a. Amount of equity=R3.22 million b. Total assets=R11.18 million.
To calculate the amount of equity, we need to first find the value of total equity and then subtract the total debt from it.
Using the formula for debt-to-equity ratio, we can find that the total equity of Lenasia Leather Works is:
Total Equity = Total Debt ÷ Debt-to-Equity Ratio
Total Equity = R7.2 million ÷ 1.81
Total Equity = R3.98 million
To find the amount of equity, we subtract the total debt from the total equity:
Amount of Equity = Total Equity - Total Debt
Amount of Equity = R3.98 million - R7.2 million
Amount of Equity = -R3.22 million (this is a negative amount which means that the company has more debt than equity)
Now, to calculate the total assets, we can use the following formula:
Total Assets = Total Debt + Total Equity
Total Assets = R7.2 million + R3.98 million
Total Assets = R11.18 million
Therefore, the amount of equity is -R3.22 million and the total assets are R11.18 million for Lenasia Leather Works.
Learn more about debt-to-equity ratio here: https://brainly.com/question/27993089
#SPJ11
Fournotts Corp. manufactures a special kind of filter that can purify water quickly, but the consumers in the market are not aware of the existence of the product. In this case, which of the following strategies will increase the sales of the filter?A. Using customer-generated advertising.B. Using status-conscious advertising.C. Using direct response advertisingD. Using selective advertising
In this case, Fournotts Corp. needs to increase awareness of its product in the market. One effective strategy to do so would be using selective advertising.
Selective advertisers make the assumption that a primary demand already exists. For instance, a radio manufacturer may focus its promotion on highlighting the characteristics of its product rather than the advantages of radio ownership in general because it knows that some consumers are already in the market for one. A higher return on advertising investment is the main benefit of targeted advertising campaigns. The extra time and money required to create and produce advertising messages for consumers who might not be in a brand's target market are reduced through selective advertising. This involves targeting specific demographics or groups of people who are most likely to be interested in the product. By doing this, the company can ensure that its advertising efforts are not wasted on people who are not likely to purchase the product.
Additionally, marketers could also consider partnering with relevant organizations or influencers to promote the filter and its benefits.
To learn more about Selective advertising, click here:
https://brainly.com/question/31137362
#SPJ11
2. Why do bond prices go down when interest rates go up? Don’t bond investors like to receive high interest rates?
3. What are the differences between bottom-up and top-down approaches to security valuation? What are the advantages of a top-down approach?
Bond prices and interest rates have an inverse relationship. The bottom-up approach to security valuation involves analyzing individual companies and their financial statements while top-down approach, on the other hand, starts with an analysis of the broader market or economy and then narrows down to individual companies.
When interest rates rise, new bonds will be issued with higher yields. As a result, investors will sell their existing lower yielding bonds to buy the newer bonds, causing the demand for the older bonds to decrease. This decrease in demand causes bond prices to drop. Bond investors typically prefer high interest rates, but they also want to protect their investments from losing value due to inflation, which is more likely to occur when interest rates are high.
The bottom-up approach to security valuation involves analyzing individual companies and their financial statements to determine their intrinsic value. This approach focuses on the specific qualities of the company itself, such as its revenue growth, margins, and management quality. The top-down approach, on the other hand, starts with an analysis of the broader market or economy and then narrows down to individual companies. This approach considers factors such as interest rates, economic growth, and industry trends to identify sectors or industries that are likely to perform well, and then evaluates individual companies within those sectors.
The advantages of a top-down approach include the ability to identify broad market trends and economic factors that may affect a company's performance, as well as the ability to quickly narrow down a large universe of companies to a smaller subset that are likely to be good investments. However, a top-down approach may overlook important company-specific factors that could affect its valuation, such as management quality or competitive advantages. The bottom-up approach, while more time-consuming, allows for a more thorough analysis of individual companies and their intrinsic value, which can be particularly valuable in identifying undervalued or overlooked companies.
Read more about "Bond price": https://brainly.com/question/27990919
#SPJ11
Sandhill Company purchased equipment on account on September 3, 2019, at an invoice price of $200,000. On September 4 2019, it paid $5,300 for delivery of the equipment. A one-year, $1,995 insurance policy on the equipment was purchased on September 6, 2019. On September 20, 2019, Sandhill paid $2,700 for installation and testing of the equipment. The equipment was ready for use on October 1, 2019. Sandhill estimates that the equipment's useful life will be four years, with a residual value of $16,000. It also estimates that, in terms of activity, the equipment's useful life will be 76,800 units. Sandhill has a September 30 fiscal year end. Assume that actual usage is as follows: # of Units Year Ended September 30 15,600 2020 23,900 2021 20,200 2022 18,000 2023 Your answer is correct. Determine the cost of the equipment. Cost of equipment $ 208000
The cost of the equipment is $208,000. This includes the invoice price of $200,000, the delivery cost of $5,300, the insurance policy cost of $1,995, and the installation and testing cost of $2,700.
To determine the cost of the equipment:To determine the cost of the equipment purchased by Sandhill Company on September 3, 2019, follow these steps:
1. Start with the invoice price of the equipment: $200,000
2. Add the cost of delivery on September 4, 2019: $5,300
3. Ignore the insurance policy cost, as it is not part of the equipment cost.
4. Add the cost of installation and testing on September 20, 2019: $2,700
Now, add up all the costs:
$200,000 (invoice price) + $5,300 (delivery) + $2,700 (installation and testing) = $208,000
Therefore, the cost of the equipment is $208,000.
To know more about Cost of the equipments.
visit:
https://brainly.com/question/29386945
#SPJ11
113. The use of feedback can allow motivated learners to modify their behaviour to achieve the quickest possible learning curve. True False
The best alternative is true in this situation. The use of feedback can indeed allow motivated learners to modify their behavior and achieve the quickest possible learning curve.
Feedback is an important component of the learning process, as it allows learners to understand how well they are doing and identify areas where improvement is needed. By receiving feedback, learners can modify their behavior and approach to learning to better align with the expectations of their teachers or mentors. In turn, this can help them achieve better results and reach their learning goals more quickly. For motivated learners, feedback can be particularly valuable. Motivated learners are those who are driven to achieve their goals and are willing to put in the time and effort necessary to succeed. By receiving feedback, motivated learners can identify areas where they need to improve and adjust their behavior accordingly. This can help them to stay on track and make progress more quickly than they might otherwise.
to know about learning process visit:
https://brainly.com/question/5022294
#SPJ11
the lazy o ranch just purchased equipment costing $60,000. the equipment is expected to last five years and have no salvage value. (a) calculate the depreciation expense using the straight-line method for the first two years the equipment is owned. (b) calculate the depreciation expense using the double-declining balance method for the first two years the equipment is owned.
The depreciation expense using the straight-line method for the first two years is: $12,000 per year.
(b) The depreciation expense using the double-declining balance method for the first two years is $24,000 in year one and $14,400 in year two.
(a) The straight-line depreciation method allocates the cost of an asset evenly over its useful life. To calculate the depreciation expense using the straight-line method, we divide the cost of the equipment by the useful life and then divide that amount by the number of years we want to calculate depreciation for.
In this case, the equipment cost $60,000 and has a useful life of five years, so the annual depreciation expense is $60,000 / 5 = $12,000. Therefore, the depreciation expense using the straight-line method for the first two years is $12,000 per year.
(b) The double-declining balance method is an accelerated depreciation method that allocates a higher portion of the asset's cost to the earlier years of its useful life.
To calculate the depreciation expense using the double-declining balance method, we start with the straight-line depreciation rate (100% divided by the useful life) and then multiply it by 2. In year one, we apply the double-declining rate to the remaining book value of the asset (the cost minus any accumulated depreciation).
In year two, we apply the double-declining rate to the remaining book value from year one.
Using this method, the depreciation expense using the double-declining balance method for the first two years is $24,000 in year one ($60,000 x 2 / 5) and $14,400 in year two (($60,000 - $24,000) x 2 / 5).
To know more about depreciation, refer here:
https://brainly.com/question/30109203#
#SPJ11
Complete question:
the lazy o ranch just purchased equipment costing $60,000. the equipment is expected to last five years and have no salvage value.
(a) calculate the depreciation expense using the straight-line method for the first two years the equipment is owned.
(b) calculate the depreciation expense using the double-declining balance method for the first two years the equipment is owned.
Suppose marginal propensity to consume (mpc) is 0. 7 and there is a $100 increase in autonomous consumption. Given this information, real gdp will increase by
The real GDP will increase by $233 in response to a $100 increase in autonomous consumption with an MPC of 0.7, assuming no changes in investment, government spending, or net exports.
The percentage of additional dollars of income that are spent on consuming is known as the marginal propensity to spend (MPC). Therefore, if the MPC is 0.7, it indicates that 70 cents of every dollar of additional income will be spent on consumption.
The overall increase in consumption, if autonomous consumption rises by $100, will be:
Increased consumption of $70 results from a $100 increase autonomous consumption multiplied by an MPC of 0.7.
Real GDP is calculated as the sum of consumption, investment, government spending, and net exports. Assuming that there is no change in investment, government spending, or net exports, the increase in consumption of $70 will directly contribute to an increase in real GDP.
However, the exact increase in real GDP will depend on the multiplier effect. The multiplier effect refers to the fact that an increase in one component of aggregate demand (such as consumption) will lead to a larger increase in real GDP because the increased spending will generate additional rounds of spending throughout the economy.
The size of the multiplier effect depends on the marginal propensity to consume and the marginal tax rate. Assuming a simple Keynesian model with no taxes, the multiplier can be calculated as:
Multiplier = 1 / (1 - MPC)
Using an MPC of 0.7, the multiplier would be:
Multiplier = 1 / (1 - 0.7) = 3.33
This means that the $70 increase in consumption would lead to a total increase in real GDP of:
Total increase in real GDP = $70 increase in consumption x multiplier of 3.33 = $233
Therefore, the real GDP will increase by $233 in response to a $100 increase in autonomous consumption with an MPC of 0.7, assuming no changes in investment, government spending, or net exports.
To learn more about Marginal propensity visit here:
brainly.com/question/19089833
#SPJ4
which of the following is an effective alternative to chlorine for disinfecting wastewater in a municipal treatment plant? ozone alcohol freon ammonia
Ozone is an effective alternative to chlorine for disinfecting wastewater in a municipal.
Ozone is an effective alternative to chlorine for disinfecting wastewater in a municipal treatment planttreatment plant.
Ozone is a highly reactive gas that can destroy bacteria, viruses, and other harmful organisms in wastewater.
It is a strong oxidant that reacts quickly with organic compounds, breaking them down into simpler molecules that are less harmful to the environment.
Compared to chlorine, ozone has several advantages as a disinfectant for wastewater. First, ozone does not produce harmful byproducts, as chlorine can.
Chlorine can react with organic matter in wastewater to produce trihalomethanes (THMs) and other disinfection byproducts that are known to be carcinogenic.
Ozone, on the other hand, breaks down organic matter into simpler molecules that are less harmful.
Second, ozone is a more effective disinfectant than chlorine. Ozone reacts more quickly with bacteria and viruses, and it can destroy a wider range of organisms than chlorine.
This means that less ozone is needed to achieve the same level of disinfection as chlorine, which can save on costs and reduce the amount of chemicals used in the treatment process.
Third, ozone is a more environmentally friendly disinfectant than chlorine. Ozone does not produce toxic residues, and it breaks down quickly into oxygen, leaving no harmful byproducts in the environment.
Overall, ozone is an effective alternative to chlorine for disinfecting wastewater in a municipal treatment plant. It is a strong oxidant that can destroy harmful organisms without producing toxic byproducts.
It is also more effective and environmentally friendly than chlorine, making it a popular choice for many wastewater treatment facilities.
To know more about Ozone here
https://brainly.com/question/14330630
#SPJ11
The first step in the strategic brand management process is ________.
A) measuring consumer brand loyalty
B) identifying and establishing brand positioning
C) planning and implementing brand marketing
D) measuring and interpreting brand performance
E) growing and sustaining brand value
The first step in the strategic brand management process is identifying and establishing brand positioning.
Brand positioning is the foundation of strategic brand management. It involves identifying the unique selling proposition of the brand and determining how it will differentiate itself from its competitors in the market. This involves analyzing the target audience, the competitive landscape, and the brand's strengths and weaknesses. Once brand positioning is established, it can guide all aspects of brand management, including product development, marketing communications, and customer experience. The other options listed, such as measuring consumer brand loyalty or interpreting brand performance, come later in the brand management process and build on the foundation of brand positioning.
Learn more about competitive landscape: https://brainly.com/question/14618457
#SPJ11
marketers should make a habit of talking with consumers to determine which ___ enhancers want in the final product offerings
Marketers should make a habit of talking with consumers to determine which product enhancers they want in the final product offerings. A product enhancer is a feature that enhances the product's quality or performance, making it more appealing to the target market.
By talking with consumers, marketers can gain valuable insights into what they want and need from the products they purchase. This feedback can help inform product development, design, and marketing strategies. This communication can be achieved through various methods, such as surveys, focus groups, social media interactions, and customer reviews.
By regularly engaging with consumers and understanding their preferences for value enhancers, marketers can create products that cater to the needs of their audience, leading to increased customer satisfaction and brand loyalty. A full explanation of this process involves gathering feedback through surveys, focus groups, and social media channels. The data collected can then be analyzed to identify common themes and trends, which can be used to inform product development and marketing decisions. In summary, a detailed answer to this question involves understanding the importance of consumer feedback in product development and using it to inform decision-making processes.
To know more about Product Enhancer visit:
https://brainly.com/question/15257490
#SPJ11
The 2,000 employees working in Toyota's factory in France are an example of the ______ effect of FDI on employment, while the 2,000 new jobs that were created in support industries are an example of the ______ effect of FDI on employment.The 2,000 employees working in Toyota's factory in France are an example of the ______ effect of FDI on employment, while the 2,000 new jobs that were created in support industries are an example of the ______ effect of FDI on employment.
The 2,000 employees working in Toyota's factory in France are an example of the direct effect of FDI on employment, while the 2,000 new jobs that were created in support industries are an example of the indirect effect of FDI on employment.
The direct effect of FDI on employment refers to the jobs created by the foreign company itself, such as the employees working in Toyota's factory in France. These jobs are directly linked to the investment made by the foreign company.
On the other hand, the indirect effect of FDI on employment refers to the jobs created in support industries that arise as a result of the foreign company's investment. These jobs are not directly created by the foreign company, but rather by the increase in economic activity generated by the investment.
For example, the 2,000 new jobs created in support industries could include suppliers of materials and components to Toyota, as well as service providers like logistics companies and marketing agencies.
Both the direct and indirect effects of FDI on employment are important factors in understanding the overall impact of foreign investment on a host country's economy.
To know more about FDI, refer here:
https://brainly.com/question/30789261#
#SPJ11
Complete question:
The 2,000 employees working in Toyota's factory in France are an example of the ______ effect of FDI on employment, while the 2,000 new jobs that were created in support industries are an example of the ______ effect of FDI on employment
A non air conditioned hotel in Kolkata has declared tariff of Rs. 2,000 per day, including amenities. On 15/12/2017, its bills were as follows - a) Hotel Room - Rs. 2,000, Breakfast - 300. b) Hotel Room - Rs. 2,200, Extra Bed Rs. 400, and Laundry Charges Rs. 200. c) Special Discounted rate to a poor customer Rs. 800. d) Discounted rate to corporate client Rs. 1,500, Laundry Charges Rs. 100. e) Telephone Charges Rs. 200, Break Fast - Free. Cancellation Charges for a booked room - Rs. 1000 - - IM (3) 62223 f) Room to a business customer from Orissa who has given his GSTIN - Registration Number of Orissa. The GSTIN was included in the tax invoice issued by hotel Rs. 1,800 including Break Fast. Calculate the tax liability in each case.
To calculate the tax liability in each case, we need to determine the applicable GST rate and the taxable value of the supplies. The applicable GST rate for hotels with tariffs up to Rs. 7,500 per day is 12%.
a) Hotel Room - Rs. 2,000, Breakfast - 300.
Taxable value of hotel room = Rs. 2,000
Taxable value of breakfast = Rs. 300
Total taxable value = Rs. 2,300
GST liability = 12% of Rs. 2,300 = Rs. 276
b) Hotel Room - Rs. 2,200, Extra Bed Rs. 400, and Laundry Charges Rs. 200.
Taxable value of hotel room = Rs. 2,200
Taxable value of extra bed = Rs. 400
Taxable value of laundry charges = Rs. 200
Total taxable value = Rs. 2,800
GST liability = 12% of Rs. 2,800 = Rs. 336
c) Special Discounted rate to a poor customer Rs. 800.
Since the customer is poor, the hotel may provide a discounted rate without charging GST.
d) Discounted rate to corporate client Rs. 1,500, Laundry Charges Rs. 100.
Taxable value of hotel room = Rs. 1,500
Taxable value of laundry charges = Rs. 100
Total taxable value = Rs. 1,600
GST liability = 12% of Rs. 1,600 = Rs. 192
e) Telephone Charges Rs. 200, Break Fast - Free.
Since breakfast is free, the taxable value is only for telephone charges.
Taxable value of telephone charges = Rs. 200
GST liability = 12% of Rs. 200 = Rs. 24
f) Room to a business customer from Orissa who has given his GSTIN - Registration Number of Orissa. The GSTIN was included in the tax invoice issued by the hotel Rs. 1,800 including Break Fast.
Since the customer is a business customer with a valid GSTIN, the GST is charged on a reverse charge basis. The hotel does not need to charge GST, and the customer is liable to pay the GST as per the reverse charge mechanism.
Therefore, the tax liability in each case is:
a) Rs. 276
b) Rs. 336
c) No GST
d) Rs. 192
e) Rs. 24
f) No GST charged by hotel; liability on customer under reverse charge mechanism.
To learn more about “tax” refer to the https://brainly.com/question/30157668
#SPJ11
when a manager accepts a project because the net operating income from the investment exceeds the minimum acceptable profit based on required rate of return, the investment was evaluated based on . (enter only one word per blank.)
When a manager accepts a project because the net operating income from the investment exceeds the minimum acceptable profit based on required rate of return, the investment was evaluated based on _return on investment (ROI)_ and _hurdle rate_.
Investment refers to the act of allocating money or resources with the expectation of generating a profitable return or increasing the value of the initial investment. This can be done through various channels such as stocks, bonds, real estate, mutual funds, and other investment vehicles. The ultimate goal of investment is to increase wealth and achieve financial goals over the long-term. However, investment comes with risks, and it is important for investors to conduct thorough research and analysis before making investment decisions. Additionally, diversification is an important strategy to mitigate risk and maximize returns.
Visit here to learn more about investment brainly.com/question/15353704
#SPJ11
T/F: When faced with seasonal demand, a firm should use a combination of pricing (to manage demand) and production and inventory (to manage supply) to improve profitability
The statement "When faced with seasonal demand, a firm should use a combination of pricing (to manage demand) and production and inventory (to manage supply) to improve profitability" is true because it is important for a firm to use the combination to manage demand and supply.
When a firm faces seasonal demand, it is important to use a combination of pricing strategies to manage demand and production and inventory management to manage supply. By adjusting prices, the firm can influence the level of demand for its products, while production and inventory management can help ensure that supply is aligned with demand. By balancing these factors, the firm can optimize its profitability.know more about pricing strategies here : https://brainly.com/question/28797815
#SPJ11
Wesley Company manufactures and sells a single product. The company's income statement at sales level of 22,500 units for last quarter follows: Sales Less: Variable expenses Contribution margin Less: Fixed expenses Net operating income Total $900,000 630,000 270,000 219,780 $ 50,220 Required: 1. What is the monthly break-even point in units sold and in sales dollars? (Round your intermediate calculations and final answers to the nearest whole number.) Break-even Point Break-even point in units sold Break-even point in sales dollars 4. Refer to the original data. Compute the company's margin of safety for the quarter in units, in dollars and as a percentage of last quarter's sales. (Round "Percentage" answer to 1 decimal place, (i.e., 0.123 should be considered as 12.3%).) Units Dollars Percentage Margin of safety % 5. What is the company's CM ratio? If quarterly sales decrease by $ 88,000 and there is no change in fixed expenses, what would you expect the quarter's net operating income to be? (Do not prepare an income statement; use the CM ratio to compute your answer.) CM ratio % Net operating income
The break-even point in sales dollars is $732,600. The margin of safety for the quarter is 65%. The expected net operating income is $23,820.
1. The monthly break-even point in units sold is 7,050 units (rounded up from 7,041) and the break-even point in sales dollars is $315,000.
To calculate the break-even point in units sold, use the formula:
Fixed expenses / Contribution margin per unit = Break-even point in units sold
Fixed expenses = $219,780
Contribution margin per unit = Sales price per unit - Variable expenses per unit
Contribution margin per unit = ($900,000 / 22,500 units) - ($630,000 / 22,500 units) = $24 - $28 = -$4
(Note: The negative contribution margin means that the company is not covering its fixed expenses with the current sales price and variable expenses per unit. This could indicate a need to increase sales price or decrease variable expenses.)
Break-even point in units sold = $219,780 / -$4 per unit = 7,041.6 units (rounded up to 7,050 units)
To calculate the break-even point in sales dollars, use the formula:
Fixed expenses / CM ratio = Break-even point in sales dollars
CM ratio = Contribution margin / Sales
CM ratio = $270,000 / $900,000 = 0.3 or 30%
Break-even point in sales dollars = $219,780 / 0.3 = $732,600 (rounded up to $315,000 monthly)
2. The margin of safety for the quarter is:
Units:
The margin of safety in units = Actual sales - Break-even sales
Margin of safety in units = 22,500 - 7,050 = 15,450 units
Dollars:
The margin of safety in dollars = Actual sales - Break-even sales in dollars
Margin of safety in dollars = $900,000 - $315,000 = $585,000
Percentage:
The margin of safety % = Margin of safety in dollars / Actual sales
Margin of safety % = $585,000 / $900,000 = 65%
3. The company's CM ratio is 30%.
To calculate the expected net operating income for the quarter if sales decrease by $88,000 with no change in fixed expenses, use the formula:
Expected net operating income = (CM ratio x New sales) - Fixed expenses
New sales = Actual sales - Sales decrease
New sales = $900,000 - $88,000 = $812,000
Expected net operating income = (0.3 x $812,000) - $219,780
Expected net operating income = $243,600 - $219,780
Expected net operating income = $23,820
Learn more about the Break-even point: https://brainly.com/question/9212451
#SPJ11
All of the following are weaknesses of a command economy EXCEPT that it
a.)requires a large decision-making bureaucracy
b.)provides few incentives for people to work hard
c.)lacks the flexibility to deal with minor problems
d.) can change direction drastically in a short time
All of the following are weaknesses of a command economy EXCEPT that it can change direction drastically in a short time (option d). Therefore, the answer to the question is option D, which is NOT a weakness of a command economy. Overall, a command economy has both advantages and disadvantages, and its effectiveness depends on the specific economic conditions and goals of the government.
A command economy is a system in which the government makes all economic decisions. One weakness of this type of economy is that it requires a large decision-making bureaucracy, which can slow down the decision-making process and make it less efficient. Additionally, a command economy provides few incentives for people to work hard since they do not have the opportunity to benefit from their hard work. Another weakness is that it lacks the flexibility to deal with minor problems, as all decisions are made by the government and there is little room for individual initiative. However, one strength of a command economy is that it can change direction drastically in a short time, which can be useful in times of crisis or when the economy needs to be restructured. A command economy allows central authorities to make quick decisions, enabling rapid adjustments to economic policies.However, this system also has weaknesses, including requiring a large decision-making bureaucracy (option a), providing few incentives for people to work hard (option b), and lacking flexibility in dealing with minor problems (option c).
Learn more about weaknesses here
https://brainly.com/question/30252191
#SPJ11
Noodles Unlimited, Inc. sells swimming pool toys. The following adjusted trial balance is for the year ending December 31, 20X1.
Account Titles Debits Credits
Cash. $37,500 Accounts Receivable 28,600 Inventory 43,300 Prepaid Rent 2,000 Equipment 69.000 Accumulated Depreciation $20,700
Accounts Payable 8,800
Unearned Fees 20,000
Long-term Notes Payable 75,000
J. Noodle, Capital 31,800
Sales Revenue 175,500
Sales Returns and Allowances 4,700
Sales Discounts 6,000 Cost of Goods Sold 67,700 Salaries and Wages Expense 25,900 Depreciation Expense 13,800 Rent Expense. 24,000 Interest Expense 1,600 Loss on Sale of Equipment 7,700 Totals. $331,800. $331,800
Required:
Prepare a multistep income statement that would be used for internal reporting purposes
The statement shows that Noodles Unlimited, Inc. had a gross profit of $97,100 and operating income of $31,800, but had a loss on the sale of equipment of $7,700, resulting in a net income statement of $24,100 for the year ended December 31, 20X1.
Noodles Unlimited, Inc.
Multistep Income Statement
For the Year Ended December 31, 20X1
Sales Revenue $175,500
Less: Sales Returns and Allowances $4,700
Sales Discounts $6,000
Net Sales $164,800
Cost of Goods Sold $67,700
Gross Profit $97,100
Operating Expenses:
Salaries and Wages Expense $25,900
Depreciation Expense $13,800
Rent Expense $24,000
Interest Expense $1,600
Total Operating Expenses $65,300
Operating Income $31,800
Other Expenses:
Loss on Sale of Equipment $7,700
Net Income $24,100
The multistep income statement for Noodles Unlimited, Inc. shows the company's revenue, cost of goods sold, gross profit, operating expenses, operating income, other expenses, and net income. The statement is used for internal reporting purposes to help the company understand its profitability and make decisions about future investments and operations. The statement shows that Noodles Unlimited, Inc. had a gross profit of $97,100 and operating income of $31,800, but had a loss on the sale of equipment of $7,700, resulting in a net income of $24,100 for the year ended December 31, 20X1.
To know more about net income statement visit: https://brainly.com/question/29999079
#SPJ11
Centre Black Company planned to produce 40,000 units of product and work at the 100,000 direct labour hours level of activity for 2020. Manufacturing overhead at this level of activity and the predetermined overhead rate is as follows:
Predetermined
Overhead Rate per
Direct Labour Hour
Variable manufacturing overhead $600,000 $6
Fixed manufacturing overhead 300,000 3
Total manufacturing overhead $900,000 $9
At the end of 2020, 44,000 units were actually produced and 107,400 direct labour hours were actually worked. Total actual manufacturing overhead costs were $950,000, of which $610,000 was variable.
Instructions
Calculate the following variances and indicate whether they are favourable or unfavourable:
a) Variable overhead budget variance.
b) Fixed overhead volume variance.
$34,400 is the favourable variance ; $22,200 is the unfavourable variance.
a) The variable overhead budget variance can be calculated as follows:
Variable overhead budget variance = (Actual hours worked x Predetermined overhead rate) - Actual variable overhead costs
= (107,400 x $6) - $610,000
= $644,400 - $610,000
= $34,400 (Favourable)
The favourable variance indicates that the actual variable overhead costs were lower than what was budgeted for.
b) The fixed overhead volume variance can be calculated as follows:
Fixed overhead volume variance = (Actual hours worked - Budgeted hours) x Predetermined fixed overhead rate
= (107,400 - 100,000) x $3
= 7,400 x $3
= $22,200 (Unfavourable)
The unfavourable variance indicates that the actual fixed overhead costs were higher than what was budgeted for due to the increase in actual hours worked.
To know more about overhead budget visit:
https://brainly.com/question/15443145
#SPJ11
When a company such as Toyota or Hyundai opens a design or production facility in the United States, we see it as
When a company such as Toyota or Hyundai opens a design or production facility in the United States, we see it as:
1. Foreign Direct Investment (FDI): This is when a company from one country invests in the business of another country by setting up facilities, like design or production plants.
2. Job creation: These facilities create employment opportunities for the local population in the United States.
3. Economic growth: The presence of these facilities contributes to the overall economic growth of the United States through the increased production and revenue generated by the companies.
4. Technology transfer: The opening of these facilities may lead to a transfer of technology and expertise from the parent companies to the local workforce, which can benefit the overall industry in the United States.
5. Globalization: This is an example of globalization, as companies from different countries collaborate and integrate their operations in various parts of the world.
In summary, when Toyota or Hyundai opens a design or production facility in the United States, we see it as an example of Foreign Direct Investment, which leads to job creation, economic growth, technology transfer, and globalization.
To know more about Globalization visit:
https://brainly.com/question/15283031
#SPJ11
For a period during which the quantity of product manufacturedexceeded the quantity sold, income from operations reported underabsorption costing will be smaller than income from operations reportedunder variable costing.a. True b. False
False.During a period where the quantity of product manufactured exceeded the quantity sold, absorption costing will allocate a portion of fixed manufacturing overhead costs to units held in inventory.
As a result, under absorption costing, the cost of goods sold will include only variable manufacturing costs and a portion of fixed manufacturing overhead costs. However, under variable costing, fixed manufacturing overhead costs are treated as period costs and are expensed in full during the period incurred. Therefore, income from operations reported under variable costing will be smaller than income from operations reported under absorption costing in a period where the quantity of product manufactured exceeded the quantity sold.
learn more about quantity here:https://brainly.com/question/12986460
#SPJ11
Problem 23-1 Expected yield You own a bond with an annual coupon rate of 5% maturing in two years and priced at 86%. Suppose that there is a 8% chance that at maturity the bond will default and you will receive only 44% of the promised payment. Assume a face value of $1,000. a. What is the bond's promised yield to maturity? (Enter your answer as a percent rounded to 2 decimal places.) Answer is complete and correct. Promised yield 13.44 % b. What is its expected yield (i.e., the possible yields weighted by their probabilities)? (Enter your answer as a percent rounded to 2 decimal places.) X Answer is complete but not entirely correct. Expected yield 12.84 %
The expected yield is 20.10%, rounded to 2 decimal places. We can calculate the revised expected yield by taking into account both the probability of default and the expected default yield.
To calculate the promised yield to maturity, we can use the formula:
Promised Yield = Annual Coupon Payment / Bond Price + ((Face Value - Bond Price) / Years to Maturity) / 2
Substituting the given values, we get:
Promised Yield = 50 / 860 + ((1000 - 860) / 2) / 2
Promised Yield = 0.05814 + 0.07293
Promised Yield = 0.13107 or 13.44%
To calculate the expected yield, we need to take into account the probability of default. We can use the following formula:
Expected Yield = Promised Yield x (1 - Probability of Default) + Default Yield x Probability of Default
Substituting the given values, we get:
Expected Yield = 0.1344 x (1 - 0.08) + 0.44 x 0.08
Expected Yield = 0.123552 + 0.0352
Expected Yield = 0.158752 or 15.88%
However, this calculation assumes that the default yield is the only possible yield in case of default. But the question states that in case of default, the investor will receive only 44% of the promised payment. This means that the actual yield in case of default will be lower than 44%.
To account for this, we need to calculate the expected default yield as well. We can do this by using the formula:
Expected Default Yield = Default Yield x (Payment Received / Promised Payment)
Substituting the given values, we get:
Expected Default Yield = 0.44 x (1000 x 0.44 / 50)
Expected Default Yield = 0.968 or 96.8%
We can use the following formula:
Revised Expected Yield = Promised Yield x (1 - Probability of Default) + Expected Default Yield x Probability of Default
Substituting the given values, we get:
Revised Expected Yield = 0.1344 x (1 - 0.08) + 0.968 x 0.08
Revised Expected Yield = 0.123552 + 0.07744
Revised Expected Yield = 0.200992 or 20.10%
To know more about expected yield visit:
https://brainly.com/question/28579766
#SPJ11
when sellers advertise a low price for an item generally unavailable to the consumer and then push the consumer to buy a more expensive item, they are engaging in ______ advertising.
The practice of advertising a low-priced item that is generally unavailable to the consumer and then pushing them to buy a more expensive item is known as bait-and-switch advertising.
It is a deceptive marketing technique used by sellers to lure customers into their stores or websites with the promise of a great deal, only to switch the product or service offered to a more expensive one. Bait-and-switch advertising is often used to create a false sense of urgency or scarcity, making consumers feel like they have to act quickly to take advantage of the advertised deal. Once the customer is hooked, the seller will then attempt to sell them a more expensive item, citing reasons such as limited stock, poor quality of the advertised item, or other excuses. This practice is illegal in many countries, including the United States, where it is considered a form of false advertising. It is important for consumers to be aware of these tactics and to do their research before making any purchase to avoid falling victim to bait-and-switch advertising.
Learn more about bait-and-switch advertising here:
https://brainly.com/question/30829249
#SPJ11
ANAGERIAL ACCOUNTING: AUS Corporation Has Provided The Following Contribution Format Income Statement. All Questions Concern Situations That Are Within The Relevant Range. A. What Is The Degree Of OperatingMANAGERIAL ACCOUNTING:AUS Corporation has provided the following contribution format income statement. All questions concern situations that are within the relevant range.aWhat is the degree of operating leverage?b. Using the degree of operating leverage, what is the estimated percent increase in net operating income of a 15% increase in sales?
The given income statement shows the contribution margin and the fixed costs of AUS Corporation. To calculate the degree of operating leverage, we need to divide the contribution margin by the net operating income. In this case, the contribution margin is $150,000 ($600,000 sales - $450,000 variable costs), and the net operating income is $90,000 ($150,000 - $60,000 fixed costs). Therefore, the degree of operating leverage is 1.67 ($150,000/$90,000).
To estimate the percent increase in net operating income of a 15% increase in sales, we can use the following formula:
% increase in net operating income = degree of operating leverage x % increase in sales
Substituting the values, we get:
% increase in net operating income = 1.67 x 15% = 25.05%
Therefore, a 15% increase in sales is expected to result in a 25.05% increase in net operating income for AUS Corporation, based on their degree of operating leverage.
to know more about AUS coorporation:
https://brainly.com/question/16572665
#SPJ11
According to the Keynesian framework, which of the following may help a country reduce inflation, but will not help that country to get out of a recession?
a. an increase in military spending
b. increased spending by the government on health care
c. an increase in taxes on business investments
d. a decrease in the tax rate on consumer income
According to the Keynesian framework, an increase in taxes on business investments may help a country reduce inflation, but it will not help that country to get out of a recession. So, the correct option is C.
This is because such an increase would reduce business investment, which would lead to a decrease in aggregate demand and ultimately lead to a contraction in the economy.
In contrast, an increase in military spending or increased spending by the government on health care may increase aggregate demand and help a country get out of a recession, but it may also lead to inflation if the economy is already operating at or near full capacity.
A decrease in the tax rate on consumer income may also help boost aggregate demand and get a country out of a recession, but it may lead to inflation if the economy is already at full capacity.
To know more about inflation refer here:
https://brainly.com/question/29308595#
#SPJ11
pasadena candle inc. pays 40% of its purchases on account in the month of the purchase and 60% in the month following the purchase. if purchases are budgeted to be $40,000 for august and $36,000 for september.prepare a simple cash budget for pasadena candle inc.
Answer:
To prepare a simple cash budget for Pasadena Candle Inc., we need to take into account the purchases made on account, the cash collections from customers, and the cash payments to suppliers.
Assumptions:
Cash sales are expected to be $50,000 in August and $54,000 in September.
Sales on account are expected to be collected 50% in the month of the sale and 50% in the following month.
The company has a cash balance of $20,000 at the beginning of August.
August:
Cash collections: $50,000 (cash sales) + $20,000 (50% of $40,000 credit sales) = $70,000
Cash payments: $16,000 (40% of $40,000 purchases on account) = $16,000
Net cash flow: $70,000 - $16,000 = $54,000
Ending cash balance: $20,000 + $54,000 = $74,000
September:
Cash collections: $54,000 (cash sales) + $20,000 (50% of $36,000 credit sales from August) + $18,000 (50% of $36,000 credit sales from September) = $92,000
Cash payments: $21,600 (40% of $36,000 purchases on account from August) + $21,600 (40% of $36,000 purchases on account from September) = $43,200
Net cash flow: $92,000 - $43,200 = $48,800
Ending cash balance: $74,000 + $48,800 = $122,800
Therefore, the simple cash budget for Pasadena Candle Inc. is:
August September
Cash inflow $70,000 $92,000
Cash outflow $16,000 $43,200
Net cash flow $54,000 $48,800
Cash balance $74,000 $122,800
Explanation:
To prepare a cash budget for Pasadena Candle Inc., we need to consider the company's expected cash inflows and outflows for the upcoming months. Based on the given information, we know that the company pays 40% of its purchases on account in the month of the purchase and 60% in the month following the purchase.
For August, the budgeted purchases are $40,000. Therefore, the company will pay $16,000 (40% of $40,000) in August, and $24,000 (60% of $40,000) in September. For September, the budgeted purchases are $36,000. Therefore, the company will pay $21,600 (60% of $36,000) in October.
Now, let's consider the company's other cash inflows and outflows. The company expects to receive $20,000 in cash sales in August and $25,000 in cash sales in September. Additionally, the company has fixed costs of $10,000 per month.
Using this information, we can prepare a simple cash budget for Pasadena Candle Inc.:
August:
Cash inflows:
- Cash sales: $20,000
- On account: $16,000
Total cash inflows: $36,000
Cash outflows:
- Purchases: $16,000
- Fixed costs: $10,000
Total cash outflows: $26,000
Net cash flow: $10,000
September:
Cash inflows:
- Cash sales: $25,000
- On account: $24,000
Total cash inflows: $49,000
Cash outflows:
- Purchases: $21,600
- Fixed costs: $10,000
Total cash outflows: $31,600
Net cash flow: $17,400
Based on this cash budget, we can see that Pasadena Candle Inc. is expected to have positive cash flows in both August and September. However, the company should keep a close eye on its cash position to ensure that it has enough liquidity to cover its expenses and take advantage of growth opportunities.
To know more about purchase refer here
https://brainly.com/question/24112214#
#SPJ11
You are an entrepreneur starting a biotechnology firm. If your research is successful, the technology can be sold for $31 million. If your research is unsuccessful, it will be worth nothing. To fund your research, you need to raise $5.3 million. Investors are willing to provide you with $5.3 million in initial capital in exchange for 25% of the unlevered equity in the firm. What is the total market value of the firm without leverage? The market value is $____million. (Round to one decimal place.)
The total market value of the firm without leverage is $21.2 million. Therefore, the answer is $21.2 million.
To find the total market value of the firm without leverage? You can follow these steps:
Step 1: Determine the value of the 25% equity stake that investors are willing to provide $5.3 million for.
Investors' equity stake = 25% of total unlevered equity value
$5.3 million = 0.25 * total unlevered equity value
Step 2: Calculate the total market value of the firm without leverage by dividing the investors' $5.3 million investment by the 25% equity stake.
Total unlevered equity value = $5.3 million / 0.25
Total unlevered equity value = $21.2 million
The total market value of the firm without leverage is $21.2 million.
To know more about Total market value.
visit:
https://brainly.com/question/14411378
#SPJ11
write the printitem() function for the base class. sample output for below program: last name: smith
Assuming that the base class has a member variable called "lastName", the printitem() function for the base class could be defined as follows:
```
class BaseClass:
def __init__(self, lastName):
self.lastName = lastName
def printitem(self):
print("Last Name:", self.lastName)
```
When called on an instance of the base class with the last name "Smith", the output would be:
```
bc = BaseClass("Smith")
bc.printitem()
```
Output:
```
Last Name: Smith
```
To learn more about member variable refer here:
https://brainly.com/question/31563137
#SPJ11
indicate whether each of the following people is frictionally unemployed, structurally unemployed, seasonally unemployed, cyclically unemployed or not officially unemployed. a woman who quits her job an a firm's accounting department to find work with better pay/benefits.
Based on the information given, the woman who quit her job in the firm's accounting department to find work with better pay/benefits is likely to be considered frictionally unemployed. Frictional unemployment refers to the temporary unemployment that occurs when workers leave their current job to look for new and better opportunities that are more suited to their skills, preferences, and needs. This type of unemployment is usually short-lived and considered voluntary since the worker is choosing to leave their job voluntarily.
The woman's decision to leave her current job in search of better pay and benefits is a common scenario in the modern workplace. With the availability of online job boards and recruitment sites, it is easier than ever for individuals to explore new job opportunities and find positions that better align with their career goals and aspirations. The woman's decision to quit her job in search of better pay and benefits is an example of frictional unemployment because she is not unemployed due to economic circumstances or job market conditions, but rather by her own choice to pursue better career prospects.
In summary, the woman who quits her job in the firm's accounting department to find work with better pay/benefits is most likely experiencing frictional unemployment. This type of unemployment is common in today's dynamic job market, where individuals are constantly seeking new and better opportunities to advance their careers and improve their standard of living.
To know more about unemployment refer here
https://brainly.com/question/13399471#
#SPJ11
An agricultural company would like to predict cotton yield per acre in a certain area using rainfall 7) (in inches). Identify the explanatory variable. a) farm size, b) variety of cotton growth, c) rainfall in inches, d) yield per acre, e) the agricultural company
In the scenario where an agricultural company wants to predict cotton yield per acre in a certain area using rainfall (in inches), the explanatory variable is c) rainfall in inches. The explanatory variable is the one used to explain or predict the outcome (cotton yield per acre in this case), and rainfall is the variable being used for that purpose.
An explanatory variable is a variable that is used to explain or predict changes in another variable, known as the response variable. In statistical analysis, the explanatory variable is often considered the independent variable, while the response variable is the dependent variable.
The explanatory variable can be manipulated or controlled in an experiment or observed in a study to understand its impact on the response variable.
To know more about explanatory variable refer here:
https://brainly.com/question/29820449#
#SPJ11
every company can have banking relationships with more than one financial institution, and each financial institution can have a banking relationship with more than one company. thus, the cardinality that exists between company and financial institution is
Every company can have banking relationships with more than one financial institution, and each financial institution can have a banking relationship with more than one company. The cardinality in this case is "many-to-many."
This means that multiple companies can be associated with multiple financial institutions, and vice versa. This type of relationship allows for flexibility and diversified banking options for both parties.
Every company can have more than one banking relationships, and each bank can have a business relationship with more than one company. Entry relationship is used to analyze to structure of the Database. It shows relationships between entities and their attributes. An ER model provides a means of communication.
Thus, the cardinality that exists between company and bank is
A) one-to-one.
B one-to-many.
C many-to-many.
D many-to-none
Therefore, the correct option is C) many-to-many.
Learn more about financial institution here: https://brainly.com/question/9297059
#SPJ11
According to the environment-industry-organization fit model, certain industries—soft drink bottlers, beer distributors, food processors, and container manufacturers—would fit and align more effectively in which of these cells? a.Cell 3 b.Cell 2 c.Cell 4 d.Cell 1 e.None of these.
According to the environment-industry-organization fit model, the industries of soft drink bottlers, beer distributors, food processors, and container manufacturers would fit and align more effectively in Cell 2.
This is because these industries operate in a stable and predictable environment and have a high degree of interdependence with their suppliers and customers. Cell 2 represents a stable environment and a high degree of interdependence. Therefore, the industries mentioned would fit and align more effectively in Cell 2.
According to the environment-industry-organization fit model, certain industries like soft drink bottlers, beer distributors, food processors, and container manufacturers would fit and align more effectively in Cell 3. This cell typically represents a stable environment with a high need for efficiency and a focus on cost leadership. These industries benefit from economies of scale and standardization, which makes Cell 3 the most suitable choice.
Visit here to learn more about beer brainly.com/question/15579836
#SPJ11