yoshino corp. is spending $10 million on new equipment that will increase sales annually by $3,000,000. operating costs (excluding depreciation) will increase by $1,500,000 per year. the equipment will be depreciated straight-line to zero over 8 years. the corporate tax rate is 30%. what is the impact of this project on operating cash flow (ocf) per year? group of answer choices $1,575,000

Answers

Answer 1

The impact of the project on the Operating Cash Flow (OCF) per year is **$1,575,000**.

To calculate the OCF, we need to consider the increase in sales, the increase in operating costs, and the depreciation expense.

The increase in sales annually is $3,000,000, which represents an increase in cash inflow.

The increase in operating costs annually is $1,500,000, which represents an increase in cash outflow.

The depreciation expense is calculated by dividing the initial equipment cost ($10,000,000) by the useful life (8 years). So, the annual depreciation expense is $10,000,000 / 8 = $1,250,000.

To determine the impact on OCF, we subtract the increase in operating costs and the depreciation expense from the increase in sales:

OCF = Increase in sales - Increase in operating costs - Depreciation expense

OCF = $3,000,000 - $1,500,000 - $1,250,000

OCF = $1,575,000

Therefore, the impact of this project on the Operating Cash Flow (OCF) per year is $1,575,000.

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Related Questions

at a price of $ per cd, a firm sells cds. if the slope of the demand curve is $, marginal revenue for the st cd is

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To determine the marginal revenue for the first CD, we need more information about the slope of the demand curve. The slope of the demand curve represents the change in price divided by the change in quantity demanded.

If the slope of the demand curve is given as $m (dollars per unit), then the marginal revenue for the first CD can be calculated using the following formula:
Marginal Revenue = Price - (2 * m)
In this formula, "Price" represents the price at which the firm sells the CDs.
For example, if the price of a CD is $10 and the slope of the demand curve is $2, the marginal revenue for the first CD would be:
Marginal Revenue = $10 - (2 * $2) = $10 - $4 = $6
Therefore, the marginal revenue for the first CD in this scenario would be $6.

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Payroll taxes are 6.2%, and Medicare taxes are 2.9%. Your employer owes you $850. How much will your work cost your employer? 1$77.35 2$927.35 3$24.65 4$52.70

Answers

It will cost the employer to pay payroll and Medicare taxes for your employee who owes you $850, the amount of: 2) $927,35.

To calculate the total cost to your employer, we need to consider both the payroll taxes and the Medicare taxes.

First, calculate the payroll tax:
$850 * 6.2% = $52.70

Next, calculate the Medicare tax:
$850 * 2.9% = $24.65

Now, add the original amount owed to you ($850), the payroll tax ($52.70), and the Medicare tax ($24.65) together:

$850 + $52.70 + $24.65 = $927.35

So, the total cost to your employer will be $927.35, which corresponds to option 2.

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Which of the following statements about tendencies in managerial decision making is false?
A. Managers make decisions too quickly.
B. Managers don't invest resources to properly study the problem and alternative courses of action.
C. Managers study the problem too extensively and collect too much data.
D. Managers take the easy solution without rigorously considering alternatives.
E. Managers don't consider all the relevant data.

Answers

The false statement about tendencies in managerial decision making is option C: "Managers study the problem too extensively and collect too much data."

While it is important for managers to gather relevant data and information to make informed decisions, the tendency to study the problem excessively and collect excessive data is not a common characteristic or tendency in managerial decision making. In fact, this statement implies an overly cautious or overly analytical approach, which is not typically observed in managerial decision making.

Managers often face time constraints and the need to make decisions promptly. Therefore, they may not always have the luxury of extensive study and data collection. However, it is important for managers to strike a balance by gathering sufficient and relevant data to make well-informed decisions.

The other statements (A, B, D, and E) are generally true and reflect some common tendencies in managerial decision making. Managers may make decisions too quickly (A), fail to invest adequate resources for thorough analysis (B), opt for easy solutions without considering alternatives (D), and may not always consider all relevant data (E). These tendencies highlight potential areas where decision-making processes can be improved.

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Remember that with compound interest, you grew your initial deposit of $500. However, you did not add more money each year. Explain what you think would happen if you added money each year into the account for 25 years.

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Compound interest is a powerful financial concept that allows your initial deposit to grow exponentially over time, as interest is earned not only on the principal amount but also on the accumulated interest. In your scenario, you started with a $500 deposit and let it grow without adding any more money each year.

If you were to add more money to the account each year for 25 years, you would benefit from the effects of compound interest even more, leading to a larger final amount. This is because the additional contributions would also be earning interest, and that interest would be compounded as well.

By making annual deposits, you would be engaging in a strategy called dollar-cost averaging, which allows you to invest consistently over time and potentially reduce the impact of market fluctuations. This consistent investment approach can help to build wealth in the long run, as you're effectively accumulating more assets and benefiting from compounding interest.

In conclusion, if you added money to your account each year for 25 years, you would likely see a substantial increase in your overall balance compared to just relying on compound interest from the initial deposit. This strategy maximizes the benefits of compound interest and dollar-cost averaging, helping you build a more significant amount of wealth over time.

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what is typically seen with the empty nest? question 16 options:a.increased lonelinessb.increased maritalc.satisfaction increasedd.infidelity increased marital strife

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The increased loneliness is typically seen with the empty nest.

The empty nest refers to the time when children have grown up and moved out of the family home. This can lead to feelings of loneliness as parents may miss the daily interactions and companionship they had with their children. While some parents may experience increased marital satisfaction as they have more time to focus on their relationship, others may experience marital strife or even infidelity due to the changes and challenges that come with the empty nest.

However, studies have shown that for many couples, this period can actually lead to increased marital satisfaction as they have more time to focus on their relationship and enjoy activities together without the responsibilities of child-rearing. While some may experience increased loneliness (option A), this is not the typical outcome for most couples during the empty nest phase.

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prefix supply company received a 120-day, 8% note for $450,000, dated april 9 from a customer on account. required: a. determine the due date of the note. b. determine the maturity value of the note. assume a 360-day year. c. journalize the entry to record the receipt of the payment of the note at maturity. refer to the chart of accounts for exact wording of account titles.

Answers

The due date of the note is August 7. The maturity value of the note is $462,000. The journal entry to record the receipt of the payment at maturity includes debiting "Notes Receivable - Customer's Name" and crediting "Cash" and "Interest Revenue."

a. To determine the due date of the note, we add 120 days to the date of April 9.

April has 30 days, so we count 120 days from April 9:

April 9 + 120 days = August 7

Therefore, the due date of the note is August 7.

b. To determine the maturity value of the note, we use the formula:

Maturity Value = Principal + (Principal x Interest Rate x Time)

Where:

Principal = $450,000

Interest Rate = 8% (or 0.08 as a decimal)

Time = 120 days / 360 days (since it's a 360-day year)

Maturity Value = $450,000 + ($450,000 x 0.08 x (120/360))

Maturity Value = $450,000 + ($450,000 x 0.08 x 0.3333)

Maturity Value = $450,000 + ($12,000)

Maturity Value = $462,000

Therefore, the maturity value of the note is $462,000.

c. The journal entry to record the receipt of the payment of the note at maturity would be as follows:

Date: August 7

Account Debit: Notes Receivable - Customer's Name

Account Credit: Cash

Account Credit: Interest Revenue

We debit "Notes Receivable - Customer's Name" to reduce the outstanding note receivable on the books.

We credit "Cash" to record the cash received from the customer upon maturity of the note.

We credit "Interest Revenue" to recognize the interest earned on the note.

The specific account titles may vary based on the company's chart of accounts, so please adjust the account titles accordingly.

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emma invites flynn into her apartment. flynn commits trespass to land if he

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If Emma invites Flynn into her apartment, then Flynn does not commit trespass to land. Trespass to land occurs when someone enters onto the property of another without permission or legal right to do so.

However, when Emma extends an invitation for Flynn to enter her apartment, she is giving him permission to be on her property. This means that Flynn is not committing trespass to land because he has been given legal permission to be there.

It is important to note that if Emma later revokes her invitation and asks Flynn to leave her apartment, then Flynn would be required to leave in order to avoid committing trespass to land. Additionally, if Flynn exceeds the scope of his invitation and enters areas of the apartment where he has not been given permission to go, then he could be considered to be committing trespass to land.

However, it is important for both parties to be aware of the scope of the invitation and to respect any changes or limitations that may arise.

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a corporation is a separate legal entity that can ______. (check all that apply.)

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A corporation is a separate legal entity that can own property, enter into contracts, sue or be sued, issue stocks, and conduct business operations independently of its shareholders.

Therefore, the correct options to check would be "own property", "enter into contracts", "sue or be sued", and "issue stocks". As a legal entity, a corporation has a perpetual existence, meaning it can exist indefinitely regardless of the changes in ownership or management. It is also liable for its own debts and obligations, and its shareholders are not personally liable for the corporation's debts, except for the extent of their investment in the company. This limited liability protection is one of the primary benefits of forming a corporation. Additionally, a corporation can be taxed separately from its shareholders, allowing for potential tax advantages and increased profitability.
A corporation is a separate legal entity that can engage in various activities. Some of these include:

1. Entering into contracts: A corporation can enter into legally binding contracts with other parties, such as vendors, employees, and customers.

2. Owning property: A corporation can own real estate, vehicles, equipment, and other types of property.

3. Incurring liabilities: A corporation can borrow money, issue bonds, and become responsible for financial obligations.

4. Suing and being sued: A corporation can initiate lawsuits and be the defendant in legal actions, protecting its individual shareholders from personal liability.

5. Paying taxes: A corporation is responsible for filing and paying its own corporate taxes, separate from the personal taxes of its owners and employees.

6. Issuing stock: A corporation can issue shares of stock, allowing it to raise capital from investors.

7. Having a perpetual existence: A corporation can continue to exist even if its owners, directors, or shareholders change.

In summary, a corporation is a separate legal entity that can engage in various activities, such as entering contracts, owning property, incurring liabilities, suing and being sued, paying taxes, issuing stock, and having a perpetual existence. This legal structure provides certain advantages, such as limited liability for its owners, making it a popular choice for many businesses.

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Consider an option with the following data: S = 50, E = 45. If you buy the PUT for 6, calculate the breakeven stock price
51
39
6
11
None of the above

Answers

The breakeven stock price for the given PUT option with S = 50, E = 45, and a purchase price of 6 is 39.

What is the stock price at which the investor would neither make a profit nor incur a loss when exercising the PUT option bought for 6?

The breakeven stock price is a crucial concept in options trading, indicating the point at which an investor neither gains nor loses when exercising a PUT option. In this particular scenario, the PUT option has a strike price (E) of 45 and was purchased for 6 units. To calculate the breakeven stock price, one subtracts the purchase price from the strike price: 45 - 6 = 39. Hence, if the stock price falls to 39 or below, the investor would start to make a profit, while any stock price above 39 would result in a loss. Understanding breakeven points empowers investors to assess the viability of options and make informed decisions.

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on the most basic level, if a firm’s wacc is 12%, what does this mean?

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The Weighted Average Cost of Capital (WACC) is a measure of the cost of capital for a firm, which represents the weighted average of the cost of all the different sources of financing that the firm uses to finance its operations.

The WACC is calculated by adding up the cost of all the different sources of financing, such as debt and equity, and dividing the sum by the total amount of capital raised by the firm. If a firm's WACC is 12%, this means that the firm is paying an average cost of 12% for all the different sources of financing it uses to finance its operations. This cost includes the cost of debt, such as interest payments on loans, and the cost of equity, such as dividends paid to shareholders. The WACC is an important metric for firms, as it provides a measure of the cost of the capital they are using to finance their operations and helps them to make decisions about how to allocate their resources.  

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When restrictions are lifted on restricted stock units for par value stock, paid-in capital restricted stock is replaced by (Select all that apply.)compensation expensecommon stockpaid-in capital - excess of par

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When restrictions are lifted on restricted stock units for par value stock, the accounting treatment involves replacing the paid-in capital-restricted stock with appropriate accounts. In this case, the correct options are B. common stock and C. paid-in capital - excess of par.

B. Common Stock: When the restrictions on restricted stock units are lifted, the shares are considered to be fully vested and available for regular trading. At this point, the restricted stock units convert into common stock. The value of the common stock is based on the par value of the shares. Therefore, the common stock account is increased to reflect the issuance of the shares.

C. Paid-in Capital - Excess of Par: The par value represents the nominal value assigned to each share of stock. If the stock is issued at a price higher than its par value, the excess amount is considered paid-in capital - excess of par. When the restrictions are lifted, the par value stock is replaced by the common stock, but the paid-in capital - excess of par is not affected. It remains on the balance sheet to capture the additional amount paid by investors for the shares.

A. Compensation Expense: Compensation expense is not applicable in this scenario. Compensation expense is typically recognized when the restricted stock units are granted to employees as a form of compensation. As the restrictions are lifted and the shares are fully vested, there is no additional compensation expense to be recognized.

In summary, when restrictions are lifted on restricted stock units for a par value stock, the paid-in capital restricted stock is replaced by common stock to reflect the issuance of shares, and the paid-in capital - excess of par remains unchanged. Compensation expense is not involved in this process as it is recognized at the time of grant, not at the time of lifting the restrictions. Therefore, the correct option is B and C.

The question was incomplete, Find the full content below:

When restrictions are lifted on restricted stock units for par value stock, paid-in capital restricted stock is replaced by (Select all that apply.)

A. compensation expense

B. common stock

C. paid-in capital - excess of par

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A company must perform a maintenance project consisting of seven activities. The activities, their predecessors, and their respective time estimates are presented below: Activity Designation Immediate Predecessor None Time (Days) 3 Break down both machines Clean machine 1 Clean machine 2 Re-set machine 1 Re-set machine 2 Re-calibrate both machines Final test Using CPM, which activities make up the critical path? a) A, C, B, F, E ( b) None of the answers is correct OC) A, B, D, F, G O d) A, C, E, F, G O e) A, D, E

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The activities that make up the critical path in the given maintenance project are A, C, E, F, and G. These activities are crucial in determining the overall project timeline as any delay in them would directly impact the project's completion time.

In Critical Path Method (CPM), the critical path refers to the sequence of activities that determine the longest duration of a project. The critical path identifies activities that, if delayed, would cause a delay in the overall project completion time.

Analyzing the provided information, we can identify the critical path activities as follows:

- Activity A (Designation: None, Time: 3 days): This activity has no immediate predecessor and serves as the starting point for the project.

- Activity C (Designation: None, Time: 1 day): This activity is independent and can be performed concurrently with other activities.

- Activity E (Designation: Re-set machine 1, Time: 2 days): This activity is dependent on the completion of Activity A (Design) and Activity D (Clean machine 1).

- Activity F (Designation: Re-set machine 2, Time: 1 day): This activity is dependent on the completion of Activity B (Break down both machines) and Activity E (Re-set machine 1).

- Activity G (Designation: Re-calibrate both machines, Time: 1 day): This activity is dependent on the completion of Activity F (Re-set machine 2).

Therefore, the critical path activities in this maintenance project are A, C, E, F, and G. These activities must be carefully managed and monitored as any delay in them would directly impact the overall project completion time.

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(0)
In auditing the balance sheet, most revenue and expense accounts are also audited. Which accounts are most likely to be audited when auditing Accounts Receivable?
Select one:
a.
Interest and Cost of Goods Sold.
b.
Interest and Bad Debt Expense.
c.
Sales and Bad Debt Expense.
d.
Sales and Cost of Goods Sold.

Answers

The correct answer is c. Sales and Bad Debt Expense. When auditing Accounts Receivable, the accounts most likely to be audited are Sales and Bad Debt Expense.

The reasons are as follows:

a. Interest and Cost of Goods Sold: While interest and cost of goods sold are important components of the income statement, they are not directly related to the auditing of Accounts Receivable. They pertain more to financial analysis and evaluating the profitability of the company.

b. Interest and Bad Debt Expense: Interest and bad debt expense are both important items in the income statement. However, interest expense relates to the cost of borrowing funds and is not directly connected to the auditing of Accounts Receivable. Bad debt expense, on the other hand, is relevant because it represents an estimate of the potential uncollectible amounts from Accounts Receivable. Auditing bad debt expense can help determine the adequacy of the provision for bad debts and assess the accuracy of the valuation of Accounts Receivable.

c. Sales and Bad Debt Expense: Sales represent the revenue generated from the sale of goods or services. Auditing sales is crucial when verifying the accuracy of revenue recognition and ensuring that all sales transactions have been properly recorded. Since Accounts Receivable reflects amounts owed by customers from sales transactions, auditing sales is essential when auditing Accounts Receivable. Bad debt expense, as mentioned earlier, is significant to assess the adequacy of the provision for bad debts and determine the valuation of Accounts Receivable.

d. Sales and Cost of Goods Sold: While auditing sales is relevant when auditing Accounts Receivable, the cost of goods sold is primarily associated with inventory and its valuation. Cost of goods sold is not directly connected to the auditing of Accounts Receivable.

Therefore, the most appropriate choice is Sales and Bad Debt Expense.

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which one of the elements below is not part of a modern marketing system?

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The element that is not part of a modern marketing system is the focus on mass marketing.

In the past, companies would create a product or service and try to appeal to the largest audience possible. However, in today's market, there is a shift towards targeted marketing. Companies are now using data and analytics to understand their customers' needs and preferences and are tailoring their marketing efforts toward specific groups of people. This approach allows for a more personalized and effective marketing strategy.

Modern marketing systems include several other elements, such as product development, pricing, promotion, and distribution. Product development involves creating a product that meets the needs and wants of the target audience. Pricing involves setting a price that is fair for both the company and the customer. Promotion involves creating a marketing campaign that reaches the target audience and effectively communicates the benefits of the product or service. Distribution involves getting the product or service into the hands of the customer through various channels.

Overall, a modern marketing system is customer-centric and focuses on creating value for the customer. It involves understanding the target audience and tailoring marketing efforts toward their needs and preferences. This approach allows companies to create a more effective and efficient marketing strategy that leads to higher customer satisfaction and ultimately, higher sales.

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being profitable relates to the dimension of _____ responsibility.

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Being profitable relates to the dimension of economic responsibility.

Economic responsibility refers to a company's obligation to generate profits and financial returns for its stakeholders, including shareholders, employees, and investors. It involves maximizing revenue, managing costs, and ensuring the long-term financial sustainability of the organization.

Profitability is a crucial aspect of economic responsibility as it enables a business to invest in growth, innovation, and creating value for its shareholders.

However, economic responsibility should be balanced with other dimensions of corporate responsibility, such as social responsibility (addressing the impact on society) and environmental responsibility (addressing the impact on the environment) to achieve overall sustainable business practices.

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a company offers a cash rebate of 1 on each 6 package of batteries sold during 2020 Historically, 12% of customers mail in the rebate form. During 2021, 4100000 packages of batteries are sold, and 179000 $2 rebates are mailed to customers. What is the rebate expense and liability, respectively, shown on the 2021 financial statements dated December 31? A. $358000; $626000 B. $984000; $626000 C. $626000; $626000 D. $984000; $984000

Answers

To determine the rebate expense and liability shown on the 2021 financial statements. The final answer is B. $[tex]984,000[/tex] for the rebate expense and $[tex]626,000[/tex] for the rebate liability, respectively.

We need to calculate the total number of rebates expected based on historical redemption rates.

In 2021, [tex]4,100,000[/tex] packages of batteries were sold. Based on the historical redemption rate of [tex]12[/tex]%, we can calculate the expected number of rebates as follows:

Expected number of rebates = [tex]4,100,000[/tex]packages [tex]* 12[/tex]% = [tex]492,000[/tex]rebates.

Now, we need to calculate the rebate expense, which is the cost of the rebates issued. Each rebate is $[tex]2[/tex], so the rebate expense can be calculated as:

Rebate expense = Expected number of rebates * $[tex]2 = 492,000[/tex] * $[tex]2 = $984,000.[/tex]

Next, we calculate the rebate liability, which represents the amount owed to customers for unredeemed redemption rates. Since [tex]179,000[/tex] rebates were actually redeemed, the remaining unredeemed rebates can be calculated as:

Unredeemed rebates = Expected number of rebates - Actual number of rebates redeemed = [tex]492,000 - 179,000 = 313,000[/tex] rebates.

Rebate liability = Unredeemed rebates [tex]* $2 = 313,000 * $2 = $626,000.[/tex]

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which stock has the greatest systematic risk? a. b because it has the higher beta b. not enough information to determine. c. a because it has the higher standard deviation

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Systematic risk refers to the risk inherent in the entire market or economy, rather than risks that are specific to a particular company or industry. Beta is a measure of systematic risk, with a higher beta indicating that a stock is more sensitive to changes in the market.

Given the information provided, option (a) has the higher standard deviation, which measures the variability of returns for a stock.

However, standard deviation alone is not enough to determine systematic risk.
Therefore, the correct answer is option (b) because it has a higher beta, indicating a higher level of sensitivity to changes in the market.

Beta takes into account the correlation between a stock and the market, as well as the market's overall volatility.
It's important to note that while beta is a good indicator of systematic risk, it is not a perfect measure and should not be used in isolation.

Other factors, such as company-specific risks and market conditions, should also be considered when assessing overall risk.

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the marginal utility of a second copy of today's new york times is: infinite. b greater than the marginal utility of the first copy c identical to the marginal utility of the first copy. d $10.00. e practically zero.

Answers

The marginal utility of a second copy of today's New York Times is e) practically zero.

This is because the first copy already satisfied the consumer's desire for news and information, so the additional copy would not provide much additional utility. Marginal utility refers to the additional satisfaction a consumer gets from consuming one more unit of a good. In the case of the second copy of the newspaper, the consumer's desire for news and information has already been fulfilled by the first copy, so the additional copy would not provide much additional satisfaction. This means that the marginal utility of the second copy is very low, practically zero. Therefore, answer e) is the correct answer.

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Which pays an income to two or more annuitants until the death of the last annuitant?

Answers

The financial product that pays an income to two or more annuitants until the death of the last annuitant is called a joint life annuity.

This type of annuity is often purchased by couples who want to ensure that both of them will receive regular income for the rest of their lives, even if one of them passes away before the other. With a joint life annuity, the payments continue until the last surviving annuitant dies, at which point the contract terminates. The amount of income received by each annuitant is typically based on their age, gender, and other factors at the time of purchase. It's important to shop around and compare rates and terms from multiple providers to ensure you're getting the best deal on a joint life annuity.

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Public finance is the subdiscipline of economics that studies the various ways in whicha. firms in the financial sector provide services to households and firms.b. the general public acquires financing for their purchases.c. governments raise and expend money.d.governments may regulate and promote the stability of the financial sector.

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Public finance is the subdiscipline of economics that studies the ways in which governments raise revenue and allocate and manage public funds. It focuses on the financial activities and decisions of governments at various levels, such as national, state, and local governments.

Public finance is a subdiscipline of economics that specifically focuses on the study of how governments raise and spend money. This field delves into the various ways that governments acquire funding through taxation, borrowing, and other means, as well as how they allocate those funds for public services and programs. Additionally, public finance may also explore how governments can regulate and promote stability within the financial sector. It should be noted that while public finance shares some similarities with other areas of economics, such as financial economics, it has a distinct focus on the role of government in the economy.

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cost of inventory is a large percent of the total market value. which percentage is typical?

Answers

The percentage of cost of inventory relative to the total market value can vary significantly depending on the industry, company, and specific circumstances. There is no single percentage that can be considered "typical" across all businesses.

However, it is generally expected that the cost of inventory will be a significant portion of a company's total assets. In some industries, such as retail or manufacturing, where inventory plays a central role, the cost of inventory as a percentage of total market value can be relatively high. It is not uncommon for businesses in these sectors to have inventory values that range from 20% to 70% or more of their total market value.

On the other hand, in industries where inventory is less significant, such as service-based businesses or technology companies, the percentage of inventory cost to total market value may be relatively low.

It's important to note that analyzing the specific financial statements and industry benchmarks for a particular company is necessary to determine the typical percentage of the cost of inventory to total market value in that specific context.

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Which of the following will cause a reduction in output per worker in the long run? a. capital accumulation or technological progress b. capital accumulation c. an increase in the number of workers d. expansionary monetary policy e. none of the above

Answers

Both capital accumulation and technological progress can increase output per worker in the long run, while an increase in the number of workers can potentially increase output if there is enough capital and technology to support them. The correct answer is e. none of the above.

Expansionary monetary policy may temporarily increase output, but it is not a sustainable long-term solution for increasing output per worker. An increase in the number of workers, all else being equal, may initially cause a decrease in output per worker in the short run. However, in the long run, it depends on whether the increase in workers is accompanied by increases in capital or technological progress. If capital and technology also increase to support the additional workers, output per worker can still increase.

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what is the duration of a par value bond, coupon rate of 6.5% and remaining time to maturity of 4 years?

Answers

The duration of the bond is approximately 12.975 years.   The duration of a par value bond with a coupon rate of 6.5% and remaining time to maturity of 4 years can be calculated using the following formula:

Duration = [(2 / (2 + r)^n) - 1] * (t / 12)

where:

r = coupon rate (annualized) = 6.5% = 0.065

n = time to maturity in years

t = time to maturity in months

Plugging in the given values, we get:

Duration = [(2 / (2 + 0.065[tex])^4[/tex]) - 1] * (4 / 12)

Duration = [(2 / (2 + 0.065[tex])^4[/tex]) - 1] * 0.333

Duration = 13.975 - 1

Duration = 12.975

Therefore, the duration of the bond is approximately 12.975 years.  

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Which of the following should you do when interpreting and analyzing a graphic presented within a text? a. ?Include extra graphics in order to reiterate what the main graphic states. b. ?Restate what the graphic obviously shows to facilitate a deeper level understanding. c. ?List all the statistics already presented in the text emphasizing their importance. d. ?Emphasize the main point you are making and include an improved revision.

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When interpreting and analyzing a graphic presented within a text, you should restate what the graphic obviously shows to facilitate a deeper level understanding.

A graphic refers to a visual representation or illustration used to convey information, data, or concepts in a visual format. It can include various types such as charts, graphs, diagrams, maps, infographics, or images. Graphics are designed to enhance understanding, simplify complex information, and communicate messages more effectively. They can be used in various fields like business, education, journalism, science, and marketing. Graphics often utilize visual elements, colors, shapes, and typography to present information in a visually appealing and organized manner, making it easier for the audience to grasp and interpret the content.

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kirk purchases a sailboat on credit from lakefront sales, and lakefront keeps a security interest in the boat. lakefront then assigns the security interest to first finance co. explain what having a security interest means. under the ucc, what defenses can kirk assert against first finance?

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A security interest means that Lakefront Sales has the right to repossess the sailboat if Kirk fails to make payments on the credit.


Breach of warranty: Kirk may argue that the sailboat was not as described or did not meet the expected standards at the time of purchase. Unconscionable contract: Kirk may claim that the terms of the credit agreement were unfair or unreasonable.

A security interest is a legal claim on collateral (in this case, the sailboat) that secures the payment of a debt. Lakefront Sales keeps the security interest to ensure they can recover the value of the sailboat if Kirk defaults on his payments.

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Query elements may be added to a form to improve its appearance or add visual appeal? FALSE/TRUE

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FALSE. Query elements are used to retrieve specific information from a database or dataset. They do not have any impact on the appearance or visual appeal of a form. Design elements and graphics are typically used to improve the appearance of a form.

A request to extract data from a database is known as a query. It has the ability to read, insert, edit, and remove database data. A range of data, including financial records, customer profiles, inventory, and sales data, can be kept in databases. Data mining is often organized to model parts of reality in a way that enables information-required operations. For example, modeling the availability of hotel rooms in a way that supports finding a hotel with open rooms. SQL is a structured query language that is used by the majority of databases to write and query data.

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Compared with a perfectly competitive market, a single-price monopoly with the same market demand and cost curves will __. A) increase output and price B) decrease output and increase price C) increase output and decrease price D) produce the same level of output and increase price

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Compared with a perfectly competitive market, a single-price monopoly with the same market demand and cost curves will  B) decrease output and increase price .

A single-price monopoly, by definition, is the only supplier of a particular product or service in the market and has significant control over pricing. In contrast, a perfectly competitive market has many suppliers offering the same product or service, with no single supplier having control over the price.


If a single-price monopoly has the same market demand and cost curves as a perfectly competitive market, it will choose to produce less output and charge a higher price. This is because the monopoly has the power to control the market price, and it can increase its profits by limiting supply and charging a higher price. In contrast, in a perfectly competitive market, firms have no control over the price, and they have to compete based on price and quality to attract customers.
Thus, the correct answer to the question is B) decrease output and increase price. A single-price monopoly will produce less output than a perfectly competitive market, and the price charged to customers will be higher. This reduced output and increased price can lead to a loss of consumer surplus, which is the difference between what a consumer is willing to pay for a good and what they actually pay for it. However, the monopoly can also earn higher profits by limiting output and charging higher prices.

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If a check correctly written and paid by the bank for $427 is incorrectly recorded on the company's books for $472, the appropriate treatment on the bank reconciliation would be to (Group of answer choices) A. add $45 to the bank's balance. B. add $45 to the book's balance. C. deduct $427 from the book's balance. D. deduct $45 from the bank's balance.

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If a check correctly written and paid by the bank for $427 is incorrectly recorded on the company's books for $472, the appropriate treatment on the bank reconciliation would be to:

B. Add $45 to the book's balance.

Here's a step-by-step explanation:
1. Identify the error: The company recorded the check as $472 instead of the correct amount of $427.
2. Determine the difference: The difference between the incorrect and correct amounts is $45 ($472 - $427).
3. Adjust the book's balance: Since the company's books have an overstated amount of $45, you need to add $45 to the book's balance to correct the error.

By adding $45 to the book's balance, you are reconciling the discrepancy between the bank's records and the company's books, ensuring that both reflect the correct transaction amount.

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.__________ are simply features of a product, __________ are what the consumer will receive by using the product.

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Product features refer to the specific characteristics or attributes of a product, while consumer benefits are the advantages or outcomes that customers gain from using the product.

Product features encompass the tangible aspects or qualities that a product possesses. These features can include specifications, functionalities, components, and technical details. They provide an understanding of what the product is capable of doing and how it is designed. For example, in the context of a smartphone, features may include the size and resolution of the screen, the processor speed, the camera quality, and the available storage capacity. These features provide valuable information to customers about the product's capabilities and help them compare different options.

On the other hand, consumer benefits are the advantages or rewards that individuals obtain by utilizing the product. Benefits focus on the value the consumer derives from the product, which can be both practical and emotional. Practical benefits may include increased efficiency, convenience, time-saving, cost-effectiveness, or improved performance. Emotional benefits may involve feelings of satisfaction, enjoyment, status, or enhanced well-being. To continue with the smartphone example, consumer benefits could be having easy access to communication, entertainment, information, social media, and productivity tools, as well as the ability to capture high-quality photos and videos on the go.

While product features serve as the foundation for understanding a product's functionality, consumer benefits are what ultimately motivate individuals to make a purchase. By highlighting the benefits that customers can expect to receive, businesses can effectively communicate the value proposition of their products and appeal to the specific needs and desires of their target audience. It is crucial for companies to identify and articulate both the features and benefits of their products to create compelling marketing messages and foster customer satisfaction.

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what is coming and leaving on netflix, hbo go and "amazon prime" july 2019

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In July 2019, there are several titles that are coming and leaving Netflix, HBO Go, and Amazon Prime. Here are some of them:

Netflix:

Coming:
- Stranger Things 3
- Orange is the New Black Season 7
- Queer Eye Season 4
- The Red Sea Diving Resort
- Another Life

Leaving:
- Pretty Little Liars Season 1-7
- The Matrix Trilogy
- Taxi Driver
- Beverly Hills Cop
- The Terminator

HBO Go:

Coming:
- Big Little Lies Season 2
- Divorce Season 3
- Euphoria Season 1
- The Lion King

Leaving:
- The Dark Knight
- The Hangover Part III
- The 15:17 to Paris
- Pitch Perfect 2
- Three Billboards Outside Ebbing, Missouri

Amazon Prime:

Coming:
- All or Nothing: Carolina Panthers Season 4
- Kung Fu Panda: The Paws of Destiny Season 1B
- True Grit
- Anna

Leaving:
- Love and Death
- Inception
- A Simple Plan
- The Natural
- Underworld: Rise of the Lycans

As mentioned above, Netflix, HBO Go, and Amazon Prime have their own list of titles that are coming and leaving in July 2019. Netflix subscribers can expect the much-awaited Stranger Things 3 and Orange is the New Black Season 7, as well as other new titles such as Queer Eye Season 4, The Red Sea Diving Resort, and Another Life. However, they should also take note of the titles that are leaving the streaming platform, including Pretty Little Liars Season 1-7, The Matrix Trilogy, and The Terminator.

HBO Go subscribers, on the other hand, can look forward to the second season of Big Little Lies, the third season of Divorce, and the first season of Euphoria. However, they should also be aware of the titles that are leaving, such as The Dark Knight, The Hangover Part III, and Three Billboards Outside Ebbing, Missouri.

Finally, Amazon Prime subscribers can anticipate All or Nothing: Carolina Panthers Season 4, Kung Fu Panda: The Paws of Destiny Season 1B, and True Grit, among others. They should also take note of the titles that are leaving, including Love and Death, Inception, and Underworld: Rise of the Lycans.

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