You have learned that your company has 8 inventory turns per year. Your competitor has 13 inventory turns per year. All else being equal, in general, this means that: 1 - You are doing better than your competition, because you have lower holding costs and can get products to market faster 2 - Your competitor is doing better than you, because they have lower holding costs and can get finished products to market faster 3- Inventory turns have nothing to do with how well we are doing; need to measure profit 4 - Cannot tell from available information Enter the number of your selection below.

Answers

Answer 1

2) Your competitor is doing better than you because they have lower holding costs and can get finished products to market faster

A higher number of inventory turns indicates that inventory is being sold and replenished more frequently. This suggests that the competitor with 13 inventory turns per year is doing better than the company with 8 turns. It implies that the competitor has lower holding costs, as they are able to sell products faster and reduce inventory carrying costs. Additionally, higher inventory turns suggest that the competitor can get finished products to the market faster, potentially leading to increased customer satisfaction and market share. However, it's important to consider other factors like profit margins and overall financial performance to make a comprehensive assessment of how well each company is doing.

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Related Questions

Happy Trails, a bicycle rental company, is considering purchasing three additional bicycles. Each bicycle would cost them $249.66. At the end of the first year the increase to their revenues would be $140 per bicycle. At the end of the second year the increase to their revenues would be $115 per bicycle and they can sell each used bike for another $25. At which of the following interest rates is the sum of the present value of the revenues from buying a bicycle closest to the price of a bicycle?

a. 5 percent

b. 6 percent

c. 7 percent

d. 8 percent

ANS: D

Since I have the answer, I am really looking for someone who can show the work on how to solve this problem. What I have so far is this:

249.66 = [140/ (1+x)] + [(115+25)/[(1+x)^2]] but 1) I'm not sure if I'm interpreting the problem correctly and 2) I don really know where to go from here in a legit mathematical way (i.e. not just plug numbers in and see which works).

Answers

Given that Happy Trails, a bicycle rental company, is considering purchasing three additional bicycles. Each bicycle would cost them $249.66. At the end of the first year, the increase in their revenues would be $140 per bicycle.

The correct option is A.

It is required to find the present value of the revenues from buying a bicycle using the given data. Let us assume that the present value of revenues from the purchase of a bicycle is P dollars.Using the given information:At the end of the first year, the increase in revenues is $140 per bicycle. Therefore, the revenues per bicycle after the first year will be (140 + R), where R is the original revenue per bicycle.At the end of the second year, the increase in revenues is $115 per bicycle. So, the revenues per bicycle after the second year will be (140 + 115 + R), and they can sell each used bike for another $25.Therefore, the total revenue that Happy Trails will earn per bike will be:R1 = 140 + R (end of the 1st year)R2 = 140 + 115 + R + 25 (end of the 2nd year,

With selling of the bike)We can use the following equation to find the present value of revenues from purchasing a bicycle WherePV = Present Value of the RevenuesR1 = Revenue per Bicycle at the end of the 1st yearR2 = Revenue per Bicycle at the end of the 2nd yearS = Salvage Valuei = interest rateThe values of R1, R2, and S are known. Therefore, we can substitute them in the equation. It is required to find the interest rate that is closest to the present value of the revenues from buying a bicycle. To solve the above equation, they need to plug in the given interest rates one by one and calculate the value of PV. Then, they need to compare the value of PV with the cost of the bicycle. The interest rate that gives the value of PV closest to the cost of the bicycle will be the answer.Let us plug in 8% interest rate.

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Renko, Inc., is considering a new three-year expansion project that requires an initial fixed asset investment of $2.52 million. The fixed asset will be depreciated straight-line to zero over its three-year tax life, after which time it will be worthless. The project is estimated to generate $2.32 million in annual sales, with costs of $1.25 million. Assume the tax rate is 21 percent and the required return on the project is 11 percent. What is the project's NPV? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Net present value I

Answers

The NPV (Net Present Value) of the project is approximately -$0.23 million. This negative value indicates that the project is not financially attractive and would result in a loss.

To calculate the NPV, we need to determine the present value of the project's cash flows. The initial investment of $2.52 million is considered an outflow, while the annual sales of $2.32 million and costs of $1.25 million are considered inflows.

Using the straight-line depreciation method, the fixed asset will be depreciated evenly over its three-year tax life. As the asset becomes worthless after three years, its salvage value is zero.

Applying the tax rate of 21 percent, the after-tax cash flows for each year can be calculated by subtracting the taxes from the net cash flows.

Next, we calculate the present value of each year's cash flows by discounting them at the required return rate of 11 percent.

Finally, we sum up the present values of the cash flows and subtract the initial investment to obtain the NPV. In this case, the NPV is approximately -$0.23 million, indicating that the project is not financially viable and would result in a loss.

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6 1 point Exactly one year ago, an investor made an investment in investment in Braodcom (AVGO). At that time, the current risk-free rate was 0.85%, the beta for AVGO was 1.1, and the market risk premium was estimated at 6.9%. Over the year, the realized return for AVGO was 7.86%. What was the risk-adjusted return (alpha) for AVGO over the year? Enter your answer in decimal form out to four decimals. For example, you would enter .1050 (for 10.5%).

Answers

The risk-adjusted return (alpha) for AVGO over the year is 0.0569.What is risk-adjusted return (alpha)?Alpha is the excess return on an investment compared to the market's return.

A positive alpha implies that an investment has outperformed its benchmark or the expected rate of return, while a negative alpha implies that an investment has underperformed or lagged its expected rate of return. The risk-adjusted return or alpha accounts for risk and is a risk-adjusted measure.How to calculate the risk-adjusted return (alpha) for AVGO over the year?The formula for calculating the risk-adjusted return (alpha) for AVGO over the year is given by,Alpha = R - [Rf + Beta(Market Risk Premium)]Where,R = Realized return of AVGO = 7.86%Rf = Risk-free rate = 0.85%Beta = Beta for AVGO = 1.1Market Risk Premium = 6.9%Now, substituting the given values in the formula,Alpha = 7.86% - [0.85% + 1.1(6.9%)]Alpha = 0.0569 or 5.69%

Therefore, the risk-adjusted return (alpha) for AVGO over the year is 0.0569.

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please answer all parts.
Silver Company makes a product that is very popular as a Mother's Day gift. Thus, peak sales occur in May of each year, as shown in the company's soles budget for the second quarter given below. Budge

Answers

The budgeted accounts receivable of Silver Company as of June 30, assuming 25% of a month's sales are collected in the month of sale, another 65% are collected in the month following sale, and the remaining 10% are collected in the second month following sale is $454,500.

Accounts receivable refers to money owed to a company by its debtors or customers who purchased goods or services from the company but have yet to pay the full amount. Accounts receivable is a critical component of a company's balance sheet, and it is calculated as the product of the number of goods sold and their selling price per unit. Let's determine the accounts receivable of Silver Company.

Budgeted sales for the month of April = $370,000

25% of April's sales collected in April = $370,000 x 0.25 = $92,500

65% of April's sales collected in May = $370,000 x 0.65 = $240,500

10% of April's sales collected in June = $370,000 x 0.1 = $37,000

Budgeted sales for the month of May = $570,000

25% of May's sales collected in May = $570,000 x 0.25 = $142,500

65% of May's sales collected in June = $570,000 x 0.65 = $370,500

10% of May's sales collected in July = $570,000 x 0.1 = $57,000

Budgeted sales for the month of June = $180,000

25% of June's sales collected in June = $180,000 x 0.25 = $45,000

65% of June's sales collected in July = $180,000 x 0.65 = $117,000

10% of June's sales collected in August = $180,000 x 0.1 = $18,000

Total budgeted sales = $370,000 + $570,000 + $180,000 = $1,120,000

Total sales collected in June = $45,000 + $117,000 + $18,000 = $180,000

Total sales collected in July = $240,500 + $370,500 + $117,000 = $728,000

Total accounts receivable as of June 30 = $1,120,000 - ($92,500 + $142,500 + $45,000 + $240,500 + $370,500 + $117,000 + $37,000 + $57,000 + $18,000) = $454,500

Therefore, the budgeted accounts receivable of Silver Company as of June 30 is $454,500.

Note: The question is incomplete. The complete question probably is: Silver Company makes a product that is very popular as a Mother’s Day gift. Thus, peak sales occur in May of each year, as shown in the company’s sales budget for the second quarter given below: April May June Total Budgeted sales (all on account) $370,000 $570,000 $180,000 $1,120,000 From past experience, the company has learned that 25% of a month’s sales are collected in the month of sale, another 65% are collected in the month following sale, and the remaining 10% are collected in the second month following sale. Bad debts are negligible and can be ignored. February sales totaled $300,000, and March sales totaled $330,000. Assume that the company will prepare a budgeted balance sheet as of June 30. Compute the accounts receivable as of that date.

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Draw and describe any five Flow-Chart symbols. 6.2 Draw and describe the six Process-Chart symbols 6.3 Consider the following process: A batch of raw material is off-loaded at a receiving bay and is then transported to a sampling inspection area where it is subjected to a 10% random sample inspection. If the material is found to contain no defects, then it is sent to raw material warehousing but if it is found to have any non-conformances then the entire batch is subjected to 100% inspection at the supplier's cost.

Answers

The 5 Flowchart symbols are as follows:

Process: A rectangle shape that represents a process or activity.

Decision: A diamond shape that shows a decision point in a process, with "yes" and "no" or other binary choices.

Input/output: A parallelogram that shows data being entered into or extracted from a process.

Terminator: A rounded rectangle that represents the start or end of a process.

Connector: A small circle that shows a point where a process splits off into two or more paths.

Process chart symbols:

Operation: The circle shows a process being performed.

Transportation: An inverted triangle represents the movement of products between two locations.

Inspection: A square shape represents an inspection or quality check.

Delay: A "T" shape represents a pause in the process due to a delay in equipment, materials, or people.

Storage: A horizontal rectangle represents a storage area or location for materials or products.

Movement: An arrow represents the flow of materials or products from one process to another.

A batch of raw material is off-loaded at a receiving bay and then transported to a sampling inspection area where it is subjected to a 10% random sample inspection.

If the material has no defects, it is sent to raw material warehousing. However, if it contains any non-conformances, then the whole batch is subjected to 100% inspection at the supplier's expense.

The flowchart symbol used for "process" can be used to represent the receiving bay and the sampling inspection area. The inspection area could be a diamond-shaped decision symbol with "yes" and "no" outputs.

The symbol used for storage represents the raw material warehousing. The diamond symbol used for decision can represent the point where non-conforming materials are sent back for a 100% inspection at the supplier's cost.

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JTM's can its $150M in bonds - maturing in 7 years and paying a fixed 3.45% - for the same amount paying a floating rate of the Bloomberg Short Term Bank Yield Index + 1.40%. You are asked to show the cash flows for the fixed and floating scenarios and the net difference each year plus the net overall difference undiscounted and discounted using a 4% discount rate. Show all fixed and floating payments as negative cash flows. Net benefits use the formula: floating payments minus fixed payments. State whether the swap is better or worse in the space provided. Net Bond outstanding Maturity (yrs.) Fixed rate Spread over BSTBY BSTBY: Years 1-2 Years 3-4 Years 5-7 c. Interest Rate Swap Cash Flows 150 Fixed Floating 7 Year 1 3.5% Year 2 1.40% Year 3 Year 4 1.5% Year 5 2.1% Year 6 2.5% Year 7 Undiscounted Net Discounted Net

Answers

The given bond is issued by JTM Company. The face value of the bond is $150 million. It matures in 7 years and pays a fixed rate of 3.45%. It is to be swapped for the same amount of bond paying a floating rate of Bloomberg Short Term Bank Yield Index (BSTBY) + 1.40%.

The task is to show the cash flows for fixed and floating scenarios and the net difference each year plus the net overall difference undiscounted and discounted using a 4% discount rate. The cash flows for fixed and floating scenarios are given below:

Fixed Payments: Year 1:

-($150 million × 3.45%) = -$5.18 million Year 2: -($150 million × 3.45%)

= -$5.18 million Year 3: -($150 million × 3.45%)

= -$5.18 million Year 4: -($150 million × 3.45%)

= -$5.18 million Year 5: -($150 million × 3.45%)

= -$5.18 million Year 6: -($150 million × 3.45%)

= -$5.18 million Year

7: -($150 million × 103.45%) = -$155.18 million Floating Payments:

Year 1: -($150 million × (BSTBY + 1.40%)) = -($150 million × (1.5% + 1.40%))

= -$4.05 million Year 2: -($150 million × (BSTBY + 1.40%))

= -($150 million × (2.1% + 1.40%))

= -$5.25 million Year 3: -($150 million × (BSTBY + 1.50%))

= -($150 million × (2.5% + 1.50%))

Net difference in year 1

= Floating payments – Fixed payments

= -$4.05 million – (-$5.18 million)

= $1.13 million Net difference in year 2

= Floating payments – Fixed payments

= -$5.25 million – (-$5.18 million)

= -$0.07 million Net difference in year 3

= Floating payments – Fixed payments

= -$5.25 million – (-$5.18 million)

= -$0.07 million Net difference in year 4

= Floating payments – Fixed payments

= -$5.25 million – (-$5.18 million) = -$0.07 million Net difference in year 5 = Floating payments – Fixed payments

= -$6.15 million – (-$5.18 million)

= Sum of net differences for each year

= $1.13 million – $0.07 million – $0.07 million – $0.07 million – $0.97 million – $1.12 million + $148.43 million

= $146.26 million As the net benefit of the swap is positive, it is better to swap the bond. Therefore, the swap is better.

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How many years will it take for ​$500 to grow to ​$1,078.52 if​ it's invested at 8 percent compounded​ annually?
The number of years it will take for ​$500 to grow to ​$1,078.52 at 8 percent compounded annually is:
(____________________________enter your response here) years. ​ (Round to one decimal​ place.)

Answers

It will take approximately 8.0 years for $500 to grow to $1,078.52 at an annual interest rate of 8 percent compounded annually.

To calculate the number of years it will take for an investment to grow from $500 to $1,078.52 at an annual interest rate of 8 percent compounded annually, we can use the formula for compound interest:

A = P(1 + r/n)^(n*t)

Where:

A = Final amount (1,078.52 in this case)

P = Principal amount (500)

r = Annual interest rate (8% or 0.08)

n = Number of times the interest is compounded per year (assuming once annually, n = 1)

t = Number of years

We need to solve for t in this equation. Rearranging the formula, we get:

(1,078.52) = 500(1 + 0.08/1)^(1*t)

Dividing both sides by 500:

2.15704 = (1.08)^t

Taking the logarithm of both sides (base 10 or natural logarithm doesn't matter):

log(2.15704) = log((1.08)^t)

Using logarithm properties, we can bring down the exponent:

log(2.15704) = t * log(1.08)

Now, solving for t:

t = log(2.15704) / log(1.08)

Calculating this value, we get:

t ≈ 8.0 years

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What was the practical problem with Black and Scholes’
equations?

Answers

The practical problem with Black and Scholes' equations is that the model relies on several unrealistic assumptions that do not hold true in real-world situations.

What is the Black and Scholes Model? The Black-Scholes model is a mathematical framework for calculating the value of a stock option. The model was developed by Fischer Black, Myron Scholes, and Robert Merton in 1973. The Black-Scholes model is a widely used tool in finance for pricing options and other derivatives, as well as for managing risk.

What is the practical problem with Black and Scholes equations? The practical problem with Black and Scholes' equations is that the model relies on several unrealistic assumptions that do not hold true in real-world situations. The model assumes that the underlying stock price follows a random walk, which means that it moves randomly and unpredictably over time. This assumption does not reflect the fact that stock prices are affected by a wide range of factors, including company performance, economic conditions, and geopolitical events.

The model also assumes that there are no transaction costs or taxes associated with trading the underlying stock or the option itself. This is not the case in real-world situations, where there are often costs and taxes associated with buying and selling securities. The Black-Scholes model also assumes that the market is always liquid, which means that there are always buyers and sellers willing to trade at any given time. This is not always the case in real-world situations, where markets can become illiquid and it can be difficult to find a buyer or seller at a reasonable price. In conclusion, while the Black-Scholes model is a useful tool for pricing options and managing risk, it is important to recognize its limitations and take them into account when applying the model in real-world situations.

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An investment adviser is under the fiduciary responsibility to disclose all material facts in any:

Answers

An investment adviser is under the fiduciary responsibility to disclose all material facts in any agreement between them and their clients.

What is an investment adviser?

An investment adviser is an individual or a firm that provides investment advice or makes investment recommendations to their clients. They also manage investment portfolios for their clients.A fiduciary is an individual or organization that acts in the best interests of another person or organization. An investment adviser is considered a fiduciary because they are expected to act in the best interests of their clients.Disclosure of all material facts in any agreement is important for an investment adviser so that their clients can make informed decisions about their investments. By doing so, the adviser is fulfilling their fiduciary responsibility to act in the best interests of their clients.

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All other factors remaining equal, a firm's price/earnings ratio would decrease if there is,
a. an equal decrease in price per share and earnings per share
b. a decrease in investor risk aversion 
c. an increase in growth opportunities
d. a decrease in net profit margin

Answers

All other factors remaining equal, a firm's price/earnings ratio would decrease if there is:d. a decrease in net profit margin.

What is  price/earnings ratio?

The price/earnings  ratio is derived by dividing the stock price per share by the earnings per share of the firm. It is a valuation indicator that illustrates how much money investors are prepared to part with for every dollar of earnings from a firm.

A company's profitability is diminishing when the net profit margin of the business declines. This may happen for a number of reasons, including rising expenses, declining income, or operational inefficiencies.

Therefore the correct option is c.

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Assume the consumer is currently operating at point G. Given the budget constraint shown, the consumer would be able to realize more total utility by choosing point ________ , all other things held equal.

Group of answer choices

K

I

H

J

Answers

Point I.To determine the point that allows the consumer to realize more total utility, we need to identify the point on the budget constraint where the consumer can maximize their utility.

Point I represents a combination of goods that lies on the highest possible indifference curve given the budget constraint.

At point G, the consumer is not maximizing their utility because there are points on the budget constraint where a higher level of utility can be attained. Moving from point G to point I allows the consumer to increase their utility without violating the budget constraint.

At point I, the consumer can afford a combination of goods that provides a higher level of utility compared to point G, given the same budget constraint. Therefore, the consumer would be able to realize more total utility by choosing point I.

By choosing point I, the consumer can maximize their utility given the budget constraint. This decision allows them to attain a higher level of satisfaction and make the most out of their available resources.

In conclusion, the consumer operating at point G can realize more total utility by choosing point I, all other things held equal. Point I represents the optimal combination of goods that maximizes the consumer's utility within the given budget constraint.

By choosing point I, the consumer can achieve a higher level of utility compared to point G. This is because point I lies on a higher indifference curve, indicating a higher level of satisfaction for the consumer. It represents the most preferred combination of goods that can be attained within the budget constraint.

The decision to choose point I allows the consumer to allocate their limited resources in a way that maximizes their overall satisfaction. It signifies an efficient use of the available budget, ensuring that the consumer obtains the highest possible utility given their constraints.

Therefore, by selecting point I, the consumer can optimize their utility and make the most favorable consumption choice within the given budget constraint.

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Recently, Air Liquide signed a long-term contract with Yan’an Energy and Chemical Co., a subsidiary of Yanchang Petroleum Group—one of China’s largest firms engaged in oil and natural gas exploration and production as well as oil refining. The new contract specifies that Air Liquide invest approximately 80 million euros in two air separation units (ASUs), which will supply air gases for Yan’an’s production of plastics. Air Liquide is a French multinational firm that supplies industrial gases to a wide range of industries, including chemical manufacturers. Why is a long-term contract preferable to a spot exchange or vertical integration between Yan’an and Air Liquide?

Answers

**A long-term contract is preferable over a spot exchange or vertical integration between Yan'an and Air Liquide for several reasons:**

1. **Supply stability and reliability:** With a long-term contract, Yan'an can ensure a stable and reliable supply of air gases from Air Liquide for their plastics production. This eliminates the risk of sudden disruptions or price fluctuations associated with spot exchanges. It provides Yan'an with the confidence of a consistent supply over an extended period.

2. **Risk mitigation:** Long-term contracts allow both parties to mitigate risks associated with market volatility. By locking in a fixed price and terms for an extended duration, both Yan'an and Air Liquide can hedge against potential market fluctuations, including changes in gas prices or supply disruptions. This provides stability and predictability for their respective operations and financial planning.

3. **Expertise and specialization:** Air Liquide specializes in the production and supply of industrial gases, while Yan'an focuses on oil refining and plastics production. By entering into a long-term contract, Yan'an can leverage Air Liquide's expertise and experience in the production and delivery of air gases, ensuring high-quality supply tailored to their specific requirements. It allows each party to focus on their core competencies while benefiting from a mutually beneficial partnership.

4. **Capital efficiency:** Opting for a long-term contract and relying on Air Liquide's existing infrastructure and expertise eliminates the need for Yan'an to invest significant capital in establishing their own air separation units. This allows Yan'an to allocate their resources to other critical areas of their business, such as expanding their refining capabilities or investing in research and development.

In summary, a long-term contract between Yan'an and Air Liquide provides supply stability, risk mitigation, specialized expertise, and capital efficiency. It ensures a reliable and consistent supply of air gases for Yan'an's plastics production while allowing both companies to focus on their core competencies and optimize their operations.

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Assume the required return on the following companies' shares are as follows: Company A B C D Required return eaach of them are 18% 22% 15.5% 19.2% If the expected return on the market portfolio is 13% and the risk- free rate of return is 2%, answer the following: a) Which company has higher sensitivity of return on its share in response to 1% change in return on the market portfolio? I b) Which share possesses a higher diversifiable risk? c) Which share possesses a higher non-diversifiable risk? d) Which share pays a higher risk premium?

Answers

a) To determine which company has a higher sensitivity of return on its share in response to a 1% change in return on the market portfolio, we need to calculate the beta for each company. Beta measures the systematic risk or sensitivity of a stock's return to the overall market.

Beta = (Return of Company i - Risk-free rate) / (Return of Market - Risk-free rate)

Company A: Beta = (18% - 2%) / (13% - 2%) = 1.5

Company B: Beta = (22% - 2%) / (13% - 2%) = 2.2

Company C: Beta = (15.5% - 2%) / (13% - 2%) = 1.55

Company D: Beta = (19.2% - 2%) / (13% - 2%) = 1.8

Among the given companies, Company B has a higher sensitivity of return on its share in response to a 1% change in return on the market portfolio, as it has the highest beta value of 2.2.

b) Diversifiable risk, also known as unsystematic risk, can be eliminated through diversification. It is the risk specific to individual companies or assets. To determine which share possesses higher diversifiable risk, we need information on the correlation between the company's stock returns and the market returns, which is not provided in the question. Without the correlation information, we cannot compare the diversifiable risk between the shares.

c) Non-diversifiable risk, also known as systematic risk, is the risk that cannot be eliminated through diversification as it is inherent in the overall market. It is measured by beta. Based on the beta values calculated in part a), Company B has a higher non-diversifiable risk as it has the highest beta of 2.2.

d) Risk premium is the excess return required by investors for holding a risky asset compared to a risk-free asset. It is calculated as the difference between the expected return and the risk-free rate.

Risk premium = Expected return - Risk-free rate

Company A: Risk premium = 18% - 2% = 16%

Company B: Risk premium = 22% - 2% = 20%

Company C: Risk premium = 15.5% - 2% = 13.5%

Company D: Risk premium = 19.2% - 2% = 17.2%

Among the given companies, Company B pays a higher risk premium with a value of 20%.

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Riku spent the summer interning at a glass factory, and was working with last year's financial statements. He found that the cash flow to stockholders was $14,643 last year. The company also had $39,214 in net capital spending and operating cash flow of $56,200. Given that the company began last year with $6,198 in net working capital and ended the year with $8,493, what was the firm's cash flow to creditors?

Answers

The firm's cash flow to creditors is -$14,691.

To calculate the cash flow to creditors, we need to consider the changes in net working capital (NWC), net capital spending, and operating cash flow.

Net Working Capital (NWC) = Ending Net Working Capital - Beginning Net Working Capital

NWC = $8,493 - $6,198

NWC = $2,295

Cash Flow to Creditors = Net Capital Spending + Change in Net Working Capital - Operating Cash Flow

Cash Flow to Creditors = $39,214 + $2,295 - $56,200

Cash Flow to Creditors = -$14,691

Therefore, the firm's cash flow to creditors is -$14,691. This negative value indicates that the company had a net outflow of cash to its creditors during the year, meaning it paid more to creditors (e.g., interest, loan repayments) than it received from them.

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Davis Corporation made a gain of $500,000 on the sale of equipment which is reported on the current year’s income statement, but is deferred for tax purposes for 3 years. Davis’ tax rate is 40 percent. Which of the following journal entries is recorded by Davis in the current year?

Group of answer choices:

Income Tax Expense—Deferred 200,000
Deferred Income Tax Liability 200,000

Income Tax Expense—Deferred 500,000
Income Tax Payable 500,000

Income Tax Expense—Deferred 500,000
Deferred Income Tax Liability 500,000

Deferred Income Tax Liability 200,000
Income Tax Expense—Deferred 200,000

Income Tax Expense—Deferred 200,000
Cash 200,000

Answers

Income Tax Expense—Deferred 200,000Deferred Income Tax Liability 200,000The deferred tax liability is the $500,000 gain multiplied by the tax rate of 40 percent, or $200,000.

When a company reports on the income statement a gain or loss from a transaction that has no tax effect, they must recognize any deferred tax liabilities or assets. The deferred tax liabilities or assets reflect the difference between the tax basis of assets and liabilities and their carrying value for financial reporting purposes. These are required to be recognized in the financial statements for temporary differences. These temporary differences may be deferred tax liabilities or deferred tax assets. Davis Corporation made a gain of $500,000 on the sale of equipment which is reported on the current year's income statement, but is deferred for tax purposes for 3 years. Davis' tax rate is 40 percent. The following journal entry will be recorded by Davis in the current year. Income Tax Expense—Deferred 200,000Deferred Income Tax Liability 200,000The deferred tax liability is the $500,000 gain multiplied by the tax rate of 40 percent, or $200,000. The entry is a deferred tax entry because the tax will be paid in a future year.

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according to the systematic risk principle, the reward for bearing risk is based on which one of the following types of risk?a.expectedb.diversifiablec.unsystematicd.firm specifice.systematic

Answers

According to the systematic risk principle, the reward for bearing risk is based on systematic risk. So, option e is correct.

Systematic risk, also known as non-diversifiable or market risk, refers to the risk that cannot be eliminated through diversification because it affects the entire market or a particular segment of it. It is associated with factors such as macroeconomic conditions, geopolitical events, interest rates, and overall market trends.

The systematic risk principle states that investors should be rewarded for taking on systematic risk as it cannot be diversified away. In other words, investors should expect a higher return for bearing the risk that is inherent in the overall market or a specific market segment.

On the other hand, diversifiable risk, also known as unsystematic or specific risk, is the risk that can be eliminated or reduced through diversification.

It is associated with factors that are specific to individual assets, such as company-specific events, management decisions, or industry-specific risks. Diversifiable risk can be mitigated by creating a well-diversified portfolio that includes a mix of assets from different sectors or industries.

However, the systematic risk principle emphasizes that the reward for bearing risk is primarily based on the systematic risk component. Investors should be compensated for the risk they take on that cannot be diversified away.

Therefore, the correct answer is (e) systematic.

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1. What mistakes did Deans Foods make? Explain.
2. Ideas and areas for Dean Foods to diversify and expand its
food and beverage line of products?

Answers

1. Dean Foods' mistakes included lack of diversification, overreliance on traditional dairy, failure to adapt to consumer preferences for plant-based alternatives. 2. To diversify, Dean Foods can explore plant-based alternatives, introduce functional beverages and health-conscious options.

Dean Foods made critical mistakes that contributed to its downfall. Firstly, the company focused heavily on traditional dairy products and failed to diversify its offerings. This made them vulnerable to shifts in consumer preferences, particularly the rising demand for plant-based alternatives. Additionally, Dean Foods struggled with financial mismanagement, accumulating significant debt that became unsustainable.

These factors, combined with declining sales and loss of market share, led to the company filing for bankruptcy in 2019. To avoid such mistakes, companies should continuously assess market trends, diversify their product lines, and adapt to changing consumer preferences to remain competitive in the industry.

To diversify and expand its product line, Dean Foods could capitalize on the growing demand for plant-based alternatives by offering a range of non-dairy milk options, plant-based yogurts, and other dairy substitutes. This would enable them to tap into a rapidly expanding market and cater to consumers seeking healthier and sustainable options.

Additionally, they could venture into the functional beverage space, introducing products with added health benefits or targeting specific consumer segments, such as sports drinks or energy beverages. Furthermore, exploring organic and health-conscious product offerings would align with the increasing consumer focus on wellness. To expedite their diversification efforts, Dean Foods could consider partnerships or acquisitions with established brands in these segments, leveraging their expertise and existing customer base to accelerate market entry and expansion.

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suppose the government imposes an excise tax on a good. which of the following statements is true about the tax incidence on buyers and sellers of the good?

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When the government imposes an excise tax on a good, the tax incidence on buyers and sellers of the good will be determined by the relative elasticity of supply and demand. Therefore, the statement that is true about the tax incidence on buyers and sellers of the good is that the burden of the tax will be borne primarily by the group that is less elastic in their response to price changes.

In other words, the party that has a more inelastic demand or supply curve will pay a larger share of the tax. This is because the more inelastic party is less able to adjust their behavior in response to price changes caused by the tax. They are therefore more likely to absorb the extra cost associated with the tax. For example, if the supply of a good is highly elastic (i.e., producers are highly responsive to price changes), and the demand for the good is relatively inelastic (i.e., consumers are less responsive to price changes), then the burden of the tax will fall mostly on the consumers. They will pay a higher price for the good, even though the supply of the good has not decreased significantly.

On the other hand, if the demand for a good is highly elastic (i.e., consumers are highly responsive to price changes), and the supply of the good is relatively inelastic (i.e., producers are less responsive to price changes), then the burden of the tax will fall mostly on the producers. They will receive a lower price for the good, even though the demand for the good has not decreased significantly. Therefore, the tax incidence on buyers and sellers of the good will depend on the elasticity of supply and demand, and the more inelastic party will pay a larger share of the tax.

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Crane Curtin borrowed $32,200 on July 1, 2022. This amount plus accrued interest at 10% compounded annually is to be repaid on July 1, 2027. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) How much will Crane have to repay on July 1, 2027? (Round answer to 2 decimal places, e.g. 25.25.) Amount to be repaid on July 1, 2027:

Answers

Crane Curtin will have to repay approximately $51,849.90 on July 1, 2027, including the borrowed amount and accrued interest.

To calculate the amount Crane Curtin will have to repay on July 1, 2027, we need to consider the borrowed amount and the accrued interest. The borrowed amount is $32,200.

To determine the accrued interest, we can use the compound interest formula:

[tex]A = P(1 + r/n)^{(nt)[/tex]

where A is the final amount, P is the principal (borrowed amount), r is the interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

In this case, the interest rate is 10% (0.10) and it is compounded annually (n = 1). The time period is 5 years (from July 1, 2022, to July 1, 2027).

Plugging in the values into the formula, we get:

[tex]A = 32,200(1 + 0.10/1)^{(1*5)}[/tex]

[tex]= 32,200(1.10)^5[/tex]

Using the factor table provided, we find that [tex](1.10)^5[/tex] is approximately 1.61051. Multiplying this by the principal amount, we have:

A = 32,200 * 1.61051

= $51,849.90.

Therefore, Crane Curtin will have to repay approximately $51,849.90 on July 1, 2027.

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Given a relatively steep and a relatively flat short-run aggregate supply curve, which curve would support the case for nonactivist policy? Why?

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The relatively steep short-run aggregate supply (SRAS) curve would support the case for nonactivist policy.

A relatively steep SRAS curve indicates that the economy's output level is sensitive to changes in aggregate demand. In this case, even small changes in aggregate demand can lead to significant shifts in output and prices. Nonactivist policy refers to a hands-off approach by the government or central bank, where they do not intervene actively to stabilize the economy.

With a steep SRAS curve, the economy is more self-adjusting, meaning that it can naturally and quickly respond to changes in demand. Price and wage flexibility is higher, allowing the economy to reach equilibrium without the need for active policy interventions.

Nonactivist policy would be favored in this scenario as the economy can adjust on its own, reducing the need for government intervention.

On the other hand, a relatively flat SRAS curve suggests that the economy is less responsive to changes in aggregate demand. Output levels are less sensitive to fluctuations in demand, and the economy may experience more prolonged periods of unemployment or inflation. In such a case, activist policies may be necessary to stimulate or stabilize the economy.

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The normal selling price is $20.00 per unit. The company’s
capacity is 118,800 units per year. An order has been received from
a mail-order house for 2,300 units at a special price of $17.00 per
uni
Delta Company produces a single product. The cost of producing and selling a single unit of this product at the company's normal activity level of 91,200 units per year is: Direct materials. $ 1.90 $

Answers

The $28,290 financial gain from accepting the special order.

Given

Special selling price = $17

Special unit = 2300

Direct materials = $1.9

Direct labor = $2

Variable manufacturing overhead = $0.8

Required to calculate the financial advantage (disadvantage) of accepting the special order =?

calculate the revenue from the special order:

Special order revenue = Number of units in the special order * Special price per unit

Special order revenue = 2,300 units * $17.00 per unit = $39100

Cost of producing units for special order = (Direct materials + Direct labor + Variable manufacturing overhead) * Number of units in the special order

Cost of producing units for special order = ($1.90 + $2.00 + $0.80) * 2,300 units

= $4.7 x 2300 = $10,810

Now we can calculate the financial advantage or disadvantages:

Financial advantage (disadvantage) = Special order revenue - Cost of producing units for special order

Financial advantage = $28,290                                          

the company should accept the special order because this gives a  financial gain of $28,290 by accepting the special order.

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Your Question seems incomplete most probably your complete question was:

Delta Company produces a single product. The cost of producing and selling a single unit of this product at the company's normal activity level of 91,200 units per year is Direct materials. $ 1.90 $ 2.00 Direct labor Variable manufacturing overhead $ 0.80 Fixed manufacturing overhead $ 4.05 Variable selling and administrative expense $ 1.20 Fixed selling and administrative expense $ 1.00 The normal selling price is $20.00 per unit. The company's capacity is 118,800 units per year. An order has been received from a mail-order house for 2,300 units at a special price of $17.00 per unit. This order would not affect regular sales or the company's total fixed costs. Required: 1. What is the financial advantage (disadvantage) of accepting the special order?

1. A fast-growing firm recently paid a dividend of $0.85 per share. The dividend is expected to increase at a 15 percent rate for the next three years. Afterwards, a more stable 10 percent growth rate can be assumed.

If an 11 percent discount rate is appropriate for this stock, what is its value today? (Do not round intermediate calculations and round your final answer to 2 decimal places.)

Stock value?

Answers

The value of the stock is $22.94 today. The value of a stock can be calculated using the formula below: P = D1 / (1 + r)1 + D2 / (1 + r)2 + ... + Dn / (1 + r)n + Pn / (1 + r)n.

Where:

P = price of the stock

D = dividen

dr = discount rate

Pn = price of the stock at year n The formula above can be used to calculate the value of the stock given that we have a known dividend, a known discount rate, and growth rates over a given period of time. For the purpose of this question, the steps are below. Step 1: Find the dividend in year 1D1 = $0.85 Step 2: Find the dividend growth rate for the first three years g1 = 15%Step 3: Find the dividend in year

2D2 = D1 (1 + g1)

= $0.85 (1 + 0.15)

= $0.9775

Find the dividend in year

3D3 = D2 (1 + g1)

= $0.9775 (1 + 0.15)

= $1.12213  Find the dividend growth rate beyond year

3g2 = 10%  Find the present value of the dividends

PV of dividends = D1 / (1 + r)1 + D2 / (1 + r)2 + D3 / (1 + r)3 + D4 / (1 + r)4

PV of dividends = $0.85 / (1 + 0.11)1 + $0.9775 / (1 + 0.11)2 + $1.12213 / (1 + 0.11)3 + [$1.12213 (1 + 0.10)] / [(0.11 - 0.10) (1 + 0.11)3]

PV of dividends = $2.65 Step 7: Find the present value of the price of the stock in year 3PV of Pn = Pn / (1 + r)n PV of

P3 = 1 / (1 + 0.11)3 x [($1.12213 (1 + 0.10)) / (0.11 - 0.10)] PV of P3 = $23.16 Find the total value of the stock P = PV of dividends + PV of Pn

P = $2.65 + $23.16P = $25.81 Therefore, the value of the stock is $25.81 today.

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Identify commodity risk, currency risk and credit risk Section II (30%) (c) But only hedge 2 risks which are commodity risk and credit risk To make recommendations on which derivative instruments (for example, options, futures, etc.) to use to implement any hedges that you have recommended in part (b) above. Once again, you MUST explain your recommendations (i.e. justify the choice of the derivative instrument).

Answers

Commodity risk: It is the risk of losses due to changes in the value of commodities such as crude oil, grains, or metals. Commodity risk is the danger of a change in the price of a raw material or item that affects the operations or the money flows of a business.

Currency risk: It is the possibility of financial losses that can occur when there is a fluctuation in exchange rates between two countries. It is the risk that the currency will fluctuate and result in losses for the investor. It is faced by people involved in international business.

Credit risk: It is the possibility of financial losses that may result from the default of a borrower on a debt. Credit risk refers to the possibility that a borrower will default on a debt obligation. Credit risk can be managed by reducing the exposure to an individual counterparty, counterparty type, or region of the world.

What are derivative instruments?

Derivative instruments are securities that derive their value from an underlying asset. Derivatives can be used to hedge risks in other assets such as commodities, equities, or currencies. Some of the derivative instruments that can be used to hedge commodity and credit risks are:

Forward Contracts: Forward contracts are agreements to buy or sell a specific asset at a specific price on a specific date in the future. These are negotiated directly between the buyer and the seller and are not traded on an exchange.

Options: An option is a contract that gives the buyer the right, but not the obligation, to buy or sell an underlying asset at a specific price on or before a specific date in the future. Options can be used to hedge commodity and credit risk.

Futures: Futures are standardized contracts that obligate the buyer to purchase an underlying asset at a specific price on a specific date in the future. Futures can be used to hedge commodity and credit risk.

The use of derivative instruments depends on the risk exposure of the business and the liquidity of the derivatives. Hedging commodity risk and credit risk can be achieved using futures and options. Hedging using derivatives helps to reduce the risk exposure of the business and helps to manage the risk effectively.

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July 2020. You run a Michelin starred restaurant in Cumbria. During the lockdown period of the Covid-19 pandemic the restaurant spent several months without being able to serve drinks or food to patrons and your firm is experiencing extreme short term financial needs. You need to urgently obtain £790,000 within the next 2 weeks to cover rent, utilities and salary of employees that have been retained during the following 5 months you expect to be affected by the lockdown. After making some phone calls, you've been able to get the following offers as sources of funding: - Government loan of £23,000 at 0% interest rate, to be returned in 12 months. - Cumbriabank is offering £750,000 for five months at a stated annual rate of 1.75%, using inventory (beer and vintage wine) stored in a field warehouse as collateral. - The warehouse charges a £10,000 fee, payable at the end of the five months. • LancaBank can facilitate borrowing up to £500,000 for five months at an APR of 3.5% and a loan origination fee of 0.01%. - LondonBank offers £790,000 for five months at an APR of 2.95%. The bank will require to maintain a (no-interest) compensating balance of 10% of the face-value of the loan and will charge a 0.1% loan origination fee. REQUIRED: What would be the best financial strategy that would tide you over the following 5 months? Explain your proposal and show all your calculations.

Answers

The best financial strategy to tide over the following five months is to avail Cumbria Bank's loan of £750,000 for five months at a stated annual rate of 1.75%, using inventory (beer and vintage wine) stored in a field warehouse as collateral. The interest which is calculated to be payable after 5 months = £20,366.67.

You have been able to get the following offers as sources of funding:-

Government loan of £23,000 at 0% interest rate, to be returned in 12 months. Cumbria bank is offering £750,000 for five months at a stated annual rate of 1.75%, using inventory (beer and vintage wine) stored in a field warehouse as collateral. The warehouse charges a £10,000 fee, payable at the end of the five months. Lanca Bank can facilitate borrowing up to £500,000 for five months at an APR of 3.5% and a loan origination fee of 0.01%. London Bank offers £790,000 for five months at an APR of 2.95%. The bank will require maintaining a (no-interest) compensating balance of 10% of the face-value of the loan and will charge a 0.1% loan origination fee.Now, let's calculate the total amount payable and interest to be paid in each funding source. Calculation of Government Loan. The total payable amount after 12 months = £23,000 x 1 = £23,000.The interest payable after 12 months = £0 x 1 = £0.

Calculation of Cumbria Bank:-

The total payable amount after 5 months = £750,000 + (£750,000 x 1.75% x 5/12) + £10,000 = £767,656.25.The interest payable after 5 months = £17,656.25.

Calculation of Lanca Bank:-

The total payable amount after 5 months = £500,000 + (£500,000 x 3.5% x 5/12) + (£500,000 x 0.01) = £509,166.67.The interest payable after 5 months = £9,166.67.Calculation of London BankThe total payable amount after 5 months = £790,000 + (£790,000 x 2.95% x 5/12) + (£790,000 x 0.1) + (£790,000 x 0.1) = £810,366.67. The interest payable after 5 months = £20,366.67.

Among the four financing options, the option with the lowest interest payable over five months is the Government loan. However, the amount offered by the Government loan is insufficient to meet the needs of your restaurant.In this scenario, it would be best to take a Cumbria Bank loan, which has the second-lowest interest payable and the highest amount offered. Even after accounting for the £10,000 fee payable, the Cumbria Bank loan is the most financially viable option for your business. The restaurant's management can strategize to cover the warehouse charges and plan the inventory (beer and vintage wine) usage carefully.

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Commercial cookery/ kitchen:
Provide one (1) example of when you would use the following forms of recognition and reward when leading a team.
a. Acknowledging good performance of an individual
b. Acknowledging good performance of the whole team
c. Incentive initiatives
d. Informal acknowledgement
e. Presenting awards
f. Documenting in a formal report to management

Answers

Various forms of recognition and reward can be utilized when leading a team in a commercial cookery/kitchen setting. Examples include acknowledging good performance of an individual or the whole team, implementing incentive initiatives, providing informal acknowledgement, presenting awards, and documenting in a formal report to management.

a. Acknowledging good performance of an individual: One example of when this form of recognition and reward can be used is when a chef consistently demonstrates exceptional culinary skills and produces high-quality dishes. Acknowledging their individual performance by praising their creativity, attention to detail, and ability to consistently meet or exceed standards can boost their motivation and job satisfaction.

b. Acknowledging good performance of the whole team: When the entire kitchen team successfully executes a complex catering event or achieves outstanding customer satisfaction scores, acknowledging their collective effort and teamwork is crucial. Recognizing the team's accomplishment through a verbal acknowledgment during a staff meeting or sending a congratulatory email can reinforce their sense of unity and encourage them to continue working collaboratively.

c. Incentive initiatives: In a kitchen setting, incentive initiatives can be used to motivate the team to achieve specific goals. For instance, implementing a monthly "Chef of the Month" program where the chef who receives the most positive customer feedback or achieves the highest sales is rewarded with a gift card or a special recognition can foster healthy competition and drive performance improvement.

d. Informal acknowledgement: Informal acknowledgement can be utilized on a daily basis to recognize individuals or the team for their efforts and accomplishments. This can be as simple as offering verbal praise, a high-five, or a thank-you note for going above and beyond their regular duties. These small gestures of appreciation can have a significant impact on employee morale and motivation.

e. Presenting awards: Presenting awards, such as "Most Creative Dish" or "Team Player of the Month," can be used during special occasions or annual events to recognize outstanding achievements. This formal recognition not only rewards exceptional performance but also serves as a source of inspiration for others to strive for excellence.

f. Documenting in a formal report to management: When leading a team, documenting their achievements and contributions in a formal report to management can be beneficial. For example, if the team successfully implements a cost-saving initiative or achieves significant improvements in food quality, documenting these accomplishments and presenting them to management showcases the team's value and may lead to additional recognition, promotions, or opportunities for the team members. By effectively utilizing these forms of recognition and reward, leaders in a commercial cookery/kitchen environment can create a positive and motivating work culture, fostering individual and team growth and success.

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Describe a performance review template for training in
a luxury hotel.

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A performance review template for training in a luxury hotel may include sections such as employee information, training objectives, performance assessment, skills development, feedback, and future goals.

1. Employee Information: This section includes the employee's name, position, department, and the period covered by the review.

2. Training Objectives: This section outlines the specific training objectives and goals set for the employee during the review period. It may include areas such as customer service, communication skills, product knowledge, and leadership development.

3. Performance Assessment: Here, the employee's performance is evaluated based on predetermined criteria. This can include areas like adherence to hotel standards, customer satisfaction, teamwork, and problem-solving skills. The assessment may use a rating scale or provide space for written comments.

4. Skills Development: This section focuses on the employee's training and development activities during the review period. It can include details of training programs attended, certifications obtained, and additional skills acquired.

5. Feedback: Both positive feedback and areas for improvement are provided in this section. It highlights the employee's strengths and acknowledges their contributions, while also identifying areas where further development or improvement is needed.

6. Future Goals: This section encourages the employee to set future goals and objectives for their training and career growth. It can include action plans, training needs, and aspirations for personal and professional development.

The performance review template serves as a structured framework to assess the employee's performance, provide constructive feedback, and plan for their ongoing training and development in a luxury hotel setting. It ensures consistency in evaluating employees and promotes continuous improvement within the organization.

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Bullying can also take place when a boss yells dictates constantly at workers because that is what he is supposed to do as his job.

a. True
b. False

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The given statement "Bullying can also take place when a boss yells dictates constantly at workers because that is what he is supposed to do as his job." is true.

It is correct to say that bullying can happen in the workplace when bosses keep yelling and dictating instructions to employees relentlessly.What is workplace bullying?Bullying in the workplace is behavior that harms, hurts, or humiliates someone physically, emotionally, or socially. The victim suffers both mental and physical pain as a result of bullying. Such actions can have a serious impact on an individual's mental health and can lead to anxiety and depression. In fact, studies suggest that the mental health of victims of workplace bullying can deteriorate to the point that they develop severe mental health problems such as post-traumatic stress disorder, depression, and anxiety.

The majority of workplace bullying is perpetrated by a person in authority over their target. This individual may be a boss, supervisor, or another authority figure. Such actions frequently have a negative impact on an individual's career growth, as well as their job satisfaction. It is the responsibility of the employers to ensure the safety of their employees. They should provide them with a workplace free of violence, intimidation, and harassment, so they can work with peace and reach their full potential.

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A salesperson at Carpet Warehouse searches public records of new building permits to identify potential to identify prospects. customers for new carpets. This salesperson is relying on O customer-initiated contacts O marketer-initiated contacts O impersonal referrals
O personal referrals

Answers

The salesperson at Carpet Warehouse who searches public records of new building permits to identify potential customers for new carpets is relying on impersonal referrals.

What is the salesperson  role?

Impersonal referrals concern instances place a salesperson labels potential clients or leads through candidly available news or after second-body beginnings, rather than through direct pieces of advice or individual relations.

In this case, the salesperson is utilizing public records of new construction permits as a beginning of information to label prospects the one can require new carpets for their currently built houses. This pattern does not involve direct pieces of advice or private networks from existing clients or contacts.

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If the above entries are not recorded on November 30, 2020, what is the effect on the income statement and the balance sheet? (Enter all value as positive values. Round intermediate and the final answers to 2 decimal places. Select "No effect" in case of no effect on Income statement and Balance sheet.) Effect Amount Description The income statement would be On the balance sheet, liabilities would be On the balance sheet equity would be On the balance sheet assets would be Analysis Component: If the above entries are not recorded on November 30, 2020, what is the effect on the income statement and the balance sheet? (Enter all value as positive values. Round intermediate and the final answers to 2 decimal places. Select "No effect" in case of no effect on Income statement and Balance sheet.) Description The income statement would be Effect Amount On the balance sheet, liabilities would be On the balance sheet, equity would be On the balance sheet, assets would be Analysis Component: If the above entries are not recorded on November 30, 2020, what is the effect on the income statement and the balance sheet? (Enter all value as positive values. Round intermediate and the final answers to 2 decimal places. Select "No effect" in case of no effect on Income statement and Balance sheet.) Description The income statement would be Effect Amount On the balance sheet, liabilities would be On the balance sheet, equity would be On the balance sheet, assets would be Analysis Component: If the above entries are not recorded on November 30, 2020, what is the effect on the income statement and the balance sheet? (Enter all value as positive values. Round intermediate and the final answers to 2 decimal places. Select "No effect" in case of no effect on Income statement and Balance sheet.) Description The income statement would be Effect Amount On the balance sheet, liabilities would be On the balance sheet, equity would be On the balance sheet, assets would be

Answers

The effect on the income statement and the balance sheet if the entries are not recorded on November 30, 2020, is as follows:

Description

The income statement would be affected. Effect Amount

The effect on the income statement would be no effect.

On the balance sheet, liabilities would be affected.

Effect Amount

The effect on the balance sheet would be a decrease of $100 in liabilities.

On the balance sheet, equity would be affected.

Effect Amount

The effect on the balance sheet would be a decrease of $100 in equity.

On the balance sheet, assets would be affected.

Effect Amount

The effect on the balance sheet would be a decrease of $100 in assets.

Analysis Component

The income statement would not be affected as these entries are balance sheet items. The liabilities, equity, and assets would decrease by $100 each. This is because these are the accounts that were debited in the entries. If these entries are not recorded, the company's total liabilities, equity, and assets will not reflect the true picture. This will affect the financial ratios that are calculated using these figures, such as the debt-to-equity ratio, current ratio, and return on assets.

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Recognized technology businesses and startups across the world are developing business analysis
tools and approaches that give seamless analytics solutions to help enterprises derive meaningful

insights from the data they collect. Today's state-of-the-art analytical tools for business are jam-
packed with sophisticated capabilities that make data gathering, analysis, and presentation in real-
time a breeze, allowing businesses to see trends and patterns in massive datasets and develop new business analytics models.


Q: Identify and analyze any five Business Analytics tools used by the organizations. Your answer should
provide discussions on the Key Features of the tools and their benefits to the organization.

Answers

In addition to the previously described business analytics technologies, organizations can use automated reporting, self-service predictive analytics, and other capabilities to streamline and improve the analysis process.

Businesses analyse and assess quantitative and qualitative data using business analytics tools, which provide integrated analytics solutions that enable businesses to generate valuable insights from the data they collect.

Business analytical tools are used in supply chain management, service life cycle management, enterprise resource planning, and customer relationship management.

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Other Questions
HSAExam #1Chapter 1: TransculturalDiversity and Health Care____ 1. According to the 2010 U.S.Census Bureau, approximately 65.1 percent of the populationreported their race as white. The se The Coffee Counter charges $7 per pound for Kenyan French Roast coffee and $6 per pound for Sumatran coffee. How much of each type should be used to make a 20 pound blend that sells for $6.35 per pound? The Coffee Counter should mix pounds of Kenyan Roast coffee and pounds of Sumatran coffee to make 20 pounds of a blend that sells for $ 6.35 per pound. Which of the following is always created when a net torque is applied to a rigid body?I. change in angular velocityII. rotational equilibriumIII. constant angular velocityIV. constant angular momentumO IIIO IVO IO II You manage 20 employees, 17 professionals and 3 support staff, at a company that average market wage rates. Based on performance evaluations, you classify 8 as go-get- ters fully engaged in their work, 10 as fence-sitters who put in a good day's work for a good day's pay but rarely go beyond performance expectations, and 2 as adversarial with negative attitudes about management and work. Your department has performed better than expected this year, and the company pro- vides you with an unanticipated one-time $40,000 discretionary fund. The money can only be spent on bonuses or an extensive meaningful work intervention known to increase employee engagement and performance. The $40,000 is enough money to make a worthwhile impact in one of these areas but not both. You must decide how to allocate the money. Critical Thinking Questions 1. How would you allocate the money? a. $2,000 bonus for every employee b. Based on a merit calculation c. Extensive meaningful work intervention 2. Why is this the right option to choose? 3. What are the ethics underlying your decision? the real estate industry applies to which of the following labels to individuas who are responsible for the day to day operations of the property u = [0], v = [5], w = [-1][2] [4] [0][1] [3] [3](a) Calculate the cross product of u x v. (b) Calculate the area size of the parallelogram () with sides u and v. (c) Calculate the volume of the parallelepiped () with sides u, v and W. Find the value of dz and 8z/ dy at the point A (0, 2) when x changes by (0.01)and y changes by(- 0.01). 2z+ xey + sinxy+ y - In2 = 4 Find the rate of change of the function f in the direction of AP. Also find the maximum value of that rate of change f(x, y, z)=x+3 xey - z cos (xy) A(2, 1, 0), P(3, 2,1) what the chart should entail and look like with no GPA's givenof the class.Please do fast i don't have enough time Help!!a^n+3 -3a^n+2 -4a^n+1 -a^n by -a^n x Question no. 3 Describe GNI, GNP and GDP. Why do GNI an estimator of an economy's absolute performance-needs to be adjusted? Explain three ways to adjust GNI in short. B. Outline implications of inflation for international company. C. What is counter trade? Explain any three types of counter trade. briefly describe how you would ensure that you market yourproduct or service ethically. How would you avoid potential ethicalproblems? The service is a rental car agency. which of the following is a unique characteristic of bryophyte not seen in the other plant groups? A. They produce spores B. They have vascular tissues C. They have roots D. Their sporophyte is attached to gametophyte 1. Explain the 4 traditional elements or P's of the marketing mix2. Discuss the 3 new elements or P's of the marketing mix Exercise 4. Given the vectors u = (1,-1, 1) and v = (2,1,0). Find a vector w such that u - w is parallel to v and ||u|| = 10. For 2021, the Guess Trust retains all of its income items, which include only $202,000 of net investment income and $58,500 of profits from an active business operation.Round your answer to the nearest dollar.Guess incurs an additional tax on net investment income (NIIT) of $fill in the blank 1 .___ This is for Complex AnalysisFind a Mobius transformation f such that f(0) = 0, f(1) = 1, f(x) = 2, or explain does not exist. why such a transformation select all the correct answers. which three factors contributed to the united states transforming from an ally of the soviet union in world war ii into a rival of the soviet union in the cold war? 1. Explain why the present value of a cash flow stream, and the asset associated therewith; fluctuate in value with the level of interest rates in the capital markets.2. List and explain the points of financial impact on a company if it raises the credit standards required of its customers who utilized trade credit offered by the company.3. Define Weighted Average Cost of Capital and explain why a company must earn at least its Weighted Average Cost of Capital on new investments. What are the financial implications if it does not?4. As a corporation what are the benefits and ramifications of using convertible debt to finance a publicly traded company? As an investor what are the benefits and ramifications of purchasing convertible debt in a publicly traded company? Are there any conflicts between the goals of the investor and the goals of the corporation?5. Which two of the six methods used to evaluate projects, and to decide whether or not they should be accepted, do you prefer as a financial manager? Explain why you decided on these two and not the other four. List the perceived deficiencies of the four not selected. 6. What are the benefits and costs of placing a financially troubled company into a Chapter 11 Bankruptcy proceeding? Is this a legitimate and ethical vehicle for management to use for the benefit of the companys stakeholders? Data table Cash Accounts Receivable, Net Merchandise Inventory Equipment, Net Total Assets Assets He-Kang-Lan Oriental Design Balance Sheet December 31, 2024 12,000 Accounts Payable 19,000 89,000 80,000 He, Capital $ $ 200,000 Print Liabilities Partners' Equity Kang, Capital Lan, Capital Total Partners' Equity Total Liabilities and Partners' Equity Done $ 88,000 29,000 42,000 41,000 112,000 200,000 $ I He - Kang - Lan Oriental Design is a partnership owned by three individuals. The partners share profits and losses in the ratio of 30% to He, 40% to Kang, and 30% to Lan. At December 31, 2024, the firm has the following balance sheet. (Click on the icon to view the balance sheet.) ZILLENGMATH6 17.4 DETAILS 11. [0/1 Points] PREVIOUS ANSWERS MY NOTES ASK YOUR TEACHER PRACTICE ANOTHER Find the streamlines of the flow associated with the given complex function. f(z) = 2z (x(t), y(t)) = (ex CX X eBook