The basis for a financial advantage when making a business decision is, whether the differential benefits exceed the differential costs.
The element or factor in a firm's product or strategy which makes it superior to that of a competitor.
Financial advantage means any offer, promise or payments of any money, gift, service, status, right, interest or any other thing to which economic value attach, including hospitality and entertainment.
Financial means relating to or involving money. The company is in financial difficulties. That's why while making a business decision, company offer to choose the differential benefits exceed the differential costs.
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Christina runs an IT consulting firm in a competitive market. She recently determined that hiring an additional consultant would mean that she would be able to serve five more clients per week. Assuming her goal is to maximize her profits, which of the following would explain why Christina did not hire another consultant? O The last consultant hired is currently serving six clients a week. O The increase in profit from another worker is less than the extra cost. O The weekly cost of another consultant is $2,000 and each client pays $350 per week. O The weekly cost of another consultant is $2,000 and each client pays $500 per week.
(B) the increase in profit from another worker is less than the extra cost.
Growth is a male-given name. it is the English language's literal translation of the call Joseph, which originates from Hebrew. Originating in England, the name changed into given more often than not among Puritans in colonial New England and inside the early 19th century inside the u.s.. for the reason that nineteenth century, the name has reduced in popularity and is now uncommon, if now not extinct. at the same time as first originating in England, the call boom came to be used more often than not with the aid of Puritans within the early colonial usa, in particular in New England. Originating in England, the name changed into given more often than not among Puritans in colonial New England and inside the early 19th century inside.
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________ involves placing ads in social network newsfeeds or within traditional editorial content, such as a newspaper article.Native advertisingLead generation marketingDemand prediction softwareCrowdsourcingBehavioral targeting
Native advertising involves placing ads in social network news feeds or within traditional editorial content, such as a newspaper article.
Native Advertising :
A style of advertising that complements the look and feel of the platform where it appears is known as native advertising, sometimes known as sponsored content. It frequently takes the form of a video, essay, or editorial and behaves much like an advertorial. By synchronizing advertisements with digital content, native advertising systems provide a means for publishers and advertisers to achieve their advertising objectives. A native advertisement doesn't look like an advertisement. Instead, it seems to be a seamless component of the user's site content.
What Makes Native Advertising Successful?Because native advertisements are typically more favorably regarded by their target audiences, they have proven to be very successful. People are more likely to view them as they don't "feel" like ads.
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Last year Lawn Corporation reported sales of $230,000 on its income statement. During the year, accounts receivable increased by $24,000, and accounts payable increased by $29,000. The company uses the direct method to determine the net cash provided by (used in) operating activities on the statement of cash flows. The sales revenue adjusted to a cash basis for the year would be:
(a) $201,000.
(b) $225,000.
(c) $206,000.
(d) $235,000.
$206,000. On the cash flow, the sales revenue for the year converted to the a cash basis would be operational activities.
What does sales revenue refer to?Before any costs are subtracted, sales revenue is the income from goods and services. It is typically calculated over a specific time frame, such a fiscal year or quarter.
What do sales and revenue mean?Before any costs are deducted from the computation, revenue is the total money a business derives from its core operations. Sales are the money a business makes from offering products or services to clients.
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A bank run occurs when:
too many people are trying to borrow more at one time.
many bank depositors are trying to withdraw their funds from the bank.
interest rates start to increase.
interest rates are higher than inflation rates.
The correct answer is several bank depositors are attempting to withdraw their funds from the bank. A bank withdrawal happens in an economy once several depositors attempt to withdraw their already deposited cash from the bank.
A bank withdrawal happens once giant teams of depositors withdraw their cash from banks at the same time support fears that the establishment can become insolvent. With additional individuals retreating cash, banks can spend their money reserves and ultimately find themselves defaulting.
A sudden rush of depositors seeking to withdraw funds from the banking industry. largely because of depositor's self-fulfilling expectations of bank's ability to pay back their deposits.
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an enterprise system is any system that is available for use and contains data from across the organization.
Enterprise resource planning (ERP) is an enterprise system is any system that is available for use and contains data from across the organization.
What are data frameworks utilized all through an endeavor?
Data frameworks are utilized to run interorganizational supply chains and electronic business sectors. For example, enterprises use data frameworks to handle monetary records, to deal with their HR, and to arrive at their expected clients with online advancements.
What is an illustration of an endeavor framework?
Endeavor asset arranging, production network the executives and client relationship the board frameworks are every instances of big business frameworks.
What is an illustration of an endeavor framework?
Venture asset arranging, production network the board and client relationship the executives frameworks are every instances of big business frameworks.
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The manager of the Ramona Inn Hotel near Cloverleaf Stadium believes that how well the local Blue sox professional baseball team is playing has an impact on the occupancy rate at the hotel during the summer months. Following are the number of victories for the Blue Sox (in a 162 game schedule) for the past 8 years and the hotel occupancy rates: | Year Number of Blue Occupancy Rate Sox Wins (%) 83 70 78 85 86 75 85 87 90 89 93 92 7 87 8 91 Develop a linear regression model for these data, and forecast the occupancy rate for next year if the Blue Sox win 88 games. In addition, calculate r and r2 and interpret each one. Is this a good forecasting method for the given data?
The equivalent units of production for conversion costs are 16,000 units. Equivalent units are typically calculated for two types of costs: direct materials costs and conversion costs (which include labor and overhead).
To calculate the equivalent units of production for conversion costs, you need to determine how many units are completed during the period and how much of the ending work in process inventory is considered equivalent to a completed unit. Equivalent units are a measure of the work done on units in a production process during a specific period. They are used in process costing, which is a method of assigning costs to units of production based on the amount of work done on those units during a specific period.
First, find the number of units completed during the period by subtracting the beginning work in process inventory from the units started and added during the period:
180,000 units - 60,000 units = 120,000 units.
Next, determine the percentage of the ending work in process inventory that is considered equivalent to a completed unit by subtracting the percentage that is complete as to materials from 100%. In this case, the percentage of the ending work in process inventory that is equivalent to a completed unit is 100% - 60% = 40%.
Then, multiply the number of units in the ending work in process inventory by the percentage that is considered equivalent to a completed unit to find the equivalent units of production for conversion costs: 40,000 units * 40% = 16,000 equivalent units.
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a tariff is most likely to__________ prices and_______ consumption of the good or service being protected.
A tariff is a tax that a government imposes on goods and services that are imported from other nations in order to raise prices and reduce the appeal of imports or at the very least their competitiveness, compared to domestic products and services.
By imposing a levy on imported products that are paid by the domestic importer, tariffs raise the cost of goods and services in domestic markets. The domestic importer then raises the pricing for the products and services to meet the additional expenses.
Producing cash, protecting domestic industries, and balancing trade are the three major goals of tariffs. The fact that tariff money is used by governments as a source of finance leads to the creation of the revenue function.
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retirement benefits of $800k were paid by the pension trust fund. which of the following lines would be utilized in the pension trust fund for this transaction.
Pension have faith fund means a fund installed to hold the contributions, income, and property of a retirement gadget or graph in public trust.
Who owns trust fund pension?The possession of Trustfund Pensions Limited is varied and displays more than a few interests, which consist of the consultant our bodies of Nigerian workers, employers, and economic institutional buyers from the private sector.
There are two primary sorts of pension plans: the described advantage and the described contribution plan. A defined benefit graph guarantees a set monthly price for life (or a lump sum fee on retiring). A described contribution layout creates an funding account that grows throughout the employee's working years.
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SELECT CustomerNum, CustomerName, Street, CreditLimit
FROM Customer
WHERE CreditLimit IN (7500, 10000, 15000)
An ERP and double-entry accounting system is SQL-Ledger. A typical web browser can be used as the user interface for a SQL Database Server that houses accounting data. The system processes data using a database interface module written in Perl, and PostgreSQL, the platform of choice, is used to store it. In addition to Oracle, the download version has schemas for IBM's DB2 database server. All of the typical features of SMB accounting software are included in SQL-Ledger. A contract for enterprise support includes the option of specific customization.
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Sunland Company sells office equipment on July 31, 2017, for $23,830 cash. The office equipment originally cost $79,860 and as of January 1, 2017, had accumulated depreciation of $39,690. Depreciation for the first 7 months of 2017 is $4,090. Prepare the journal entries to (a) update depreciation to July 31, 2017, and (b) record the sale of the equipment.
When Sunland Company has the financial transaction as explained in the events given above, the journal entries will affect the depreciation expense accounts and sale of assets account.
The journal entries for the provided financial transactions will be done as below,
Date Particulars Debit Credit
July 31 Cash Ac. Dr. $23,830
To, Sale of Equipment Ac. $23,830
July 31 Accumulated Depreciation Ac. Dr. $43,780
Cash Ac Dr. $23,830
Loss on sale Ac. Dr. $12,250
To, Equipment Ac. $79,860
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The long-run effects of monetary policy
The following graphs show the state of an economy that is currently in long-run equilibrium. The first graph shows the aggregate demand (AD) and long-run aggregate supply (LRAS) curves. The second shows the long-run and short-run Phillips curves (LRPC and SRPC).
Which of the following statements are true based on these graphs? Check all that apply.
A) The unemployment rate is currently 9% higher than the natural rate of unemployment.
B) The current quantity of output is greater than potential output.
C) The natural level of output is $6 trillion.
Suppose the central bank of the economy decreases the money supply.
Show the long-run effects of this policy on both of the graphs by shifting the appropriate curves.
The long-run effect of the central bank's policy is (Increase / No Change / Decrease) in the inflation rate, (Decrease / No Change / Increase) in the unemployment rate, and (Decrease / Increase / No Change) in real GDP.
A) The unemployment rate is currently 9% higher than the natural rate of unemployment.
B) The current quantity of output is greater than potential output.
What are long run effects of monetary policy?
For the past eight years or so, interest rates have been consistently low in the core advanced economies. Since early 2009, short-term nominal rates have generally been close to zero, and since 2014 and 2016, respectively, in the euro area and Japan, they have even been negative. Along with the decline in short-term nominal rates, real (inflation-adjusted) rates have fallen to persistently negative levels. Over this time, long-term rates have similarly fallen, but more gradually: nominally, they averaged between 3 and 4% in 2009 before falling to below 1% in 2016, and in real terms, they have been primarily negative since 2012.
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Pinder Co. produces and sells high-quality video equipment. To finance its operations, Pinder issued $25,000,000 of five-year, 7% bonds, with interest payable semiannually, at a market (effective) interest rate of 9%. Determine the present value of the bonds payable, using the present value tables in Exhibits 5 and 7. (Round to the nearest dollar.)
Present value of $1 for 10 semiannual periods at 4.5% semiannual rate Answer:
Face amount of bonds Answer:
Present value of bond face amount Answer:
Present value of an annuity of $1 for 10 periods at 4.5% Answer:
Semiannual interest payment Answer:
Present value of semiannual interest payment Answer:
Total present value of the bond (proceeds) Answer:
The total present value of the bond is $1750000.
What is present value?The worth of an expected income stream calculated as of the date of valuation is known as the present value (PV), sometimes known as the present discounted value, in economics and finance. With the exception of periods of zero- or negative interest rates, when the present value will be equal to or greater than the future value, money has the potential to earn interest, which is a property known as the time value of money. A dollar invested today that earns a day's interest today is worth more than a dollar invested tomorrow since the amount will have risen to more than a dollar by tomorrow thanks to the compound interest. Rent can be used as an analogy for interest.
Face Value = $25,000,000
Coupon Rate = 7%
The Interest payable semiannually
Term = 5 years i.e. 10 semi-annual periods
Present value of bond=25000000*7%= $1750000
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Which of these two are Regulations around financial institutions (e.g. credit cards transactions and reporting practices)?
PCIDSS and FIMRA
SOX and FERPA
PCIDSS and SOX
CIPA and GDPR
PCIDSS and SOX are two regulations that apply to financial institutions, such as those that govern credit card transactions and reporting procedures.
What do SOX and PCI DSS mean?Organizations can no longer ignore the Payment Card Industry Data Security Standard (PCI DSS) and the Sarbanes-Oxley Act (SOX), two of the most important compliance measures.
What are the PCI DSS's four levels?Level 1: Companies that accept credit cards and complete more than 6 million transactions yearly. Level 2: Businesses handling 1-6 million transactions annually. Level 3: Businesses that handle 20,000–1 million transactions yearly. Less than 20,000 transactions are processed annually by Level 4 merchants.
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If Squid Roe Company's P/E ratio is 12, which of the following statements is correct? Multiple Choice Investors are willing to pay 12 times the current year's earnings per share of stock
Squid Roe's stockholders earned 12 times the owners' average Investment.
Squid Roe's average stockholders' equity is 12 times its earnings.
Squid Roe's net Income was 12 times its stockholders' equity.
Option A: Market price x Price Earnings Ratio.
The P/E Ratio: Why Is It Important?The P/E ratio can be used by investors to assess if the stock of a firm is overpriced or undervalued in respect to its earnings.The ratio serves as a gauge of what the market is prepared to pay for the company's existing activities as well as its potential for future growth.
Are high PE ratios desirable?In general, companies with a high P/E indicate that investors anticipate greater future profits growth than those with a low P/E. A low P/E can either mean that a firm is now undervalued or that it is performing remarkably well in comparison to its historical trends.
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Now suppose South Africa opens up to trade, as in the small-country model. er the country of South Africa, the y of which is the rand. The graphs how two markets: gasoline and iron Suppose the world price for gasoline is 9 rand per liter. South Africa will Select... million liters of gasoline. Market for Gasoline Market for Iron Ore Submit 30 A 27+ 12,000 A 10,000+ Do you know the answer? X Price (rand per metric ton) 8,000 6,000 4,000 I know it Think so Unsure No idea 2.000 1 2 3 4 5 6 7 8 9 10 Quantity (millions of liters) 1 2 3 4 5 6 7 8 9 10 Quantity (millions of metrict
South Africa will import 5 million liters of gasoline because Low domestic supply and high domestic demand at world market prices
What is Domestic Supply in Economics?Quantity of commodities available for domestic consumption or fixed investment, valued at producer prices. It is calculated from domestic production plus imports minus exports minus inventory change.
What is Domestic Demand?
Domestic final demand is the real sum of final consumption, investment and inventory building expenditures by the private and public sectors. Demand for domestic goods refers to the demand for goods produced in our economy, both domestically and abroad. Domestic demand for goods is the domestic demand for goods that can be manufactured abroad.
What is the reason for the expansion of domestic demand?An increase in overseas production leads to an increase in domestic production. Channels are free: Increased foreign production leads to increased exports of domestic goods, increasing domestic production and domestic demand for goods through a multiplier.
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use the is-il model to determine the effects of each of the following on the general equilibrium values
The answer of the given question is - A reduction in the effective tax rate on capital increases desired investment.
Just a few months after his fellow British economist John Maynard Keynes released "The General Theory of Employment, Interest, and Money," John Hicks initially presented the IS-LM model in 1936. Although it is primarily utilized as a heuristic tool today, Hicks' model served as a codified graphical depiction of Keynes' views.
The IS-LM model's three essential exogenous, or external, variables are liquidity, investment, and consumption. The amount and flow of the money supply, according to the notion, determine liquidity. The marginal choices made by individual actors impact the amounts of investment and consumption. many actors.
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A linear regression to estimate the relation between General Motors' stock returns and the market's return gives the best-fitting line that represents the relation between the stock and the market. The slope of this line is our estimate of ________. 87) A) risk-free rate B) alpha C) beta D) volatility
As the slope of the line is between General Motors' stock returns and the market's return, the slope of this line is the estimate of C) beta.
In the field of business, when two variables are studied together in order to know how one variable affects the other variable in a business, then such a type of analysis is referred to as linear regression.
In the regression analysis, the beta can be described as a standard coefficient that shows the best line in the analysis that can be made when two variables are compared.
In the question above, the relation between the general motor's stock and the return is being studied. The line in regression analysis that will be the best fitting based on these two variables will be the representation or estimation of the beta value. Hence, the correct option is C) beta.
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the difference between the actual volume and the budgeted volume, multiplied by the fixed overhead rate based on budgeted volume is the:
The difference between the budgeted and actual amount of fixed overhead is the flexible-budget variance, also referred to as the spending variance. The production-volume variance measures the difference between the budgeted fixed overhead and the fixed overhead allocated based on the actual output produced.
It can be calculated using the following formula: Fixed Overhead Volume Variance = Applied Fixed Overheads – Budgeted Fixed Overhead. Here, Applied Fixed Overheads = Standard Fixed Overheads × Actual Production.
Controllable Variance consists of both variable and fixed overhead elements. Spending variance and efficiency variance are the two types that are under controllable variance. Spending variance is calculated for both the fixed and variable costs.
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the difference between the private costs of regulations and the private benefits for the producers of financial services is called the net regulatory burden.
The term "net regulatory burden" refers to the gap between the private costs of regulations and the private benefits to financial service providers. the claim is accurate
What sort of financial service would that be?
Around the world, businesses in the financial services industry provide a wide range of financial services. Banking, brokerage, mortgages, credit cards, payment services, real estate, taxes, accountancy, and investment funds are among these services.
What are financial services, exactly?
A broad category of more specialized operations, such as banking, investing, and insurance, is referred to as financial services. While financial products are the real items, accounts, or investments that these companies offer, financial services are only the activity of financial services corporations and their professionals.
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lason, a retail chain, sells a number of different products from different manufacturers under the brand name lason. this is considered an example of brand extension.
The brand's name lason . this is considered an example of brand extension. For example, the Boston Market restaurant chain launched a line of frozen dinners under its own name, offering similar fare. Another form of brand extension combines two well-known products.
You are standing in a supermarket ice cream parlor thinking about what you want to buy. This is just one example of the concepts we will discuss in this lesson, explaining how your business can grow through brand extension.
A trademark is a distinctive symbol, mark, logo, name, word, phrase, or combination thereof given to distinguish a range of products manufactured by the same company from others.
Brand extension occurs when a company uses its influence to launch a new product in another category. The Snickers Ice Cream Bar is a brand extension of the Snickers Candy Bar.
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the company has one office worker who earns $600 per week, or $31,200 per year, and four sales clerks who each earn $500 per week, or $26,000 per year for each salesclerk.
The company has one office worker who earns $600 per week, or $31,200 per year, and four sales clerks who each earn $500 per week, or $26,000 per year for each salesclerk is $31,510.00.
"Financial Disclaimer: The information on this site is for your information only and is not a substitute for professional financial advice."
In order to make an informed decision as to whether dept. 200 should be closed or not, prepare the below analysis:
Solution 1:
Elegant Decor Company
Analysis of Expenses under elimination of Department 200
Particulars Total Expenses Eliminated Expenses Continuing expenses
Cost of good sold $469,000.00 $207,000.00 $262,000.00
Direct Expenses:
Advertising $29,000.00 $12,000.00 $17,000.00
Store supplies used $7,800.00 $3,800.00 $4,000.00
Deprectiation - Store Equipment $8,300.00 $0.00 $8,300.00
Allocated Expenses:
Sales Salaries $104,000.00 $36,400.00 $67,600.00
Rent Expense $14,160.00 $0.00 $14,160.00
Bad debts expense $18,000.00 $8,100.00 $9,900.00
Office salary $31,200.00 $15,600.00 $15,600.00
Insurance Expense $3,100.00 $770.00 $2,330.00
Miscellenous office expense $4,000.00 $400.00 $3,600.00
Total Expenses $688,560.00 $284,070.00 $404,490.00
Solution 2:
Elegatn Décor Company
Forecasted annual income statement
Under plan to eliminate Department 200
Particulars Amount
Sales $436,000.00
Cost of goods sold $262,000.00
Gross Profit $174,000.00
Operating Expenses:
Advertising $17,000.00
Store supplies used $4,000.00
Deprectiation - Store Equipment $8,300.00
Sales Salaries $67,600.00
Rent Expense $14,160.00
Bad debts expense $9,900.00
Office salary $15,600.00
Insurance Expense $2,330.00
Miscellenous office expense $3,600.00
Total operating expenses $142,490.00
Net Operating Income $31,510.00
Solution 3:
Elegant Décor Company
Reconciliation of combined income with forecasted income
Particulars Amount
Combined Net Income $37,440.00
Add: Dept 200's eliminated expenses $284,070.00
Less: Dept 200's lost sales -$290,000.00
Forecasted net income $31,510.00
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randy moved across the country to advance his career. although he moved alone, he soon developed a group of coworkers and friends who became like a family to him. they served as his .
Randy moved across the country to advance his career. although he moved alone, he soon developed a group of coworkers and friends who became like a family to him. they served as his social convoy.
A coworker, especially one in a similar role or level of responsibility. Today, coworker is more often used to describe people who share a workplace or tasks, whereas colleague is more often used to describe people who work in the same industry but for different companies. Having positive working relationships with your coworkers may lead to more opportunity for collaboration and less stressful tasks. You and your coworkers could feel more comfortable sharing ideas, exchanging information, and working together if you are friends. No, not at all. Simply don't be too demanding of your coworkers by treating them like friends. A brand-new dynamic has emerged. People report to work in order to survive.
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A company's sales in year 1 were 350.000 and in year 2 were $387.500 Using year 1 as the base year, the percent change for year 2 compared the base year is Multiple choice 90% 12%
The percent change for year 2 compared the base year is 12% Sales are the proceeds a organisation generates from promoting items or services to its customers:
In accounting terms, income incorporate one thing of a company's income figure.
On an profits statement, income are generally referred to as gross sales.
How do you discover a company's sales?Contact the organisation and ask for a replica of its monetary statement or seem on the company's website to view the statement. Publicly held businesses need to make their monetary statements available to investors upon request.
Is income equal to revenue?“Revenue” refers to the total profits a enterprise earns over a unique time period. Revenue consists of complete sales, however it also may also include income generated via non-sales activities such as investments, sale of assets, and allowances
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https://brainly.com/question/25743891#SPJ4Bracken, Louden, and Menser, who share profits and losses in a ratio of 4:3:3, respectively are partners in a home decorating business that has not been able to generate the income the partners had hoped for. They have decided to liquidate the business and have solod all assets except for their decorating equipment. All partnership liabilities have been settled and all the partners are personally insolvent. The decorating equipment has a book value of $40,000, and the partners have capital account balances as follows Bracken, capital Louden, capital Menser, capital $25,000 5,000 10,000 Required Determine the amount of cash each partner will receive as a liquidating distribution if the decorating equipment is sold for the amount stated in each of the following independent cases: (Do not round intermediate calculations.) a. $30,000 Capital Balances Bracken Louden Menser Final distribution of cash b. $21,000 Capital Balances Bracken Louden Menser Final distribution of cash C. $7,000 Capital Balances Bracken Louden Menser Final distribution of cash
Previous question
The term "Capital Balance" refers to the main balance of a mortgage loan at any given time, to which the seller has applied the applicable interest rate.
State the calculation of capital expenditure.The money an organization or corporate entity spends to purchase, keep up with, or upgrade its fixed assets, such as buildings, cars, equipment, or land, is known as a capital expenditure (capex) or capital expense (CAPEX). When an asset is newly purchased or when funds are used to extend the useful life of an existing asset, such as by fixing the roof, the expenditure is regarded as a capital one. Opex, which are continuing costs required to operate the asset, contrasts with capital expenditures (capex), which are one-time costs.
To solve the question :
Capital expenditure
Particulars Bracken Louden Menser
Capital balance before
sale of equipment (25,000) (5,000) (10,000)
Equipment sold for
$30,000
Allocation of $10,000 4000 3000 3000
Capital balance after
sale of equipment (21000) (2000) (7000)
Final distribution 21000 2000 7000
Equipment sold for
$21,000
Allocation of $19,000 7600 5700 5700
Cash balance after sale (7400) 700 (4300)
Allocated capital deficit
of Louden - (700) -
4/7 × 700 - - (300)
Capital balance after
allocation of Louden deficit (7000) - (4000)
Final distribution (17000) - (4000)
Capital balance before
sale of equipment (25,000) (5000) (10,000)
Equipment sold for
$7000
Allocation of $33,000 13,200 9900 9900
Capital balance after
sales (11800) (4900) (100)
Allocated capital deficit
of Louden - (4900) -
4/7 × 4900 2800 - -
3/7 × 4900 - - 2100
Capital balance after
allocation of Louden deficit (9000) - 2000
Allocated capital deficit of
Menser 2000 - -
Capital balance after
allocation of Menser deficit (7000) - -
Final distribution 7000 - -
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If Farmer Brown plants no seeds on his farm, he gets no harvest. If he plants 1 bag of seeds, he gets 5 bushels of wheat. If he plants 2 bags, he gets 9 bushels. If he plants 3 bags, he gets 12 bushels. A bag of seeds costs $120, and seeds are his only cost.
Refer to Scenario. Farmer Brown's total-cost curve is
A. increasing at a constant rate.
B. increasing at an increasing rate.
C. increasing at a decreasing rate.
D. decreasing.
Farmer Brown's total cost curve, given the scenario of the number of plants that he buys and the bushels of wheat, is B. increasing at an increasing rate.
What is the total cost curve ?The cost of creating each level of output is represented by the total cost curve, so if we can discover the inputs that have the lowest cost per unit of output, we can calculate the cost of producing each level of output.
This total cost curve would be considered to be increasing at an increasing rate, if the marginal costs of production are increasing for every additional unit of cost incurred.
For Farmer Brown, the marginal cost at 2 bags of plants is :
= 9 - 5
= 4 bushels
At 1 bag it is :
= 5 - 0
= 5 bushels
At 3 bags it is :
= 12 - 9
= 3 bushels
Because the marginal product is decreasing, the marginal cost is increasing which means that the total cost curve is increasing at an increasing rate.
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if a $1,000 par value bond is trading at a discount, it means that the market value of the bond is $1,000.
'if a $1,000 par value bond is trading at a discount, it means that the market value of the bond is $1,000.
Market value (OMV) is the price at which an asset trades in a competitive auction environment. Market value is often used interchangeably with open market value, fair value, or fair market value, although these terms are defined differently in different standards and in specific circumstances.
Market value represents the value of a company based on market prices and is the price at which an asset is fetched in the market. In the corporate context, market value is the same as market capitalization. This is a calculated amount based on the current market price of the company's stock.
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What would be the correct order in which the following would be listed on a statement of cash flows?
Cash paid for purchase of land, decrease in inventories, cash paid for dividends
Cash paid for dividends, cash paid for purchase of land, decrease in inventories
Decrease in inventories, cash paid for purchase of land, cash paid for dividends
Decrease in inventories, cash paid for dividends, cash paid for purchase of land
The correct order in which the following would be listed on a statement of cash flows decrease in inventories, cash paid for purchase of land, cash paid for dividends.
A cash flow is a physical or fictitious movement of funds. In its strictest definition, a cash flow is a payment in money, notably from one central bank account to another.
The word "cash flow" is typically used to refer to payments that are anticipated to occur in the future, are thus unknown, and need to be projected with cash flows. Time t, nominal amount N, currency CCY, and account A all contribute to a cash flow's determination; hence, CF = CF.
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at the end of its 2024 fiscal year, a triggering event caused a company to perform an impairment test for one of its manufacturing facilities. the following information is available: book value $ 65 million estimated undiscounted future cash flows 60 million fair value 50 million the manufacturing facility is: A. Impaired because its book value exceeds undiscounted future cash flows. B. Not impaired because its book value exceeds undiscounted future cash flows, C. Not impaired because it continues to produce revenue. D. Impaired because its book value exceeds fair value.
The answer is D. Impaired because its book value exceeds fair value.
According to the International Accounting Standard (IAS) 36, an impairment test should be performed when the carrying value of an asset exceeds its recoverable amount, which is the higher of its fair value fewer costs to sell, and its value in use.
In this case, the book value of the manufacturing facility is $65 million, while its estimated undiscounted future cash flows are $60 million and its fair value is $50 million. Since the book value exceeds the fair value, the facility is impaired because its carrying value is greater than its fair value. Therefore, the company should recognize an impairment loss equal to the difference between the carrying value and the fair value.
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You have $5,700 at a local bank. You hear a rumor that the bank is going to fail. You rush over to the bank to withdraw your money and find many other bank customers who all want to withdraw their money from the bank. The scenario described here is a:
Group of answer choices
regular day at the bank.
bank run.
sale of government bonds.
result of the Federal Reserve being the lender of last resort.
You rush over to the bank to withdraw your money and find many other bank customers who all want to withdraw their money from the bank. The scenario described here is a Bank Run. Hence, option B is appropriate.
What is the Bank Run?When many depositors simultaneously attempt to take their money from a bank because of concern that their bank won't be able to refund their deposits in full as well as on schedule, this is known as a "Bank run."
As more clients take their money out, there is a chance of default, which will lead to additional withdrawals until the bank goes bankrupt. When numerous banks are involved, an unchecked bank run can result in bankruptcy and, when it does, it can cause widespread panic in the economy and an industry-wide downturn.
Hence, option B is correct.
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Bell Corp. has the following classes of equity: Preferred stock, $10 par, 8% dividend rate $100,000 Common stock, $1 par $50,000 The preferred stock is noncumulative and nonparticipating. No dividends were paid in 2016 or 2017. In 2018, Bell declared a dividend of $90,000. The common stockholders will receive a dividend of Click the answer you think is right. $66,000. $74,000. $82,000. $90,000.
Bell Corp. has the following classes of equity: Preferred stock, $10 par, 8% dividend rate $100,000 Common stock, $1 par $50,000 The preferred stock is noncumulative and nonparticipating. No dividends were paid in 2016 or 2017. In 2018, Bell declared a dividend of $90,000. The common stockholders will receive a dividend =[tex]$82,000[/tex]
Receive a dividend rate =total dividend /net income
8% = d/$10*$100,000-$90,000.
d= 8% *$10*$100,000-$90,000.=$[tex]82,000[/tex]
Net Income = Total Revenues – Total Expenses
Simply divide the annual dividends paid per share by the share price to obtain dividend yield. At instance, a company's dividend yield would be 3.33% if it paid approximately INR 412 in dividends per share and its shares are now trading for INR 12,370.Dividends are payments a business gives to its stockholders as a means of sharing earnings. They are one of the ways investors profit from stock investments because they are paid on a regular basis.
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