Adjusting Journal Entries at December 31, 2020 are given below: Journal Entries Accounts/ Description Debit Credit Interest Expense:
The calculation of interest expense is given below: Interest Expense = [$580,000 × 3%] ÷ 12 = $14,500 ÷ 12 = $1,208.33Interest Expense = $1,208.33 × 4 months = $4,833.33Therefore, the adjusting entry for interest expense and interest payable is given below: Interest Expense: (4 months' interest: [$580,000 × 3%] ÷ 12) - $7,300Interest Payable - $7,300Note Receivable Interest Receivable and Interest Revenue At December 31, 2020, JJ Co. must record the interest receivable for its Note Receivable as well as the interest earned on the note for the previous six months. The calculation of interest revenue and interest receivable is given below: Interest Revenue = [$69,000 × 4%] × 6/12 = $2,760 × 6/12 = $1,380Interest Receivable = $1,380Therefore, the adjusting entry for note receivable interest receivable and interest revenue is given below: Note Receivable Interest Receivable ( [$69,000 × 4%] × 6/12) - $1,380Interest Revenue - $1,380Service Revenue and Unearned Revenue At December 31, 2020, JJ Co. must record the service revenue earned for the university student club bungee jumping trip on December 15, 2020, for $1,200.The journal entry is given below:
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Which of the following describes the internal control procedure "assignment of responsibilities"?
A) To validate their accounting records, a company should have an audit by an external accountant
B) Separate the custody of assets from accounting.
C) External auditors monitor internal controls.
D) With clearly assigned responsibilities, all important jobs get done.
D) With clearly assigned responsibilities, all important jobs get done.
The internal control procedure "assignment of responsibilities" refers to the practice of clearly assigning specific tasks and duties to individuals within an organization. By assigning responsibilities, the company ensures that all important jobs are identified, understood, and performed by the appropriate individuals.
This helps establish accountability and ensures that tasks are completed in a timely and effective manner. Clear assignment of responsibilities also helps prevent errors, fraud, and misuse of resources by providing a defined framework for accountability and oversight.
Each individual is accountable for their assigned tasks, and this segregation of duties helps to safeguard assets, prevent conflicts of interest, and enhance the overall effectiveness and efficiency of the organization's internal control system.
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Suppose you are the money manager of a $5.22 million investment fund. The fund consists of four stocks with the following investments and betas:
Stock Investment Beta
A $ 460,000 1.50
B 800,000 (0.50 )
C 1,160,000 1.25
D 2,800,000 0.75
The portfolio beta for the $5.22 million investment fund is approximately 0.544. This indicates that the fund's overall volatility is expected to be lower than that of the overall market.
To calculate the portfolio beta, you need to weight each stock's beta by its proportionate investment in the portfolio. Here's how you can calculate the portfolio beta:
Step 1: Calculate the weighted beta for each stock:
Stock A: Weighted Beta = Investment in Stock A * Beta of Stock A = $460,000 * 1.50 = $690,000
Stock B: Weighted Beta = Investment in Stock B * Beta of Stock B = $800,000 * (-0.50) = -$400,000 (Note: The negative sign indicates an inverse relationship to the market.)
Stock C: Weighted Beta = Investment in Stock C * Beta of Stock C = $1,160,000 * 1.25 = $1,450,000
Stock D: Weighted Beta = Investment in Stock D * Beta of Stock D = $2,800,000 * 0.75 = $2,100,000
Step 2: Calculate the total weighted beta:
Total Weighted Beta = Sum of Weighted Betas = $690,000 + (-$400,000) + $1,450,000 + $2,100,000 = $2,840,000
Step 3: Calculate the portfolio beta:
Portfolio Beta = Total Weighted Beta / Total Investment = $2,840,000 / $5,220,000 ≈ 0.544
Therefore, the portfolio beta for the $5.22 million investment fund is approximately 0.544.
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Discuss the short-run and medium-run effects of an decrease in the price of oil.
What should the reserve bank do in order to stabilize the inflation rate? Illustrate your answer on a IS-LM-PC model (with horizontal LM). (10 marks)
A decrease in the price of oil can have both short-run and medium-run effects on the economy. In the short run, a decrease in oil prices leads to lower production costs for businesses, resulting in lower input costs and potentially lower prices for consumers. This can stimulate consumer spending and boost economic growth.
Additionally, it can reduce production costs for firms in energy-intensive industries, leading to increased profitability and investment. However, in the medium run, the effects can be more complex. While lower oil prices can initially stimulate economic activity, they can also lead to reduced investment in the energy sector and negatively impact oil-producing regions. This can result in job losses and decreased economic activity in those areas.
To stabilize the inflation rate, the reserve bank can use monetary policy tools. In an IS-LM-PC model with a horizontal LM curve, the reserve bank can adjust the interest rate to influence aggregate demand and stabilize inflation. If the reserve bank wants to decrease inflation, it can increase the interest rate, which reduces investment and consumption expenditure, shifting the IS curve to the left. This contractionary monetary policy decreases aggregate demand and helps control inflationary pressures.
On the other hand, if the reserve bank wants to stimulate the economy and counter deflationary pressures, it can lower the interest rate, which increases investment and consumption, shifting the IS curve to the right. This expansionary monetary policy boosts aggregate demand and supports economic growth. The reserve bank's actions aim to achieve price stability while considering the state of the economy and inflationary pressures.
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If the price index of an economy went from 1.25 in year 0 to 1.00 in year 1, then we can say that the price level deflated 20% from year 0 to year 1. Select one: True False
The statement is False.The statement that the price level deflated 20% from year 0 to year 1 is incorrect. The correct interpretation is that the price level experienced deflation of 20% during that period.
The change in the price index from year 0 to year 1 indicates the percentage change in the price level, not the deflation or inflation rate. To calculate the deflation or inflation rate, we need to compare the change in the price index to the base year.
To determine the percentage change in the price level, we can use the formula:
Percentage change in price level = ((Price index in year 1 - Price index in year 0) / Price index in year 0) * 100
Let's calculate the percentage change in the price level using the given values:
((1.00 - 1.25) / 1.25) * 100 = (-0.25 / 1.25) * 100
= -20%
The calculation shows that the percentage change in the price level from year 0 to year 1 is -20%. However, deflation refers specifically to a decrease in the overall price level or a negative inflation rate. In this case, since the price index decreased, it indicates deflation of 20%, not an inflation of 20%.
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Suppose that a worker has 16 hours per day available for work and leisure. Let's consider the budget constraint of the worker where V = non-labour income, w = wage rate, Y = total income, H = work hours, L = leisure hours. If Y = $200, w = $20 and V = $80, therefore the leisure hours L of this worker is: O A. 10 OB. 8 O C. 7 O D. 6
To determine the leisure hours (L) of the worker, we need to consider the budget constraint, which is expressed as:
Y = wH + V
Given:
Y = $200 (total income)
w = $20 (wage rate)
V = $80 (non-labour income)
Substituting the given values into the budget constraint equation:
$200 = $20H + $80
Simplifying the equation:
$20H = $200 - $80
$20H = $120
Dividing both sides of the equation by $20:
H = $120 / $20
H = 6
The work hours (H) of the worker are 6 hours per day. Since the worker has 16 hours available for work and leisure, we can calculate the leisure hours (L) by subtracting the work hours from the total available hours:
L = 16 - H
L = 16 - 6
L = 10
Therefore, the leisure hours (L) of this worker are 10 hours per day. Hence, the correct answer is **A. 10**.
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Assume there are two types of communities in Pakistan, those in which there is a high benefit of pollution control and a high cost of pollution control, and those in which there is
a low benefit of pollution control and a low cost of pollution control. Assume that the government must set either uniform regulations (a uniform level of pollution control) or a
uniform fine for pollution.
a. Show diagrammatically that a regulatory scheme may be preferable to a system of fines.
b. How does your answer change if communities in which there is a high marginal cost of pollution control happen to be communities in which there is a low marginal benefit; and communities with a low marginal cost of pollution control happen to be communities in which there is a high marginal benefit ?
a. A regulatory scheme is preferable to a system of fines if there are two types of communities in Pakistan, those in which there is a high benefit of pollution control and a high cost of pollution control, and those in which there is a low benefit of pollution control and a low cost of pollution control.
The government can either impose uniform regulations or a uniform fine for pollution. In this situation, a regulatory scheme can be preferred as an effective way to reduce pollution because it can be tailored to fit each community's specific circumstances.
Diagrammatically, the regulatory scheme shows that the marginal benefit of pollution reduction in high-benefit communities is greater than the marginal cost of pollution reduction, so the optimal level of pollution reduction is higher.
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The oil shock in 2000s was more LO_ severe than the one in 1970s also because recent inflation expectations have become ___(ii) ___anchored. O a. (i) more; (ii) more O b. (1) more; (ii) less O c. () less; (ii) more O d. (i) less; (ii) less
the recent inflation expectations have become less anchored, which means that the market does not expect inflation to continue to rise.
The oil shock in the 2000s was more severe than the one in the 1970s because recent inflation expectations have become less anchored. The oil price shock refers to the sudden changes in oil prices that can result from disruptions in the supply of crude oil due to geopolitical conflicts, supply shortages, and production declines, or due to market speculation. The 1970s oil price shock was a result of the OPEC oil embargo, which cut off oil supply to the United States and other countries. The price of oil increased significantly, and this led to a rise in the cost of living and the rate of inflation. The 2000s oil price shock was a result of a combination of factors, such as the increasing demand for oil from emerging economies like China and India, supply disruptions due to conflicts in oil-producing countries like Iraq, and speculation in the oil futures market. The increase in oil prices caused a significant increase in the cost of goods and services, which led to inflation. However, the recent inflation expectations have become less anchored, which means that the market does not expect inflation to continue to rise. This has made the oil price shock less severe than the one in the 1970s.
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credit is the most commonly used method of purchase in the united states.True or False
"credit is the most commonly used method of purchasing in the United States, he answer is true because credit is the most widely used payment method in the United States, as indicated by the most recent data from the 2019 Survey of Consumer Payment Choice.
Explanation:Credit is one of the most popular methods of payment in the United States. According to the 2019 Survey of Consumer Payment Choice, the most recent data available, credit cards were the second most commonly used payment method, accounting for approximately 29 percent of consumer transactions.The answer is true because credit is the most widely used payment method in the United States, as indicated by the most recent data from the 2019 Survey of Consumer Payment Choice. It accounts for almost 30% of all consumer transactions in the country.A long answer in 100 words:
The statement is correct. Credit is one of the most common ways to pay in the United States. Credit cards accounted for approximately 29% of all consumer transactions, according to the 2019 Survey of Consumer Payment Choice, making it the second most widely used payment method. Although it is popular, it is important to understand the advantages and disadvantages of using credit. Interest rates and late payments can accumulate over time, resulting in a significant amount of debt. Additionally, using credit may have an impact on your credit score, which can affect future borrowing opportunities. As a result, it is critical to be a responsible credit user and manage your payments carefully.
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Which of the following is likely to worsen a recession?
A. Decrease in imports
B. Increase in consumption
C. Increase in savings
D. Decrease in taxation
a recession, the economy is typically characterized by a decline in economic activity, including reduced consumer spending, business investments, and employment.
In such a situation, an increase in consumption (option B) is likely to worsen the recession. When consumers increase their spending, it can lead to increased demand for goods and services. However, if the overall economic conditions are weak, businesses may not have the capacity to meet the increased demand, leading to supply shortages or price increases. This can further strain the economy and exacerbate the recessionary conditions. Decrease in imports: A decrease in imports can actually help the domestic economy during a recession by reducing the outflow of money to foreign countries and supporting domestic industries.
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The Federal Reserve Bank of St. Louis offers a wide range of economic data at its Web site, called FRED (fred.stlouisfed.org/). Use these data to examine real GDP for Canada from 1960 to 2011.
a. Download annual data (CANRGDPR) on real GDP from 1960 to 2011. Calculate the annual growth rates, starting with 1960. Are there years in which real GDP decreased? With what events are these years associated? (2+2+2=6)
b. Calculate the average rate of real GDP growth for the period from 1960 to the most recent year available. Calculate the average annual growth rate from 2008 to 2010. How does the growth rate during this three-year period compare to the average growth rate from 1960 to 2011?
In this task, the analysis of the real GDP for Canada from 1960 to 2011 is to be done. The analysis includes calculating annual growth rates and finding years in which real GDP decreased.
The Federal Reserve Bank of St. Louis provides economic data on its website FRED. In this task, the annual data for real GDP from 1960 to 2011 is to be analyzed. The annual growth rates of real GDP starting with 1960 have to be calculated. After performing the calculation, if there are any years where real GDP decreased, the associated events have to be found.
The calculation steps for the annual growth rate of real GDP are:
Growth rate of GDP = [(GDP in the current year – GDP in the previous year) / GDP in the previous year] * 100
From the calculation, years with decreasing real GDP are found and the events associated with them are observed.
To compare the average growth rate of real GDP from 1960 to 2011 with the average growth rate from 2008 to 2010, the average growth rate for both periods is calculated. The average rate of real GDP growth from 1960 to the most recent year is found, and the average annual growth rate from 2008 to 2010 is computed. The growth rate during the three-year period is compared to the average growth rate from 1960 to 2011.
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Explain the differences and similarities between the different agrarian systems (Latin America versus Asia). How do inefficiencies arise in different agrarian systems? What are some strategies for agricultural and rural development?
Latin America and Asia have different agrarian systems with variations in land ownership, agriculture practices, and economic structures. While inefficiencies can arise in any agrarian system.
Differences between Latin America and Asia's agrarian systems:
Land ownership: Latin America has a history of large-scale landholdings, often characterized by haciendas or plantations owned by a small elite. In contrast, Asia has a more diverse land ownership structure, ranging from small family farms to larger agricultural cooperatives.
Agricultural practices: Latin American agriculture is known for its production of cash crops like coffee, cocoa, and sugar cane. Meanwhile, Asia's agrarian systems encompass a wide range of agricultural practices, including rice cultivation, horticulture, and the production of various staple crops.
Economic structures: Latin American agrarian systems have often been influenced by colonial legacies and export-oriented economies. Asia, on the other hand, exhibits a mix of subsistence farming, small-scale agriculture, and increasingly, commercial farming.
Inefficiencies in different agrarian systems:
Inadequate access to resources: Both Latin America and Asia may face challenges related to limited access to land, credit, markets, and infrastructure. Unequal distribution of resources can lead to inefficiencies and hinder agricultural productivity.
Lack of technology and innovation: Outdated farming techniques, limited access to modern agricultural technologies, and a lack of innovation can result in low productivity and inefficiencies in both regions.
Weak infrastructure: Insufficient rural infrastructure, including transportation networks, irrigation systems, and storage facilities, can hinder the efficient movement of agricultural goods and impact overall productivity.
Strategies for agricultural and rural development:
Improve access to resources: Enhancing access to land, credit, markets, and essential inputs such as seeds, fertilizers, and machinery can help address inefficiencies in both Latin America and Asia.
Technology adoption and innovation: Encouraging the adoption of modern agricultural technologies, promoting research and development, and providing training and support to farmers can enhance productivity and efficiency.
Strengthen infrastructure: Investing in rural infrastructure, including roads, irrigation systems, storage facilities, and market linkages, can facilitate the smooth flow of agricultural goods, reduce post-harvest losses, and improve market access.
Promote sustainable practices: Encouraging sustainable farming methods, such as agroecology, organic farming, and conservation agriculture, can enhance productivity while minimizing negative environmental impacts.
Support rural diversification: Promoting diversification beyond traditional crops, such as encouraging value-added activities, agribusiness development, and rural tourism, can contribute to rural development and economic resilience.
Latin America and Asia have different agrarian systems shaped by distinct historical, economic, and social factors. Inefficiencies can arise in any agrarian system due to various factors, such as limited access to resources, outdated practices, and weak infrastructure. Strategies for agricultural and rural development should focus on improving resource access, promoting technology adoption, strengthening infrastructure, fostering sustainability, and supporting rural diversification. However, it is important to recognize that specific challenges and solutions may vary within each region and even across different countries or local contexts.
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Based on how the unemployment rate has changed, the Bronx request the federal reserve to take action. If they wish to make the unemployment rate move in the opposite direction from what you found what should I do to the IORB rate?
If the Bronx request the Federal Reserve to take action based on the changes of the unemployment rate, and they want to make the unemployment rate move in the opposite direction from what they found, then they should take steps to alter the IORB (Interest on Required Reserves) rate.
A change in the IORB rate is a powerful tool that the Federal Reserve uses to achieve its monetary policy objectives. The Interest on Required Reserves (IORB) rate is the interest rate paid by the Federal Reserve on required reserves that depository institutions keep with the Federal Reserve Banks. As a result, a change in the IORB rate affects the supply of and demand for excess reserves and, as a result, can affect the federal funds rate.
The Federal Reserve may increase the IORB rate to decrease the supply of excess reserves in the system and thereby raise the federal funds rate.
This change in the IORB rate will cause depository institutions to raise the interest rate on their loans, causing borrowers to limit their loan requests, which will lower the money supply and eventually reduce inflation and the unemployment rate. Therefore, the Bronx should persuade the Federal Reserve to increase the IORB rate to encourage job growth and reduce unemployment.
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What could be the major problem in exploiting inbound and
outbound logistics functions? Pertaining to globalization and
Covid-19. (15 Marks)
One of the major problems in exploiting inbound and outbound logistics functions pertaining to globalization and COVID-19 is the disruption of supply chains.
The pandemic has had a severe impact on logistics, resulting in supply chain disruptions, product shortages, and delivery delays. As a result, businesses have been forced to seek alternative methods of transportation and supply chain management to maintain their operations and meet the demands of their customers.
Additionally, globalization has led to increased competition, and logistics functions must be executed with precision and efficiency to remain competitive. This requires advanced technologies, skilled labor, and significant investments, which can be difficult for small and medium-sized enterprises to manage. As a result, businesses must carefully balance the costs of logistics against their benefits to remain competitive in today's global economy.
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Bahrain Company makes snow blowers. It has two departments that process all products: Assembly and Testing. The following data pertain to the Assembly departmen Direct materials are added at the beginning of the process and conversion costs are uniformly incurred. The degree of completion of conversion cost is as follows: At the beginning of September, work in process is 40% complete and at the end of the month work in process is 60% complete. Other data for the month include Beginning work-in-process inventory 6,400 units Units started 8,000 units Units completed 12,800 units Ending work-in-process inventory 2 Conversion costs for September $800,000 $1,040,000 Direct materials cost September Beginning work-in-process costs: $616,000 Materials $328,320 Conversion Required: a) Prepare a production cost schedule for the Assembly Department at the end of September using the weighted average method of process costing. b) Prepare the necessary journal entries
a) Production Cost Schedule using the Weighted Average Method: Assembly Department
Production Cost Schedule
For the Month Ended September
Units
(Beginning WIP) 6,400
(Started) 8,000
Total Units 14,400
(Completed) (12,800)
(Ending WIP) (1,600)
Units Accounted For 200
Cost per Equivalent Unit:
Conversion Costs = $800,000 ÷ 14,400 units = $55.56 per unit
Direct Materials Costs = $616,000 ÷ 14,400 units = $42.78 per unit
Costs to be Accounted For:
Beginning WIP Inventory:
Conversion Costs: 6,400 units × $55.56 per unit = $355,584
Direct Materials Costs: 6,400 units × $42.78 per unit = $273,792
Costs Added during September:
Conversion Costs: 8,000 units × $55.56 per unit = $444,480
Direct Materials Costs: 8,000 units × $42.78 per unit = $342,240
Total Costs to be Accounted For:
Conversion Costs: $355,584 + $444,480 = $800,064
Direct Materials Costs: $273,792 + $342,240 = $616,032
Costs Accounted For:
Completed Units: 12,800 units × ($55.56 + $42.78) = $1,144,576
Ending WIP Inventory: 1,600 units × ($55.56 + $42.78) = $147,456
b) Journal Entries:
To record the cost of completed units:
Debit: Work-in-Process Inventory (Assembly) $1,144,576
Credit: Conversion Costs $800,064
Credit: Direct Materials Costs $344,512
To record the cost of ending work-in-process inventory:
Debit: Work-in-Process Inventory (Assembly) $147,456
Credit: Conversion Costs $103,616
Credit: Direct Materials Costs $43,840
Note: The journal entries assume that all units started in September were completed by the end of the month.
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Berjaya Holding Sdn. Bhd is planning to implement a new reservation system that incorporates the existing web-based system with a new data mining capability. The new system will enable the integration of multiple systems across the company and streamline the processes between various departments. The total cost to implement the system is about RM1.5 million and it is anticipated to generate more reservations that lead to yearly return of RM500,000 for the next five years. The project is assigned to the Information Technology Division to lead and you have been appointed as the project manager. a) Considering that discount rate is 10%, calculate the Net Present Value (NPV) of this project. (Discount Factor (DF) for year 1 = 0.909, year 2 = 0.826, year 3 = 0.751, year 4 = 0.683 and year 5 = 0.621) (6 marks) b) Based on the answer in 5 a), should Berjaya Holding carry out the project? Explain your answer. (2 marks) c) In justifying an IT investment, another alternative to NPV is the Return on Investment (ROI). Calculate the total ROI and Annual ROI of this investment. (3 marks)
a) The Net Present Value (NPV) of the project is RM225,810.
b) Yes, Berjaya Holding should carry out the project as the NPV is positive, indicating potential profitability.
c) The total ROI is 33.3% and the Annual ROI is 6.7%.
a) To calculate the Net Present Value (NPV) of the project, we need to discount the expected yearly returns using the discount rate.
Year 1: RM500,000 * 0.909 = RM454,500
Year 2: RM500,000 * 0.826 = RM413,000
Year 3: RM500,000 * 0.751 = RM375,500
Year 4: RM500,000 * 0.683 = RM341,500
Year 5: RM500,000 * 0.621 = RM310,500
NPV = (RM454,500 + RM413,000 + RM375,500 + RM341,500 + RM310,500) - RM1,500,000
NPV = RM1,894,000 - RM1,500,000
NPV = RM394,000
b) Based on the positive NPV of RM394,000, Berjaya Holding should carry out the project.
A positive NPV indicates that the project is expected to generate more value than the initial investment, making it financially viable.
c) To calculate the Return on Investment (ROI), we divide the total return over the investment cost.
Total ROI = (RM500,000 * 5) / RM1,500,000
Total ROI = RM2,500,000 / RM1,500,000
Total ROI = 1.67 or 167%
Annual ROI = Total ROI / Number of years
Annual ROI = 167% / 5
Annual ROI = 33.4%
The total ROI of the investment is 167% and the annual ROI is 33.4%, indicating a favorable return on the investment in the project.
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Friends Partnership has three partners. The balance of each partner' capital is: Alia $48,000; Mariam $50,000 and Fatima $52,000. Alla withdraws from the Partnership. The remaining partners, Mariam and Fatima, agreed to pay cash of $54,000 for Alla from partnership. The partners share income and loss equally.
Required :
How much is the capital balance for the remaining partners Mariam and Fatima after the withdrawal of Alia
After the withdrawal of Alia, the capital balance for the remaining partners Mariam and Fatima can be calculated as follows:
Total capital balance before withdrawal:
Alia: $48,000
Mariam: $50,000
Fatima: $52,000
Total capital balance before withdrawal = $48,000 + $50,000 + $52,000 = $150,000
Since the partners share income and loss equally, the remaining partners, Mariam and Fatima, will split the share of Alia's capital equally.
Amount to be paid to each remaining partner = $54,000 / 2 = $27,000
Mariam's new capital balance = Mariam's previous capital balance + Amount received from Alia - Amount paid to Alia
Mariam's new capital balance = $50,000 + $27,000 - $27,000 = $50,000
Fatima's new capital balance = Fatima's previous capital balance + Amount received from Alia - Amount paid to Alia
Fatima's new capital balance = $52,000 + $27,000 - $27,000 = $52,000
Therefore, the capital balance for the remaining partners Mariam and Fatima after the withdrawal of Alia is:
Mariam: $50,000
Fatima: $52,000
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On 18 Jan 2022, Microsoft announced to acquire Activision Blizzard for $95 per share, in an all-cash transaction valued at $68.7 billion. After the announcement, Activision share jumped and gains 26%, while Microsoft shares fell by 2.4%. For most M&A cases, the acquiring firm shareholders seem to benefit little or even lose from a takeover.
Why do acquiring firm shareholders gain litter or even lose from an M&A deal? Explain any three reasons.
Acquiring firm shareholders often benefit little or even lose from an M&A (merger and acquisition) deal due to several reasons:
Overpayment: Acquiring firms may sometimes pay a premium price for the target company. The excitement and competition surrounding the acquisition can lead to inflated prices, causing the acquiring firm's shareholders to bear the burden of overpayment. In the case of Microsoft's acquisition of Activision Blizzard, the announcement caused a drop in Microsoft's shares, indicating that investors were concerned about the price paid for the deal.
Integration challenges: Merging two companies involves combining different corporate cultures, management styles, and operational systems. The process of integrating the acquired company with the acquiring firm can be complex and time-consuming. Difficulties in achieving synergies, streamlining operations, and realizing cost savings can lead to underperformance and decreased shareholder value. Shareholders may become skeptical about the expected benefits of the merger, resulting in a decline in the acquiring firm's share price.
Dilution of ownership: Mergers and acquisitions often involve issuing new shares or using cash reserves to finance the transaction. This can result in dilution of ownership for existing shareholders, as their proportionate ownership in the merged entity reduces. If the benefits from the deal do not outweigh the dilution effect, shareholders may experience a decrease in the value of their holdings.
It's worth noting that not all M&A deals lead to negative outcomes for acquiring firm shareholders. Some mergers and acquisitions are successful and create value through improved market position, increased economies of scale, expanded product portfolios, or enhanced innovation. However, the potential risks and challenges associated with M&A transactions make it crucial for acquiring firms to conduct thorough due diligence and strategic planning to maximize the chances of a successful outcome for their shareholders.
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Contract logistics is the set of activities that are conducted after the sale of a product to recapture value and end the product's lifecycle. It typically involves returning a product to the manufacturer or distributor or forwarding it on for servicing, refurbishment, or recycling. O True O False
False. Contract logistics primarily focuses on the forward flow of goods, while reverse logistics deals with the activities after the sale to recapture value and end the product's lifecycle.
Contract logistics refers to the outsourcing of various logistics activities to a third-party logistics provider. It involves the management and execution of tasks such as transportation, warehousing, inventory management, order fulfillment, and distribution on behalf of a company. The goal of contract logistics is to streamline and optimize these operations, allowing businesses to focus on their core competencies and strategic objectives.
On the other hand, the activities related to recapturing value and ending the product's lifecycle, such as returns, servicing, refurbishment, or recycling, fall under the umbrella of reverse logistics. Reverse logistics involves the processes of handling and managing products after they have been sold, with the aim of extracting value from them or properly disposing of them in an environmentally friendly manner.
While contract logistics focuses on the forward flow of goods from production to distribution, reverse logistics deals with the reverse flow of goods from customers back to the manufacturer or distributor. It encompasses activities such as product returns, repairs, refurbishment, recycling, and disposal. These activities aim to recover value from products, minimize waste, and ensure compliance with environmental regulations.
Therefore, it is important to differentiate between contract logistics, which primarily deals with the forward flow of goods, and reverse logistics, which encompasses the post-sale activities related to recapturing value and ending the product's lifecycle.
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What is the main function of a Transaction Processing System (TPS) in an organization?
a. To analyze and interpret complex data for strategic decision-making.
b. To automate routine transactions and process business operations.
c. To ensure data security and privacy within the organization.
d. To facilitate communication and collaboration among employees.
The main function of a Transaction Processing System (TPS) in an organization To automate routine transactions and process business operations.
The main function of a Transaction Processing System (TPS) in an organization is to automate routine transactions and process day-to-day business operations. TPSs are designed to handle and record the operational data generated by the organization's daily activities, such as sales transactions, inventory management, payroll processing, and customer orders.
By automating these routine transactions, TPSs help improve operational efficiency, accuracy, and speed. They enable organizations to streamline their business processes, reduce manual errors, and ensure consistent data entry and processing. TPSs typically have predefined rules and procedures that govern the processing of transactions, ensuring consistency and standardization across the organization.
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A competitive industry discharges pollution that is damaging crop yields. This question concerns measuring the costs of controlling the pollution. Without undertaking the pollution control, industry marginal cost (MC) is where q denotes quantity of output produced and sold; with the pollution control marginal costs are The industry faces inverse demand . Price is measured in dollars per unit and quantity in thousands of units per year. (30 of 100 points) a. Determine the competitive equilibrium quantity and price without the pollution control. Quantity _______________. Price __$__________/unit. b. Determine the competitive equilibrium quantity and price with the pollution control. Quantity _______________. Price __$__________/unit. c. Draw one graph showing the two equilibria from parts a and b. On this graph, show the areas corresponding to compliance cost and to the value of the reduced output from pollution control. d. Determine the annual total variable cost of the pollution control. Annual cost=
a. Without pollution control:The competitive equilibrium quantity and price can be determined by setting the industry's margin cost (MC) equal to the inverse demand.
Quantity: Equilibrium quantity (q*)
Price: Equilibrium price (P*)
implementing pollution control, the marginal cost (MC) of the industry changes. Determine the new equilibrium quantity and price by setting the revised marginal cost equal to the inverse demand.
Quantity: Equilibrium quantity with pollution control (q'*)
Price: Equilibrium price with pollution control (P'*)
c. The graph should show the two equilibria, with one representing the equilibrium without pollution control (q*, P*) and the other representing the equilibrium with pollution control (q'*, P'*). The compliance cost area and the value of reduced output from pollution control should be depicted on the graph.
d. The annual total variable cost of pollution control can be determined by calculating the difference in total variable costs between the two equilibria. Subtract the total variable cost without pollution control from the total variable cost with pollution control.
Annual cost: Total variable cost with pollution control - Total variable cost without pollution control.
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Common payment choices for everyday activities include all of the following except. A. Cash. B. Check. C. Credit card. D. Short-term loan. E. Debit card.
Common payment choices for everyday activities include all of the following except the option D Short-term loan.
Short-term loan is not a common payment choice for everyday activities. It is an amount of money that a lender will offer a borrower that has to be repaid over a period of time and with interest.
Choices A, B, C, and E are common payment choices for everyday activities:
Cash: It's the most common payment method. Cash is a legal payment method that includes coins and banknotes.
Check: A check is a paper-based payment method that orders a bank or credit union to pay a certain amount of money from the account of the check writer.
Credit card: Credit cards are issued by a financial institution or credit card company and allow the cardholder to borrow funds to make purchases. It is a convenient payment choice that allows customers to make online transactions as well as access credit in an emergency.
Debit card: Debit cards are issued by banks or credit unions, and they can be used to make payments or withdraw cash. They're linked to your checking account, and the money is deducted from it automatically.
Therefore option (D) is the correct answer.
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psychographics enables marketers to view people as individuals with feelings and inclinations.
Psychographics is the research of various characteristics of human behavior, such as opinions, values, interests, activities, and lifestyles. Psychographics enables marketers to view people as individuals with feelings and inclinations. Psychographics, unlike demographics, looks beyond surface-level attributes to determine consumer behaviors and preferences. Psychographics is concerned with a person's way of life, opinions, and values, and it aids in the creation of marketing messages that appeal to consumers.
Marketers use psychographics to create advertisements that appeal to consumers' emotions and needs. Psychographics allows marketers to comprehend why customers make purchases, their motivations for purchasing, and their general preferences. Psychographic research helps companies recognize the needs and wants of different customer segments.
This knowledge enables marketers to create advertising campaigns that cater to specific consumer groups. Psychographic data can be used by marketers to determine which advertising approach is most effective in communicating with a particular audience. Psychographics assists in the creation of content that is not only relevant but also appealing to a specific group of customers. Psychographics is also useful in creating messages that elicit an emotional response from consumers.
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is the ratio of earnings reinvested in the firm. A. dividend payout ratio The Multiple-Choice B. PE ratio C. plowback ratio D. dividend payout ratio and plowback ratio
The plowback ratio is the ratio of earnings reinvested in the firm, while the dividend payout ratio represents the proportion of earnings distributed as dividends to shareholders.
The ratio of earnings reinvested in the firm is known as the plowback ratio or retention ratio. It measures the proportion of earnings that a company retains and reinvests back into its operations rather than distributing them as dividends to shareholders. The plowback ratio is calculated by subtracting the dividend payout ratio from 1.
The dividend payout ratio, on the other hand, represents the percentage of earnings that a company distributes to shareholders in the form of dividends. It is calculated by dividing dividends by net income. The dividend payout ratio reflects the portion of earnings that is returned to shareholders as a cash payout. The PE ratio, or price-to-earnings ratio, is a valuation metric that compares the market price of a company's stock to its earnings per share (EPS). It is calculated by dividing the market price per share by the EPS. The PE ratio provides insights into the market's expectations regarding a company's future earnings growth and is commonly used to assess a company's relative value.
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Mario divides his time between fishing and farming. In one day he can catch 20 kilograms of fish or harvest 10 bushels of potatoes. Mario's opportunity cost of farming is:
a. 2 kilograms fish per bushel of potatoes.
b. 2 bushels potatoes per kilogram of fish.
c. 1/2 bushel potatoes per kilogram of fish.
d. 2 potatoes per fish.
e. 1/2 kilogram fish per bushel of potatoes.
The opportunity cost measures the value of the next best alternative forgone when making a choice. In this case, Mario can catch 20 kilograms of fish or harvest 10 bushels of potatoes in a day.
To determine Mario's opportunity cost of farming, we need to compare the productivity of fishing and farming. The opportunity cost of farming is the amount of fish Mario could have caught if he chose to fish instead of farming. Since he can catch 20 kilograms of fish in a day, we need to determine the trade-off between fish and potatoes. From the given options, the correct answer is (e) 1/2 kilogram fish per bushel of potatoes. This means that for every bushel of potatoes Mario chooses to farm, he is giving up the opportunity to catch 1/2 kilogram of fish. Therefore, the opportunity cost of farming is 1/2 kilogram of fish per bushel of potatoes.
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what are the modes of entry into foreign markets? direct investment exporting licensing joint ventures all of the above 11 12 ✓ Question 30 (1 point) Frequency is a measure of the percentage of people in the target market who are exposed to the ad campaign during a given period of time. 14 15 True False Question 19 (1 point) Drop shipper - An intermediary that gives orders and payment from the customer, then arranges to have the merchandise shipped to the customer indirectly from the supplier True False Question 21 (1 point) Vertical conflict occurs among firms that perform the same function at the same level of the channel. True False
Ques 19 True. A drop shipper is an intermediary that gives orders and payment from the customer, then arranges to have the merchandise shipped to the customer indirectly from the supplier. ques 21. True. Vertical conflict occurs among firms that perform the same function at the same level of the channel. This statement is True.
Modes of entry into foreign markets are exporting, direct investment, licensing, and joint ventures. Direct investment requires a substantial level of resources and a strong commitment to investing in a foreign market. It's the process of creating, purchasing or expanding a company or production facility in a foreign country. The most significant risk associated with direct investment is the initial financial investment, which may be substantial. Exporting is a relatively low-risk strategy for gaining access to foreign markets. It entails shipping products to a foreign country for sale. This strategy is effective when market demand for the product is predictable, transportation expenses are low, and tariffs are minimal. Licensing is an arrangement in which a licensor grants a foreign company the right to produce and market the licensor's product or utilize its trademark for a specific period of time in return for a fee. Joint ventures are strategic alliances in which two or more businesses collaborate to accomplish a specific goal. Direct investment, exporting, licensing, and joint ventures are all modes of entry into foreign markets. Frequency is a measure of the percentage of people in the target market who are exposed to the ad campaign during a given period of time.
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You are a consultant and the company would like to know what tool is best to use to track the movement of employees within the organization for planning for future hires: lateral moves, promotions, and turnover. Which tool would you recommend? Markov Analysis Charts Replacement Charts HR Planning analysis Job Characteristic Model
For tracking employee movement within the organization and planning for future hires, the recommended tool would be the HR Planning analysis.
The HR Planning analysis tool would be the most suitable for tracking employee movement within the organization and planning for future hires. HR Planning analysis involves assessing current workforce capabilities, identifying skill gaps, and developing strategies to address them. This tool allows companies to analyze the existing workforce, understand the skills and competencies of employees, and make informed decisions regarding lateral moves, promotions, and turnover.
By conducting HR Planning analysis, organizations can identify areas where additional hires may be required to fill skill gaps or support growth. It provides insights into potential candidates for lateral moves and promotions within the company based on their skills, qualifications, and career aspirations. Additionally, HR Planning analysis helps in forecasting turnover rates and developing retention strategies to mitigate talent loss.
Markov Analysis Charts and Replacement Charts are useful tools for succession planning and talent management, but they may not provide a comprehensive view of employee movement for future hires. The Job Characteristic Model focuses on analyzing job design and employee satisfaction but may not specifically address tracking employee movement within the organization.
HR Planning analysis, employee movement, future hires, skill gaps, lateral moves, promotions, turnover, workforce capabilities, succession planning, talent management, Markov Analysis Charts, Replacement Charts, Job Characteristic Model.
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Case Study
You are interested to acquire the following private equity firm. The private firm operates in Australia and its main business is in biotechnology. The current revenue is $7,400,000 per year. Given that it is a growing company, you think that the company's revenue would grow, on average, 7% every year over the next five years. You would fund your purchase with 50% debt and the remaining with equity. As a seasoned private equity investor, you would pay an EBITDA multiple of 10 for the company.
Based on the information provided by the firm, they have been generating an EBITDA margin of 20% before the COVID-19 pandemic. However, since COVID-19 the EBITDA margin has dropped to 10% in the most recent financial statement. The firm convinces you that they are on the right track of recovering and the EBITDA margin would subsequently recover back to 20%. You also believe that by actively managing the company, you would be able to grow the EBITDA margin by 2% for each of the next five years.
The initial fees and expenses associated with the acquisition are $2,600,000. You have an exit strategy of five years and would sell the company after five years at the same EBITDA multiple you chose above. Assume that the interest rate is 5%, the yearly capital expenditure is $1,300,000 and the tax rate is 30%.
Show your operating projections over the next five years and the profit projection in year 5 if you acquire the firm using leverage buyout. Consider this as your base case scenario. Briefly explain and discuss your numbers.
HOW WOULD YOU CALCULATE THE ORIGINAL EBITDA??
The financial indicator known as EBITDA - Earnings Before Interest, Taxes, Depreciation, and Amortization margin assesses a company's operating performance to determine its profitability. Before taking into account interest, taxes, depreciation, and amortization costs, it shows the percentage of a company's revenue that is derived from its core business.
The original EBITDA can be calculated using the EBITDA margin before the COVID-19 pandemic and the current revenue of the company. The formula for EBITDA is EBITDA = Revenue - Cost of goods sold - Operating expenses. Here, the EBITDA margin before COVID-19 is 20%.
Therefore, the original EBITDA would be: Original EBITDA = 20% × $7,400,000 = $1,480,000Thus, the original EBITDA for the company is $1,480,000.
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a) What rate of return will shareholders require before the firm changes its capital structure?< b) What will be the firm value after the firm changes its capital structure? c) What will be the firm's cost of equity after the firm changes its capital structure?
a) The rate of return that shareholders will require before the firm changes its capital structure is not provided in the given information. Additional information is needed to calculate the required rate of return.
b) The firm value after the firm changes its capital structure can be determined by summing the value of equity and the value of debt. However, the specific values for equity and debt are not provided in the given information. Without these values, we cannot calculate the firm value after the capital structure change.
c) The firm's cost of equity after the firm changes its capital structure is not provided in the given information. The cost of equity is influenced by factors such as the risk-free rate, equity risk premium, and beta. Without these values, we cannot determine the firm's cost of equity after the capital structure change. Additional information is needed to calculate the cost of equity.
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Trade Receivables Turnover Ratio 4 times, Cost of Revenue from Operations $2,56,000. Gross Profit on Revenue from operations 20%, Closing Trade Receivables were $8,000 more than at beginning. Cash Revenue from operations being 33-1/3 % of Credit Revenue from operations. Find out the amount of Opening and Closing Trade Receivables.
The amount of Opening Trade Receivables is $176,000, and the amount of Closing Trade Receivables is $184,000 ($8000 more than the opening Trade Receivables).
Trade Receivables Turnover Ratio = Credit Revenue from operations / Average Trade Receivables
where, Average Trade Receivables = (Opening Trade Receivables + Closing Trade Receivables) / 2
From the question, it is given that:
Trade Receivables Turnover Ratio = 4 times
Credit Revenue from operations = Cash Revenue from operations + Credit Revenue from operations / 3 = (1/3 + 1) * Credit Revenue from operations / 3 = 4/9 * Credit Revenue from operations
Gross Profit on Revenue from operations = (Sales - Cost of Revenue from operations) / Sales * 100= (Sales - $256000) / Sales * 100 = 20% => (Sales - $256000) / Sales = 0.2
=> Sales = $320000
Now we can substitute the given values in the formula to find the opening and closing trade receivables:4 = (4/9 * Credit Revenue from operations) / ((Opening Trade Receivables + Closing Trade Receivables) / 2)
=>(Opening Trade Receivables + Closing Trade Receivables) / 2 = (9/4 * Credit Revenue from operations) / 4= (9/16) * Credit Revenue from operations= (9/16) * $320000 = $180000
Therefore, (Opening Trade Receivables + Closing Trade Receivables) = 2 * $180000 = $360000Let's assume the opening trade receivables are x dollars.T
herefore, Closing Trade Receivables = (x + $8000) dollarsOpening Trade Receivables + Closing Trade Receivables = $360000
Substitute the value of Closing Trade Receivables to get the value of opening trade receivables as x + (x + $8000) = $360000=> 2x = $352000=> x = $176000
Therefore, the amount of Opening Trade Receivables is $176,000, and the amount of Closing Trade Receivables is $184,000 ($8000 more than the opening Trade Receivables).
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Bond Z is a 4% annual coupon bond maturing in 5 years with a face value of $1,000. The interest rate for all maturities is 10%. What is Bond Z's Macaulay duration?
NOTE: Answers should be expressed in years rounded to the nearest hundredth (0.01) - for example, enter 1.2345 years as 1.23. Intermediate results should not be rounded to less than 6 decimal places unless instructed otherwise.
To calculate Bond Z's Macaulay duration, we need to follow these steps:
Step 1: Calculate the present value of each cash flow.
The annual coupon payment is 4% of $1,000, which is $40. The face value of the bond is $1,000, and the interest rate is 10%.
Using the present value formula for a bond, the present value of the coupon payments can be calculated as follows:
PV(coupon payment) = coupon payment / (1 + interest rate)^t,
where t is the time period in years.
For Bond Z, the coupon payments occur annually for 5 years. The present value of each coupon payment is as follows:
PV(coupon payment year 1) = $40 / (1 + 0.10)^1 = $36.36
PV(coupon payment year 2) = $40 / (1 + 0.10)^2 = $33.06
PV(coupon payment year 3) = $40 / (1 + 0.10)^3 = $30.06
PV(coupon payment year 4) = $40 / (1 + 0.10)^4 = $27.32
PV(coupon payment year 5) = $40 / (1 + 0.10)^5 = $24.84
The present value of the face value at maturity is simply the face value itself since it is received at the end of the bond's life:
PV(face value) = $1,000
Step 2: Calculate the weighted average time of each cash flow.
The weighted average time is calculated by multiplying each cash flow's present value by the time until it is received, and then dividing the sum by the total present value of the bond.
Weighted average time = (PV(coupon payment year 1) × t1 + PV(coupon payment year 2) × t2 + ... + PV(coupon payment year 5) × t5 + PV(face value) × t6) / Total present value,
where t1, t2, ..., t6 represent the time periods for each cash flow.
For Bond Z:
t1 = 1 year
t2 = 2 years
t3 = 3 years
t4 = 4 years
t5 = 5 years
t6 = 5 years (since the face value is received at maturity)
Total present value = PV(coupon payment year 1) + PV(coupon payment year 2) + PV(coupon payment year 3) + PV(coupon payment year 4) + PV(coupon payment year 5) + PV(face value) = $36.36 + $33.06 + $30.06 + $27.32 + $24.84 + $1,000 = $1,151.64
Weighted average time = ($36.36 × 1 + $33.06 × 2 + $30.06 × 3 + $27.32 × 4 + $24.84 × 5 + $1,000 × 5) / $1,151.64 = 5.33
Therefore, Bond Z's Macaulay duration is 5.33 years (rounded to the nearest hundredth).
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