterparts, given that the options expire the day before the second period dividend is paid.

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Using your scientific calculator, find the money accumulated if you invested $65,000 at 7.3% interest for 10 years compounded continuously.

Answers

The money accumulated if $65,000 is invested at 7.3% interest for 10 years compounded continuously is approximately $106,122.11.

How can we calculate the money accumulated with continuous compounding?

To calculate the money accumulated with continuous compounding, we can use the formula:

A=P⋅ert

Where:

A = Accumulated amount

P = Principal amount (initial investment)

e = Euler's number (approximately 2.71828)

r = Annual interest rate (in decimal form)

t = Time in years

In this case, we have P = $65,000, r = 7.3% = 0.073, and t = 10 years. Plugging these values into the formula, we get:

A = 65000 \cdot e^{0.073 \cdot 10} \approx $106,122.11

Therefore, the money accumulated after 10 years with continuous compounding would be approximately $106,122.11.

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You purchased 200 shares of Cator Haters, Inc. at $38.64 per share. Since then, you have received the following dividends per share: $2.14.$2.14,$2,30,$2.30. The current price of the stock is $37.34. What is the Total Return in dollars (\$)? $1,776 $758 $1.516 51.018 $2,036

Answers

Third option is the correct answer. The total return in dollars is $1,516 when considering the capital gains and dividends received from the investment in Cator Haters, Inc.

The total return can be calculated by adding the capital gains and dividends received.

To calculate the capital gains, subtract the current price of the stock from the purchase price and multiply by the number of shares:
Capital gains = (Current price - Purchase price) * Number of shares
Capital gains = ($37.34 - $38.64) * 200
Capital gains = (-$1.30) * 200
Capital gains = -$260

To calculate the total dividends received, add up the dividends per share and multiply by the number of shares:
Total dividends = (Dividend per share 1 + Dividend per share 2 + Dividend per share 3 + Dividend per share 4) * Number of shares
Total dividends = ($2.14 + $2.14 + $2.30 + $2.30) * 200
Total dividends = $8.88 * 200
Total dividends = $1,776

To calculate the total return, add the capital gains and total dividends:
Total return = Capital gains + Total dividends
Total return = -$260 + $1,776
Total return = $1,516

Therefore, the total return in dollars is $1,516.

In conclusion, the total return in dollars is $1,516 when considering the capital gains and dividends received from the investment in Cator Haters, Inc.

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Select any 4 companies and and write about them, Why did you choose those particular companies? Briefly discuss what each company is doing in their diversity initiatives.
Discuss any similarities and/or differences in what these companies are doing.
How are their initiatives impacting the organization in terms of people management, organizational performance, and strategy?

Answers

Conclusion Answer in three lines: The four companies I have chosen are Ap-ple, Go-ogle, Mi-crosoft, and I-BM. I selected these companies because they are widely recognized for their diversity initiatives and their impact on people management, organizational performance, and strategy.

Step-wise explanation:

1. Ap-ple: Ap-ple is committed to diversity and inclusion in its workforce. They focus on ensuring equal opportunities, promoting diversity in leadership positions, and supporting underrepresented communities. Their initiatives aim to create a more inclusive and innovative work environment.

2. Go-ogle: Go-ogle prioritizes diversity and inclusion by implementing various programs and initiatives. They focus on increasing the representation of underrepresented groups in their workforce, creating an inclusive culture, and promoting diversity in leadership roles. Their initiatives positively impact employee morale and foster innovation.

3. Micro-soft: Micro-soft has a strong commitment to diversity and inclusion. They have initiatives that aim to increase representation, provide equal opportunities, and foster an inclusive culture. Their focus on diversity and inclusion has positively impacted employee engagement, creativity, and overall organizational performance.

4. I-BM: I-BM is known for its diversity and inclusion efforts. They have initiatives that focus on increasing representation, promoting equality, and fostering an inclusive work environment. I-BM's diversity initiatives have positively impacted employee engagement, talent attraction, and innovation.

Similarities and Differences:

- All four companies prioritize diversity and inclusion in their workforce.
- They have initiatives to increase representation and promote equal opportunities.
- The companies differ in the specific programs and strategies they implement.

Impact on People Management, Organizational Performance, and Strategy:

- These diversity initiatives positively impact people management by fostering a more inclusive and equitable work environment.
- They contribute to organizational performance by increasing employee engagement, attracting diverse talent, and fostering innovation.
- In terms of strategy, these initiatives help companies build a diverse and inclusive culture, enhance their reputation, and better understand their diverse customer base.

The similarities among these companies lie in their dedication to diversity and inclusion. They all prioritize increasing representation and promoting equal opportunities. However, the specific programs and strategies they implement differ.

A diverse workforce brings different perspectives and ideas, leading to increased innovation and creativity. Additionally, these companies' diversity initiatives contribute to their overall strategy. They help build a diverse and inclusive culture, enhance their reputation as inclusive employers, and better understand their diverse customer base. Overall, these initiatives have a positive impact on people management, organizational performance, and strategic positioning.

Would a risk averse investor choose to invest a portion of her investment portfolio in the international large fund? why or why not?

Answers

A risk-averse investor may be hesitant to invest in an international large fund due to the potential for increased volatility, currency fluctuations, and geopolitical uncertainties. They prioritize stable returns and may prefer domestic investments.

A risk-averse investor is someone who has a low tolerance for risk and prefers investments with lower volatility and more stable returns. Whether a risk-averse investor would choose to invest a portion of their portfolio in an international large fund depends on several factors.

Diversification: Investing in international markets can provide diversification benefits by spreading the investment across different regions and economies. Diversification can help reduce the overall risk of the portfolio. However, it's important to consider the correlation between international markets and the investor's domestic market, as high correlations may limit the diversification benefits.

Risk and Volatility: International investments can be subject to additional risks such as currency fluctuations, geopolitical uncertainties, and regulatory differences. These factors can increase the volatility of the investment. A risk-averse investor may be cautious about exposing their portfolio to such risks and prefer more stable domestic investments.

Risk-Return Tradeoff: Risk-averse investors generally prioritize capital preservation and prefer investments with lower risk and more predictable returns. International markets may offer the potential for higher returns, but they also come with increased risk. The investor would need to assess whether the potential reward justifies the added risk.

Ultimately, the decision to invest in an international large fund would depend on the specific investor's risk tolerance, investment goals, time horizon, and overall portfolio diversification strategy.

It is important for the investor to carefully evaluate the potential risks and rewards and consult with a financial advisor to make an informed decision that aligns with their risk preferences and investment objectives.

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Understanding the concept of cash flows and the difference between cash flows and let Income Is critical to the financial health of a business organization. To this end, (1) choose whether the following statements are true nr false or (2) select the correct answer from the list of possible answers. True or False: The term "net income" refers to the movement of cash into and out or a business or project. False True True or False: U.S. Generally accepted accounting principles (GAAP) allow the deduction of expenses that do not require cash payments. These noncash expenses ran mean the difference between a firm's net income and its rash position. True False True or False: Manners add value to a firm when they invest cash to acquire assets. These assets at in turn used to produce goods or services that produce streams of cash flows that are smaller than the cost of the assets. True False True or False: Financial manager are called on to make investment, financing, and dividend decisions for their firms. Their financing decisions affect the left-hand side of the firm's balance sheet. True False The critical nature of cash flows is reflected in the express on: "Cash flow is king" Identify which of the following statements is false. The value of a firm's debt and equity securities should be based on the cash flows expected to be generated for their owners. An emphasis on rash flows, rather than accounting-based measures of performance, makes It more likely that the Objective of maximizing wealth will be achieved. the value of a capital investment, such so a piece of machinery or a division within the firm, should be based on the discounted. or today's, value of the cash flows expected to be generated by the investment minus the cost of the investment. One of the leasing causes or failure of new and rapidly growing Businesses is an overabundance of internally generated cash flows. The proper formula for the calculation of a cash flow (CF) based on a firm's net Income (NT) and Its noncash expenses is: CF=N1 Depreciation Expense Deferred Taxes CF = N1 - Noncash Expenses CF = N1 + Noncash Expenses N1 - CF + Depredation Expense + Deterred Taxes Operating, investing, and financing activities and cash flows The statement of cash flows reports a company's cash inflows and outflows for a given accounting period by categorizing the company's sources and uses of cash as either operating, investing, or financing activities Determine whether the activities described in the following table should be categorized as operating, investing, or financing activities in the statement of cash flows.

Answers

1. False. The term "net income" refers to the movement of cash into and out of a business or project.

2. True.  U.S. Generally accepted accounting principles (GAAP) allow the deduction of expenses that do not require cash payments. These noncash expenses can mean the difference between a firm's net income and its cash position.

3. False. Managers add value to a firm when they invest cash to acquire assets. These assets are in turn used to produce goods or services that produce streams of cash flows that are smaller than the cost of the assets.

4. True.  Financial managers are called on to make investment, financing, and dividend decisions for their firms. Their financing decisions affect the left-hand side of the firm's balance sheet.

Identify which of the following statements is false:

The proper formula for the calculation of a cash flow (CF) based on a firm's net income (NI) and its noncash expenses is: CF = NI + Noncash Expenses

The term "net income" refers to the profit or earnings of a business after deducting all expenses, including noncash expenses like depreciation. It represents the difference between total revenues and total expenses but does not necessarily reflect the movement of cash into and out of the business. Hence, the statement is false.

U.S. Generally accepted accounting principles (GAAP) allow the deduction of expenses that do not require cash payments. These noncash expenses, such as depreciation, can reduce a firm's net income while not affecting its cash position. Therefore, the statement is true.

Managers add value to a firm when they invest cash to acquire assets that can generate future cash flows. These assets should ideally produce cash flows that are greater than or equal to the cost of the assets. Therefore, the statement is false as the cash flows should ideally be equal to or greater than the cost of the assets.

Financial managers are responsible for making investment decisions (e.g., deciding which assets to acquire), financing decisions (e.g., determining the capital structure of the firm), and dividend decisions (e.g., deciding how much to distribute to shareholders). Their financing decisions, which involve raising funds through debt or equity, affect the left-hand side (liabilities and equity) of the firm's balance sheet. Therefore, the statement is true.

The false statement is: The value of a firm's debt and equity securities should be based on the cash flows expected to be generated for their owners.

Understanding cash flows and differentiating them from net income is crucial for the financial health of a business organization. Cash flows reflect the movement of cash into and out of a business, while net income represents the profit or earnings after deducting all expenses. Financial managers play a vital role in making investment, financing, and dividend decisions for their firms, with their financing decisions impacting the firm's balance sheet. The proper valuation of a firm's securities should consider the expected cash flows. The statement of cash flows categorizes a company's cash inflows and outflows as operating, investing, or financing activities.

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At the beginning of the year, Shinedown, Corporation, had a long-term debt balance of $46,630. During the year, the company repaid a long-term loan in the amount of $12,455. The company paid $4,700 in interest during the year, and opened a new long-term loan for $11,000. How much is the ending long-term debt account on the company's balance sheet?

$6,155

$48,085

$45,175

$52,930

Answers

Based on the information provided, we can calculate the ending long-term debt account on Shine down Corporation's balance sheet.

Starting long-term debt balance: 46,630
Repayment of long-term loan: 12,455
Interest paid during the year: -4,700
New long-term loan opened: +11,000

To find the ending long-term debt account, we need to subtract the repayment and interest paid and add the new loan amount to the starting balance.
46,630 - 12,455 - 4,700 + 11,000 = 40,475. the ending long-term debt account on the company's balance sheet is 40,475. None of the given options matches this amount, so none of the provided options are correct.

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Suppose the economy of a hypothetical country has reached its long-run macroeconomic equilibrium when each of the following aggregate demand shocks occurs. 1. The economy of a hypothetical country has been stable for two or three years with very low unemployment. Wages have been gradually increasing during this time. Now stock market prices begin significant increases, causing peoples’ investments, such as their retirement accounts and other investments, to increase in value. People feel very good about the future and use their new-found wealth to buy things that they had been hesitant to purchase in the past.

Given this scenario, insert your answers below each of the following questions.

a. What kind of economic gap will start to occur (inflationary or recessionary)?

(Enter your response here.)

b. What kind of fiscal policy might be helpful to stabilize the economy (expansionary or contractionary)?

(Enter your response here.)

c. What specific fiscal policy tools does the government have available and how should these tools be utilized to maximize their effect in stabilizing the economy?

(Enter your response here.)

d. How should these tools be utilized to maximize their effect in stabilizing the economy?

(Enter your response here.)

e. What would be the likely impact on the government budget and national debt of the use of these fiscal policy tools?

(Enter your response here.)

Answers

The aggregate demand shock described in the scenario above is expansionary. In this case, the economy will start to experience an inflationary gap.

(a)Fiscal policy that is contractionary might be helpful to stabilize the economy in such a situation. (b)The government can use taxation and government spending to control the economy and stabilize it. For instance, the government may opt to increase taxes to decrease the amount of money circulating in the economy. (c)To increase government spending, the government may opt to decrease taxes. This would result in increased aggregate demand, which would help stabilize the economy.

(d)To maximize the effect of these tools in stabilizing the economy, the government should ensure that its fiscal policy is consistent with its monetary policy. This would help reduce any potential negative impacts from inflation and other macroeconomic issues. (e)Using fiscal policy tools will impact the government budget and national debt. Government spending will lead to increased government borrowing, which will lead to an increase in the national debt.

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Rundle Training Services (RTS) provides instruction on the use of computer software for the employees of its corporate clients. It offers courses in the clients’ offices on the clients’ equipment. The only major expense RTS incurs is instructor salaries; it pays instructors $5,600 per course taught. RTS recently agreed to offer a course of instruction to the employees of Novak Incorporated at a price of $410 per student. Novak estimated that 20 students would attend the course.

Base your answers on the preceding information.

Required

Relative to the number of students in a single course, is the cost of instruction a fixed or a variable cost?

Determine the profit, assuming that 20 students attend the course.

Determine the profit, assuming a 10 percent increase in enrollment (i.e., enrollment increases to 22 students). What is the percentage change in profitability?

Determine the profit, assuming a 10 percent decrease in enrollment (i.e., enrollment decreases to 18 students). What is the percentage change in profitability?

Answers

The cost of instruction relative to the number of students in a single course is considered to be a variable cost. This cost rises as more students enroll in the course, since an additional instructor needs to be hired, which incurs additional salary costs.

Assuming that 20 students attend the course, the profit is calculated by subtracting the cost of instructor salaries from the revenue generated by the course, which is $410 multiplied by 20 participants, or $8,200. Therefore, the profit would be $2,600 ($8,200 – $5,600). If there was a 10 percent increase in the enrollment, with 22 students attending the course, the profit would be $2,920 ($9,420 – $6,500). This would represent a 12.3 percent increase in profitability ($2,920/$2,600 - 1 = 0.123, or 12.3 percent).

On the other hand, if there was a 10 percent decrease in enrollment, with 18 students attending the course, the profit would be $2,440 ($7,480 – $5,040). This would represent a 6.2 percent decrease in profitability ($2,440/$2,600 - 1 = -0.062, or -

6.2 percent).

Overall, the cost of instruction in any given course is a variable cost, and the profitability of a course depends on the number of participants enrolled in the course. If the number of students in the course increases, the profit would increase, and if the number of students in the course decreases, the profit would decrease.

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Germlia can produce 220 tons of apples in a year, if the country focuses entirely on producing apples. Alternatively, Germlia

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If Germlia wants to maintain a high level of apple production, it would be wise to focus solely on apples and not grow other crops. This way, it would be able to produce 220 tons of apples annually.

Germlia is a country that can produce 220 tons of apples annually. If the country were to focus on producing apples alone, it could produce this many tons of apples. However, if the country decided to produce other crops besides apples, it would not be able to produce as many apples as it would be focusing on other crops as well. It would produce less than 220 tons of apples yearly.Germlia is a country that is able to produce a lot of apples. It can produce up to 220 tons of apples annually.

If the country decided to focus solely on producing apples, it would be able to produce this many tons of apples. This would make it one of the largest apple producers in the world. However, if Germlia decides to grow other crops alongside apples, its apple production would decrease.In conclusion, if Germlia wants to maintain a high level of apple production, it would be wise to focus solely on apples and not grow other crops. This way, it would be able to produce 220 tons of apples annually.

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In the beginning of the current year of assessment Dakota received a loan of R25000 at an interest rate c 4%. from her employer. 6 months into the year she repaid half of the amount owed to the employer. You may assume that the official interest rate remained at 7.2%. YOU ARE REQUIRED to calculate the taxable portion of the fringe benefit for the current year of assessment. Select one: a. R1 000 b. R1 800 c. R800 d. R600

Answers

The taxable portion of the fringe benefit for the current year of assessment is c. R800. To calculate the taxable portion of the fringe benefit, we need to consider the interest rate and the repayment made by Dakota.

At the beginning of the year, Dakota received a loan of R25000 at an interest rate of 4% from her employer. After 6 months into the year, she repaid half of the amount owed. First, we need to calculate the interest accrued on the loan for the entire year. Using the official interest rate of 7.2%, the interest accrued would be 7.2% of R25000, which is R1800. Since Dakota repaid half of the loan amount, she paid back R12500 to her employer. Therefore, the remaining outstanding loan amount is R25000 - R12500 = R12500.

The taxable portion of the fringe benefit is calculated by subtracting the interest Dakota paid from the interest accrued. So, the taxable portion is R1800 - R1000 (4% of R25000/2) = R800. Therefore, the taxable portion of the fringe benefit for the current year of assessment is R800 (option c).

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Exchange rate is currently $1.85 US per 1 British pound. Interest rate is 4% in the US and 3% in the UK. A bank is short a futures contract on 1,000,000 pounds with F= $1.9 million maturing in one year. Find the delta of the bank’s position.

a.

1,826,923.08

b.

1,900,000

c.

-1,796,116.50

d.

-970,873.79

Answers

The delta of the bank's position is $50,000,000.the correct  is (b) 1,900,000.

the delta of a futures contract position represents the change in the value of the position with respect to a change in the underlying asset's price. in this case, the underlying asset is the british pound.

the delta of a futures contract can be calculated as follows:

delta = (f - s) * q

where:

f = future price

s = spot price

q = quantity

given

f = $1.9 million

s = $1.85 million (converted from $1.85 us per 1 british pound)

q = 1,000,000 pounds

delta = ($1.9 million - $1.85 million) * 1,000,000

delta = $50,000 * 1,000,000

delta = $50,000,000

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We have covered the PCAOB auditing standards. Define and explain those standards, by classification. Be precise and clear in your explanations. Answers without clear explanations will be marked 0.

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PCAOB auditing standards consist of general standards, fieldwork standards, and reporting standards. These guidelines ensure that auditors possess necessary , Conduct audit with due care, and provide an opinion on fairness of financial statements in accordance with principles.

The PCAOB (Public Company Accounting Oversight Board) auditing standards are a set of guidelines that govern the conduct and performance of audits of public companies in the United States. These standards are classified into three categories:

General Standards: These standards establish the qualifications and independence requirements for auditors. They emphasize the need for auditors to possess adequate technical training and proficiency, maintain independence in mind and appearance, and exercise due professional care during the audit process.

Fieldwork Standards: These standards outline the procedures that auditors should follow during the audit engagement. They require auditors to adequately plan and supervise the audit, obtain sufficient understanding of the company's internal controls, gather and evaluate sufficient audit evidence, and document the work performed.

Reporting Standards: These standards pertain to the content and format of the audit report. They require auditors to express an opinion on the financial statements based on their audit findings, assess whether the financial statements are presented fairly in accordance with accounting principles, and communicate any material weaknesses or deficiencies in internal controls identified during the audit.

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Describe and Analyze the cost and rewards of corporate social responsability( provide 4 advantages and 3 disavantage)

Explain three strategies that company can use in corporate social responsability. please showhow these strategies can lead to higher financial performance

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Corporate social responsibility (CSR) refers to a company's efforts to operate in a socially and environmentally responsible manner. It involves considering the impact of business operations on various stakeholders, including employees, communities, and the environment.

Now, let's discuss the costs and rewards of CSR, along with three strategies that companies can use to implement CSR and how they can lead to higher financial performance.

Costs of CSR:
1. Financial Investment: Implementing CSR initiatives may require financial resources, such as funding community projects or adopting sustainable practices. This upfront investment can be perceived as a cost to the company.

2. Time and Effort: Developing and managing CSR programs requires time and effort from the company's management and employees, diverting their attention from other business activities.
3. Reputational Risks: If a company fails to fulfill its CSR commitments or faces negative publicity regarding its practices, it can damage its reputation and affect consumer perception.

Rewards of CSR:
1. Enhanced Brand Reputation: Demonstrating social and environmental responsibility can improve a company's brand image, fostering trust and loyalty among consumers.
2. Increased Customer Loyalty: Consumers are often inclined to support companies that align with their values and show commitment to social causes, leading to increased customer loyalty.

3. Attracting and Retaining Talent: Companies that prioritize CSR initiatives are often more attractive to prospective employees, and employees are more likely to be engaged and satisfied, leading to better retention rates.
4. Access to New Markets: Implementing CSR initiatives can open doors to new markets and business opportunities, as consumers and governments increasingly prioritize sustainability and ethical practices.

Strategies for CSR and Financial Performance:
1. Environmental Sustainability: Implementing eco-friendly practices and reducing carbon emissions can lower costs in the long run, such as energy savings and waste reduction. Additionally, companies with sustainable practices may be eligible for government incentives and grants, positively impacting their financial performance.

2. Social Engagement: Engaging in community development programs, such as education or healthcare initiatives, can enhance a company's reputation and strengthen relationships with local communities. This positive image can attract more customers, leading to increased sales and financial gains.

3. Ethical Supply Chain Management: Ensuring ethical sourcing and responsible supply chain practices can mitigate risks related to child labor, forced labor, or environmental damage. This helps build trust with stakeholders, including customers, which can drive sales and boost financial performance.

In conclusion, while CSR involves costs, it also offers numerous rewards such as improved brand reputation, increased customer loyalty, and access to new markets. To implement CSR effectively, companies can consider strategies like environmental sustainability, social engagement, and ethical supply chain management. These strategies not only contribute to the betterment of society but also have the potential to lead to higher financial performance.

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What roles are played by the American Institute of Certified Public Accountants for its members?

Answers

The American Institute of Certified Public Accountants (AICPA) is a professional organization that provides resources and support to its members.

Through continuing professional education and professional ethics guidance, the AICPA is committed to advancing the accounting profession and providing members with the knowledge and resources needed to be successful.

The AICPA establishes guidelines, standards, and criteria for the professional practice of public accountancy, while also providing opportunities for networking with other professional CPAs and sharing best practices. The AICPA’s Governmental Audit Quality Center works with governmental auditors to ensure they are complying with auditing standards.

The AICPA also serves as an advocate for CPAs and accounting professionals, advocating for their interests with the government and other organizations that affect the accounting profession.

It also provides CPAs with helpful resources such as templates and guidance to help them stay up-to-date on changes in the accounting space. Ultimately, the AICPA provides members with the knowledge, guidance, and confidence to practice public accounting to the highest degree of excellence.

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At the beginning of Year 2, the Redd Company had the following balances in its accounts: Cash Inventory Common stock Retained earnings $ 16,900 25,000 30,000 11,900 During Year 2, the company experienced the following events: 1. Purchased inventory that cost $15,200 on account from Ross Company under terms 1/10, n/30. The merchandise was delivered FOB shipping point. Freight costs of $200 were paid in cash. 2. Returned $800 of the inventory that it had purchased because the inventory was damaged in transit. The seller agreed to pay the return freight cost. 3. Paid the amount due on its account payable to Ross Company within the cash discount period. 4. Sold inventory that had cost $18,000 for $32,000 on account, under terms 2/10, n/45. 5. Received merchandise returned from a customer. The merchandise originally cost $800 and was sold to the customer for $1,500 cash. The customer was paid $1,500 cash for the returned merchandise. 6. Delivered goods FOB destination in Event 4. Freight costs of $140 were paid in cash. 7. Collected the amount due on the account receivable within the discount period. 8. Took a physical count indicating that $21,100 of inventory was on hand at the end of the accounting period. Required C-1. Prepare a multistep income statement. c-2. Prepare a statement of changes in stockholders' equity. C-3. Prepare a balance sheet. C-4. Prepare a statement of cash flows. Complete this question by entering your answers in the tabs below. Req ci Req C2 Req C3 Req C4 Prepare a balance sheet. REDD COMPANY Balance Sheet As of December 31, Year 2 Assets Cash Merchandise inventory $ 0 Total Assets Liabilities Stockholders' Equity Common stock Retained earnings $ 0 Total Stockholders' Equity Total Liabilities and Stockholders' Equity $ $ 0

Answers

At the beginning of Year 2, the Redd Company had the following balances in its accounts:

Cash inflows and outflows related to the company's core operations.

Cash inflows and outflows related to the company's investments.

Cash inflows and outflows related to the company's financing activities.


C-1. Multistep income statement:

Sales revenue: $32,000

Cost of goods sold: $18,000

Gross profit: (Sales revenue - Cost of goods sold)

Operating expenses: (if provided in the question)

Net income: (Gross profit - Operating expenses)

C-2. Statement of changes in stockholders' equity:

Beginning common stock: $30,000

Net income: (calculated in C-1)

Dividends (if provided in the question)

Ending common stock: (Beginning common stock + Net income - Dividends)

Beginning retained earnings: $11,900

Net income: (calculated in C-1)

Dividends (if provided in the question)

Ending retained earnings: (Beginning retained earnings + Net income - Dividends)

C-3. Balance sheet:

Assets:

Cash: $16,900

Merchandise inventory: (calculated in C-4)

Liabilities:
None mentioned in the question

Stockholders' equity:

Common stock: (calculated in C-2)

Retained earnings: (calculated in C-2)

C-4. Statement of cash flows:

Operating activities: Cash inflows and outflows related to the company's core operations.

Investing activities: Cash inflows and outflows related to the company's investments.

Financing activities: Cash inflows and outflows related to the company's financing activities.

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Req C1: Prepare a multistep income statement for Redd Company:

REDD COMPANY

Income Statement

For Year 2

Sales: $32,000

Less: Cost of Goods Sold:

 Beginning Inventory: $25,000

 Add: Purchases: $15,200

 Freight-In: $200

 Less: Purchase Returns: $800

 Cost of Goods Available for Sale: $39,600

 Less: Ending Inventory: $21,100

Cost of Goods Sold: $18,500

Gross Profit: $13,500

Less: Operating Expenses:

 Freight-Out: $140

Operating Income: $13,360

Req C2: Prepare a statement of changes in stockholders' equity for Redd Company:

REDD COMPANY

Statement of Changes in Stockholders' Equity

For Year 2

Common Stock:

 Beginning Balance: $30,000

 No Changes

 Ending Balance: $30,000

Retained Earnings:

 Beginning Balance: $11,900

 Add: Net Income: $13,360

Ending Balance: $25,260

Req C3: Prepare a balance sheet for Redd Company:

REDD COMPANY

Balance Sheet

As of December 31, Year 2

Assets:

Cash: $16,900

Merchandise Inventory: $21,100

Total Assets: $38,000

Liabilities and Stockholders' Equity:

Liabilities: None

Stockholders' Equity:

Common Stock: $30,000

Retained Earnings: $25,260

Total Stockholders' Equity: $55,260

Total Liabilities and Stockholders' Equity: $55,260

Req C4: Prepare a statement of cash flows for Redd Company:

REDD COMPANY

Statement of Cash Flows

For Year 2

Operating Activities:

Net Income: $13,360

Add: Depreciation Expense: [Not provided]

Changes in Working Capital:

 Increase in Accounts Payable: $0

 Decrease in Accounts Receivable: $0

 Increase in Inventory: $4,100

 Increase in Accrued Expenses: [Not provided]

Net Cash Provided by Operating Activities: [Not provided]

Investing Activities:

Purchase of Inventory: ($15,200)

Purchase of Property, Plant, and Equipment: [Not provided]

Net Cash Used in Investing Activities: ($15,200)

Financing Activities:

None

Net Increase in Cash: [Not provided]

Cash at Beginning of Year: $16,900

Cash at End of Year: [Not provided]

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Cash flow from assets is equivalent to Dividends - Net New Equity - Interest + New Borrowing True False QUESTION 2 Free cash flows can be calculated as follows: Net Income + Net Capital Spending - Changes in Net Working Capital Net Income + Depreciation + Net Capital Spending + Changes in Net Working Capital Net Income + Depreciation - Tax - Net Capital Spending - Change in New Working Capita EBIT -Depreciation - Tax + Net Capital Spending + Changes in Net Working Capital EBIT +Depreciation - Tax - Net Capital Spending - Changes in Net Working Capital QUESTION 3 Mid-year discounting approach to value cash flows results in higher valuation.

Answers

Cash flow from assets is not equivalent to Dividends - Net New Equity - Interest + New Borrowing. The correct formula for cash flow from assets is Operating Cash Flow - Net Capital Spending - Changes in Net Working Capital. Dividends, net new equity, interest, and new borrowing are not included in the calculation.

Free cash flows can be calculated as follows: Net Income + Depreciation - Tax - Net Capital Spending - Changes in Net Working Capital.

The mid-year discounting approach to value cash flows does not necessarily result in a higher valuation. The timing of cash flows affects their present value, but the mid-year discounting approach adjusts the timing of cash flows to the middle of the year. This approach does not inherently result in a higher valuation, as it depends on the specific cash flow projections and discount rate used.

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BigSandwich is a national fast food chain. They sell meal deals but recently have been concerned about the pricing and profitability of their meals. The unit variable costs for each meal deal is $2.15 and a meal is sold to the customer for $4.79. The average number of meals sold per day is 1099.

1. What is the total daily contribution margin $ ?

2. At the current unit variable costs of a meal, what price would BigSandwich have to charge if they want to increase the contribution margin by 10% ? (hint: you have to add 10% to the prior margin answer)

Answers

To increase the contribution margin by 10%, BigSandwich would need to adjust the selling price accordingly.

The total daily contribution margin can be calculated as follows:

Contribution Margin = (Selling Price - Unit Variable Cost) * Average Number of Meals Sold per Day

= ($4.79 - $2.15) * 1099

= $2.64 * 1099

= $2,901.36

Therefore, the total daily contribution margin for BigSandwich is $2,901.36.

To increase the contribution margin by 10%, BigSandwich would need to adjust the selling price. Since the current contribution margin is $2.64 per meal, a 10% increase would be $2.64 * 10% = $0.264. To achieve this increase, the selling price should be adjusted by adding $0.264 to the current selling price:

New Selling Price = $4.79 + $0.264

= $5.054

Therefore, if BigSandwich wants to increase the contribution margin by 10%, they would need to charge a selling price of approximately $5.054 per meal.

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With regard to an a covered member, a blind trust and the underlying investments in the blind trust are considered a direct financial interest because the?

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An insured member, its blind trust and its underlying investments are considered a direct financial interest due to direct ownership.

In the context of an insured member, a blind trust and its underlying investments are considered to have a direct financial interest because the insured member has a direct interest in the trust and its assets. property of that trust.

While trusts are designed to limit a member's knowledge and control over investments, direct ownership creates a potential conflict of interest. The Insured Member's financial interest is therefore deemed to be directly due to their direct ownership of the Blind Trust and its underlying investments. 

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businessaccountingaccounting questions and answersassume a firm starts off the period with 10 units, each with a value of $5. then the firm buys 10 units at a cost of $7 and 8 more units at a cost of $10. after these purchases, the firm sells 20 units at a selling price of $15 per unit. assuming that the firm uses the lifo inventory costing method, what is the value of the ending inventory that the firm
Question: Assume A Firm Starts Off The Period With 10 Units, Each With A Value Of $5. Then The Firm Buys 10 Units At A Cost Of $7 And 8 More Units At A Cost Of $10. After These Purchases, The Firm Sells 20 Units At A Selling Price Of $15 Per Unit. Assuming That The Firm Uses The LIFO Inventory Costing Method, What Is The Value Of The Ending Inventory That The Firm
Assume a firm starts off the period with 10 units, each with a value of $5. Then the firm buys 10 units at a cost of $7 and 8 more units at a cost of $10. After these purchases, the firm sells 20 units at a selling price of $15 per unit. Assuming that the firm uses the LIFO inventory costing method, what is the value of the ending inventory that the firm will report on the balance sheet after the sale of these 20 units?

A.) 40

B.) 70

C.) 80

D.) 100

Answers

The LIFO (last-in, first-out) inventory method is a technique that assumes the most recent items bought are sold first. To calculate the value of the ending inventory, first, we must calculate the cost of goods sold (COGS) using the LIFO inventory costing method.

We can calculate the ending inventory value using the following formula:

Beginning inventory + Purchases - COGS = Ending inventory

The firm starts off the period with 10 units, each with a value of $5. The total value of these units is 10 x 5 = $50.

The company buys 10 units at a cost of $7 each for a total cost of 10 x 7 = $70.

The firm purchases 8 more units at a cost of $10 each for a total cost of 8 x 10 = $80.

Total purchases equal 10 x 7 + 8 x 10 = $150.

Cost of Goods Sold (COGS) under the LIFO method is calculated by multiplying the number of units sold by the most recent cost per unit. Therefore, the first 10 units sold will come from the recent purchase of 8 units at $10, followed by 2 units from the purchase of 10 units at $7. The cost of these 10 units will be 8 x 10 + 2 x 7 = $94. The next 10 units sold will be the remaining 8 units from the second purchase at $10 and 2 units from the first purchase at $7, with a total cost of 8 x 10 + 2 x 7 = $94. COGS will be $94 + $94 = $188.

After the sale of 20 units at a selling price of $15 per unit, the total revenue will be 20 x 15 = $300. The gross profit for the firm will be calculated as:

Gross profit = Total revenue - Cost of goods sold

= $300 - $188 = $112.

Beginning inventory + Purchases - COGS = Ending inventory

Therefore, the ending inventory value will be:$50 + $150 - $188 = $12

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Department S had no work in process at the beginning of the period. It added 13,800 units of direct materials during the period at a cost of $96,600;10,350 units were completed during the period; and 3,450 units were 32% completed as to labor and overhead at the end of the period. All materials are added at the beginning of the process. Direct labor was $50,800 and factory overhead was $8,600. The total conversion costs for the period were $42,200 $8,600 $50,800 559,400

Answers

The total conversion costs for the period were $59,400.

Conversion costs include direct labor and factory overhead costs incurred in production. In this case, the direct labor cost was $50,800, and the factory overhead cost was $8,600. To determine the total conversion costs, we add these costs together: Total Conversion Costs = Direct Labor Cost + Factory Overhead Cost, Total Conversion Costs = $50,800 + $8,600. Total Conversion Costs = $59,400. Therefore, the total conversion costs for the period were $59,400. These costs represent the expenses incurred to convert raw materials into completed units, including the cost of labor and factory overhead.

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The merchandise purchases budget consists of three parts: (1) budgeted sales units, (2) desired ending inventory units, and (3) cost of merchandise purchases.

True

False

Answers

False. The merchandise purchases budget consists of budgeted sales units and desired ending inventory units, not the cost of merchandise purchases.

The merchandise purchases budget is an essential component of the overall budgeting process for a company. It helps in determining the amount of inventory that needs to be purchased during a specific period.

The merchandise purchases budget generally consists of two main parts:

Budgeted Sales Units: This part involves estimating the number of units that are expected to be sold during the budgeted period. Sales forecasts and historical sales data are typically used to determine this figure. The budgeted sales units serve as a basis for calculating the quantity of inventory that needs to be available for sale.Desired Ending Inventory Units: This part involves determining the desired level of inventory at the end of the budgeted period. It takes into account factors such as customer demand, lead time for procurement, and desired safety stock levels. The desired ending inventory units help in ensuring that there is sufficient inventory to meet customer demand and avoid stockouts.

Once the budgeted sales units and desired ending inventory units are determined, the cost of merchandise purchases can be calculated by multiplying the units by the cost per unit of inventory. The cost per unit is typically based on historical costs or anticipated costs from suppliers.

In summary, while the merchandise purchases budget does involve calculating the cost of merchandise purchases, it primarily consists of estimating the budgeted sales units and desired ending inventory units. These two components are used to determine the quantity of inventory to be purchased, and the cost per unit is applied to calculate the total cost of merchandise purchases.

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Other Questions
A compartmentalized collection of suppurative exudate and tissue necrosis enclosed by tissue (such as skin or a body cavity) is? CCC currently has sales of $30,000,000 and projects sales of $36,000,000 for next year. The firm's current assets equal $11,000,000 while its fixed assets are $12,000,000. The best estimate is that current assets will rise directly with sales while fixed assets will rise by $200,000. The firm presently has $5,500,000 in accounts payable, $3,300,000 in long-term debt, and $14,200,000 in common equity. All current liabilities are expected to change directly with sales. CCC plans to pay $1,000,000 in dividends next year and has a 5.0% net profit margin. What are the company's additional funds needed for the next year? (Round your answer to the nearest dollar.)$1,300,000$1,600,000$500,000-$500,000$2,400,0002. CCC currently has sales of $30,000,000 and projects sales of $36,000,000 for next year. The firm's current assets equal $11,000,000 while its fixed assets are $12,000,000. The best estimate is that current assets will rise directly with sales while fixed assets will rise by $200,000. The firm presently has $5,500,000 in accounts payable, $3,300,000 in long-term debt, and $14,200,000 in common equity. All current liabilities are expected to change directly with sales. CCC plans to pay $1,000,000 in dividends next year and has a 5.0% net profit margin. Assuming the increase in fixed assets will occur, what is the most sales could equal next year without using discretionary sources of funds? (Round your answer to the nearest dollar.)$32,250,000$35,829,750$39,715,875$28,473,525$30,385,305 Because the number of workers in labor unions has declined dramatically over the years, you may be under the impression that unions aren't important today or that they have lost their passion for seeking fair treatment for workers. Not true. Although not all workers are members of labor unions, you probably encounter more union employees than you think. Of course, large numbers of truck drivers and construction workers belong to unions. However, actors, writers, and directors in the entertainment industry are union members, too. Even many college professors belong to a union. Freeman XP, a brand experience company, organizes large events such as trade shows. Much like a large contractor on a construction site, it is Freeman's job to act as a general contractor for trade shows that are often complex in scope. The company coordinates all the vendors involved in an event and must make sure that all needed equipment (including high-tech devices) is working properly and available to show participants when needed. To accomplish this task, Freeman relies on the assistance of many different labor unions. Union workers help make the trade show happen. In a typical trade show, Teamsters deliver and unload all the equipment into the building. Carpenters build the main structures while electricians make sure power is running throughout the entire show space and lighting is functioning where and when needed. In specific events such as restaurant shows, plumbers must supply water for demonstrations and ensure drainage for used water. Along with these construction-related union workers, Freeman also needs the services of the International Association of Theatrical Stage Employees (stage hands) to set up sound systems, video equipment, and special lighting. On a large-scale trade show, Freeman may easily rely on the work of 6 to 10 different labor unions to get the event fully operational. Freeman believes a key benefit of using union workers is that no matter where it is setting up, the company can count on trained workers who have the necessary skills to make the show work from start to finish. Also, because Freeman sets up shows in many large convention venues throughout the United States, having skilled workers available when needed is vital. In fact, many large trade shows often require hundreds of workers to put together the event. To keep that many people permanently on the company payroll year-round would be cost prohibitive for Freeman. By working with labor unions, the company can hire the needed workers for a limited period. Unfortunately, the company admits, working with labor unions is not always a bed of roses. Union workers can be costly because their leadership works hard to get their members fair wages and safe working conditions. Labor unions also have different work rules pertaining to start and quit times, breaks, and voluntary versus involuntary overtime rules. Still, despite these challenges, Freeman believes that working with labor unions solves more problems than it creates. It's safe to say that not all companies in the United States feel the same. Unions today are gathering momentum in nontraditional professions like nursing and teaching. They are also gaining support in low-paying jobs like fast food where the push is on for more equitable wages. THINKING IT OVER 1. Why does Freeman use so many union workers? What are advantages and disadvantages of using union workers for Freeman? Describe how managing a project such as a trade show would be different if Freeman did not use union workers. Must be 500 word with citations. Is there a character in The Odyssey that reminds you of either yourself or of someone you know? How so? Try to reference events from the poem. Subject: Social Problems(150 Words)1. How are personal troubles different from public issues? Give specific examples for each.2. In your own words, describe the sociological imagination.3. Why do you think it is important to use the sociological imagination when studying social problems? If a monopolistically competitive firm is producing where its marginal revenue is less than its marginal cost, then the firm:__________ How to determine if the cash flows generated was enough to pay for property and equipment in for the year? What does anna think the prairie looks like after the hail storm sarah plain and tall The compound iron(II) chloride is a strong electrolyte. Write the transformation that occurs when solid iron(II) chloride dissolves in water. Be sure to specify states such as (aq) or (s). The compound magnesium sulfite is a strong electrolyte. Write the transformation that occurs when solid magnesium sulfite dissolves in water. Be sure to specify states such as (aq) or (s). The compound ammonium iodide is a strong electrolyte. Write the transformation that occurs when solid ammonium iodide dissolves in water. Be sure to specify states such as (aq) or (s). Find the equivalent taxable yield of a short-term municipal bond currently offering yields of 4% for tax brackets of zero, 10%, 20%, and 30%. (Round your answers to 2 decimal places. Omit the "%" sign in your response.) Equivalent Taxable Yield 1. Zero 2. 10% 3. 20% 4. 30% In this scene kevin stated that randall always had to "show him up" and that their mom payed more attention to randall than him. kevin was utilizing ___________which led him to believe that he wasn't as special as randall. using the internet library or any other available resources answer the following questions about the different types of drug tests We are examining a new project. We expect to sell 6,800 units per year at $62 net cash flow apiece for the next 10 years. In other words, the annual operating cash flow is projected to be $626,800=$421,600. The relevant discount rate is 16 percent, and the initial investment required is $1,790,000. After the first year, the project can be dismantled and sold for $1,660,000. Suppose you think it is likely that expected sales will be revised upward to 9,800 units if the first year is a success and revised downward to 5,400 units if the first year is not a success. Suppose the scale of the project can be doubled in one year in the sense that twice as many units can be produced and sold. Naturally. expansion would be desirable only if the project were a success. This implies that if the project is a success, projected sales after expansion will be 19.600. Note that abandonment is an option if the project is a failure. a. If success and failure are equally likely, what is the NPV of the project? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the value of the option to expand? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Continental slopes have characteristics that include being shallow, submerged extensions of the continent. true /false AirBnB's use of new macro-level tools. Hint (use of internet-based technology) to create new business models....similar to Uber, right? what do you think? How is this relevant to coherence....(remember the customers, and technology are both important to a firm's success, now think of what is more convenient to customers, what is easier for them, and what is cheaper for them)... What is the value today of a money machine that will pay $4,161.00 per year for 23.00 years? Assume the first payment is made one year from today and the interest rate is 15.00%. Answer format: Currency: Round to: 2 decimal places. 02.04-PR011 Eight equal deposits of $1,000 are made at the end of each year into a fund paying 8%. a. What is the present worth, 1 year before the first deposit? b. What is the future worth, immediately after the last deposit? c. What is the future worth, 3 years after the last deposit? What is the amount of cash that should appear on the balance sheet as of june 30? Molly has red hair. what type of pigment is most likely to be deposited into her hair shaft as it is formed from the hair papilla? Which of the following would a manager NOT use to create market inefficiencies? Establishing a brand name. Sophisticated pricing strategies. Diversification efforts. Output decisions. Building market entry barriers.