Answer: It's Expansion
In the business cycle, the labeled point on the graph shows the expansion. Thus option (A) is correct.
The business cycle refers to the fluctuations in economic activity that occur over time in a market economy. It is characterized by alternating periods of expansion (growth) and contraction (recession) in the level of economic output, employment, and income.
During the expansion phase, economic activity increases, businesses grow, and employment levels rise. This phase is usually accompanied by a period of low unemployment and rising prices as demand for goods and services increases.
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an increase in the equilibrium nominal interest rate could be caused by which of the following changes?
The money demand curve moves to the right when prices rise, which raises the nominal interest rate. Ostensible financing costs and bond costs move in inverse headings.
How can the nominal interest rate at equilibrium rise?By making more money available for borrowing, an increase in the money supply—the amount of money in circulation—can raise the equilibrium nominal interest rate. The nominal interest rate rises as a result of the increased demand for loans caused by this additional cash.
The equilibrium nominal interest rate can also rise as a result of an increase in real income, which is measured in terms of purchasing power. The nominal interest rate rises as a result of people borrowing more money as they become wealthier.
Last but not least, a rise in the equilibrium nominal interest rate may result from a decrease in the amount of cash that the general public wants to hold (the demand for money). This is because people are less willing to lend money when there is less demand for it, which raises the nominal interest rate.
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Explain two ways that artists can make money from their music. (4 marks)
Answer:
Look at explanation.
Explanation:
If they make music at guitar piano and harmonium then their music will be best .
They can earn money if they have soft voice with nice tune of music.
Problem 8, MacroSoft Inc. has capitalized $600,000 of software costs. Sales from this product were $360,000 in the first year. MacroSoft estimates additional revenues of $840,000 over the product’s economic life of 5 years.
Instructions
Prepare the journal entry to record software cost amortization for the first year. Show all computations.
Journal Entry:
Date: [First year-end date]
The amortization expense for the first year is $120,000.
Debit: Amortization Expense - Software Cost - Year 1 ($600,000 / 5 years) = $120,000Credit: Accumulated Amortization - Software Cost - Year 1 ($600,000 / 5 years) = $120,000Explanation:To record the software cost amortization for the first year, we need to allocate a portion of the capitalized software costs as an expense. Since the software has an estimated economic life of 5 years, we divide the total software cost ($600,000) by 5 to determine the annual amortization expense. In this case, the amortization expense for the first year is $120,000. We debit the Amortization Expense - Software Cost account to recognize the expense and credit the Accumulated Amortization - Software Cost account to accumulate the amortization over time.For more such questions on Journal Entry
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Describe the internal control features that were missing that enabled the employee to commit this fraud.
Describe what actions the employer should take to prevent this kind of fraud from happening in the future.
High-Flying Auto Dealer Employee Steals $10M For Luxuries
The scheming employee was able to electronically transfer funds from the company's online account to her own personal account and use the funds to buy four homes, 10 vehicles, Louis
Vuitton luggage, jewelry, $30,000 in pre-paid travel funds and stow away more than $20,000 in savings, court records show. Authorities said she covered up the thefts with a series of fake transactions as well as listing phantom cars in inventory so they could be recorded as assets.
Answer:
yes my answer is yes
Explanation:
I dont know
Dexter plans to launch a company in the near future. He wants to determine the funds required to keep the company functioning and operating on a monthly basis. What should Dexter calculate to figure out these funds?
The income that Dexter calculate to figure out these funds will be the operating income.
What is an operating income?It should be noted that the operating income simply means the income that's required to the a business daily.
In this case, the income that Dexter calculate to figure out these funds will be the operating income.
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Recall that an exchange rate is the price of one currency in another. For example, it may take US $1.35 to buy 1 British Pound. Also recall the interest rates affect exchange rates. What do you predict will happen to the foreign exchange rate if interest rates in the United States increase more than in the UK? (In other words, which currency will become stronger?) How would such a change affect US exports to the UK? Would it be less expensive for an American tourist to take a vacation to London after the interest rate change? Be sure to clearly explain and justify your reasoning.
Answer:
Exchange Rate and Interest Rate
1. If interest rates in the United States increase more than in the UK, the exchange rate of the US dollars will increase relative to the UK pounds, thus causing the UK pounds to become stronger than the US dollars.
2. US exports to the UK would become cheaper in UK.
3. It would be more expensive for an American tourist to take a vacation to London after the interest rate change because they would need more money to handle the differences.
Explanation:
Generally, higher interest rates in an economy offer investors some higher returns when compared to other countries. These higher interest rates attract foreign capital and cause the exchange rate to rise. When this happens, the cost of goods and services in the country with the higher interest and exchange rates. The opposite becomes the case when the interest and exchange rates are lower relative to other countries.
If interest rates in the United States increase more than in the UK, the United states currency would become stronger or appreciate against the British Pound.
As a result of the increase in the value of the US currency, export to the UK would decline because export would become more expensive. It would be less expensive for American tourist to take a vacation to London.
Exchange rate is the rate at which one currency is exchanged for another currency.
If interest rates in the United States increase more than in the UK, there would be an increase in foreign investments in the US. As a result, the demand for the dollar would increase and this would lead to an appreciation of the dollar against the GBP.
As a result of the appreciation of the dollar, export goods to the UK becomes more expensive and imports to the US from the UK becomes cheaper.
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Axsom Inc. bases its manufacturing overhead budget on budgeted direct labor-hours. The direct labor budget indicates that 1,300 direct labor-hours will be required in March. The variable overhead rate is $8.90 per direct laborhour. The company's budgeted fixed manufacturing overhead is $20,020 per month, which includes depreciation of $2,600. All other fixed manufacturing overhead costs represent current cash flows. The company recomputes its predetermined overhead rate every month. What should be the predetermined overhead rate for March
Answer:
Estimated manufacturing overhead rate= $24.3 per direct labor hour
Explanation:
Giving the following information:
The direct labor budget indicates that 1,300 direct labor-hours will be required in March.
The variable overhead rate is $8.90 per direct labor hour.
The company's budgeted fixed manufacturing overhead is $20,020 per month.
To calculate the estimated manufacturing overhead rate we need to use the following formula:
Estimated manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base
Estimated manufacturing overhead rate= (20,020/1,300) + 8.9
Estimated manufacturing overhead rate= $24.3 per direct labor hour
Answer:
Overhead rate = $15.4 per direct labour hour
Explanation:
The predetermined overhead absorption rate = Estimated overhead for march/ Estimated direct labour hours
= $20,020/ 1,300 hours
= $15.4 per hour
Overhead rate = $15.4 per direct labour hour
Note that deprecation is part of the fixed cost and that the examiner included the additional information about it just to distract the student
write me an assigment about business in a company you made and want to devolp it
The ideas, efforts, and activities that contribute to the improvement of a business can be summed up in the simplest terms as business development.
This entails raising sales, expanding the business, improving profitability through forming strategic alliances, and making strategic business choices. You might also include a few activities from your current position that you love and that help create a positive workplace culture.
For instance, you may mention that you enjoy participating in corporate social responsibility (CSR) projects and that, if they don't currently organize events of this nature, you'd be happy to assist them. A plant that produces toothpaste, for instance, might not view the monthly manufacturing of peppermint toothpaste as a commercial endeavor.
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Based on what Ursula’s seeing on her screen, Bonnie sees some potential red flags. What should Bonnie warn Ursula about?
Because Ursula doesn't understand how checking accounts and checks cashing at Walmart operate, she believes that the only reason she should be paying overdraft penalties is that she consistently spends more money than she has in her account.
What is a checking account?A checking account is a sort of bank account that enables simple deposits and withdrawals of cash for everyday use. For instance, you may use your debit card to withdraw cash, deposit a check you receive, or set up direct deposit to get your paychecks.
A checking account is designed for usage with everyday cash requirements. It serves as a person's main source of funding and allows for the withdrawal of cash for use in paying bills or making purchases.
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You decide to decrease the price of your product to increase total sales revenue, because you believe your product's demand is
A) perfectly inelastic
B) unit elastic
C) price elastic
D) price inelastic
Answer:
C) price elastic.
Explanation:
Pakistan International Airlines is the national flag-carrier of the Islamic Republic of Pakistan. PIA was founded on October 23, 1946 as Orient Airways based in Calcutta (now Kolkata) in British India. In 1955, Orient Airways was nationalized and merged with other airlines to form ‘Pakistan International Airlines.’ In the decades from the 1950s to the 1970s, PIA was ranked amongst the best airlines in the world. This was acclaimed to be the golden era for Pakistan International Airlines when it provided administrative and technical support to many other airlines, including Emirates. Some of the aviation records set by PIA pilots in those days still stand to this day.
Today, PIA is wracked by many administrative and human resource related problems notably corruption, inefficiency, favoritism, nepotism and overstaffing. Safety has also become a major concern after numerous scandals relating to the qualifications of PIA personnel, and the recent crash in Karachi in May, 2020, that killed 97 people.
If you were made the HR manager in PIA, what would you do to improve employee engagement? Be very specific in giving your recommendations. Write 10-15 bullet points.
Answer:
The HR manager in PIA, what would you do to improve employee engagement is explained below in complete details.
Explanation:
Pakistan International Airlines has been an air journey pioneer since 1955. In PIA, workers are regarded as a necessary asset for the company, so their order is a big obstacle for HR administrators. The largest PIA office is that of Engineering and then comes to other branches like IT, marketing, and finance.
Various Employee engagement ways are:
Employees require feedback, and it defines their level of responsibility. Start by managing check-ins for every operator with their supervisor, supporting middle administration in organizing regular evaluation assemblies with their team as a progressive action to enhance employee engagement.
Calculate 's net working capital, current ratio, and debt ratio at 31, , rounding to two decimal places. At 31, , net working capital was , the current ratio was , and the debt ratio was . Did 's ability to pay both current and total debts improve or deteriorate during the fiscal year? Evaluate 's debt position as strong or weak and give your reason.
Question Completion:
The accounts of Granger Services Inc. at January 31, 2016 are listed in alphabetical order:
Accounts payable $12,200
Accounts receivable 17,000
Accumulated depreciation – equipment 6,500
Advertising expense 11,300
Cash 17,400
Common Stock 5,300
Current portion: Long-term note payable 1,900
Depreciation expense – Equipment 1,900
Interest expense 500
Dividends declared 12,500
Equipment 42,000
Long-term note payable 16,000
Other long-term assets 13,700
Prepaid expense 5,900
Retained earnings, Jan 31, 2015 13,300
Salary expense 26,100
Salary payable 3,400
Service Revenue 95,000
Supplies 3,500
Supplies expense 4,600
Unearned Service revenue 2,800
At January 31, 2015, net working capital was $22,600, the current ratio was 1.90, and the debt ratio was 0.15.
Requirements as provided in the question
Answer:
Granger Services Inc.
a. Net Working Capital:
Current Assets - Current Liabilities
= $43,800 - 20,300
= $23,500
b. Current ratio:
Current assets / current liabilities
= $43,800/20,300
= 2.16
c. Debt Ratio:
Total Liabilities/Total Assets * 100
= $36,300/$93,000 * 100
= 0.39 or 39%
d) At January 31, 2016, net working capital was $23,500, the current ratio was 2.16, and the debt ratio was 0.39.
e) Grange's ability to pay both current and total debts improved marginally during the fiscal year with less current liabilities vis-a-vis the current assets and more long-term debts as can be discerned from the current ratio and debt ratio respectively.
f) Grange's debt position became weak in 2016 as its debts can be settled with 39% of the total assets as against 2015's 15%. This implies that whereas, 15% of the assets could settle the debts in 2015, Grange needed 39% of assets to settle debts in 2016. This is a deterioration for a company that does not want to be highly leveraged. Otherwise, it is an improvement in debt leverage.
Explanation:
a) Data and Calculations:
Granger Services Inc. Trial Balance as of January 31, 2016:
Debit Credit
Cash $17,400
Accounts receivable 17,000
Prepaid expense 5,900
Supplies 3,500
Equipment 42,000
Accumulated
depreciation–equipment $6,500
Other long-term assets 13,700
Accounts payable 12,200
Unearned Service revenue 2,800
Salary payable 3,400
Current portion: Long-term note payable 1,900
Long-term note payable 16,000
Common Stock 5,300
Retained earnings, Jan 31, 2015 13,300
Dividends declared 12,500
Service Revenue 95,000
Advertising expense 11,300
Depreciation expense
– Equipment 1,900
Interest expense 500
Salary expense 26,100
Supplies expense 4,600
Total 156,400 156,400
Granger Services Income Statement for the year ended January 31, 2016:
Service Revenue $95,000
Expenses:
Advertising expense 11,300
Depreciation expense
– Equipment 1,900
Interest expense 500
Salary expense 26,100
Supplies expense 4,600 $44,400
Net Income $50,600
Retained earnings, January 31, 2015 13,300
Dividends declared (12,500)
Retained earnings, January 31, 2016 $51,400
Granger Balance Sheet as of January 31, 2016:
Assets:
Current Assets:
Cash $17,400
Accounts receivable 17,000
Prepaid expense 5,900
Supplies 3,500
Total Current Assets $43,800
Long-term Assets:
Equipment 42,000
Accumulated depreciation
– equipment 6,500 35,500
Other long-term assets 13,700
Total long-term assets $49,200
Total assets $93,000
Liabilities + Equity:
Current Liabilities:
Accounts payable $12,200
Unearned Service revenue 2,800
Salary payable 3,400
Current note payable 1,900
Total Current Liabilities $20,300
Long-term note payable 16,000
Common Stock 5,300
Retained earnings 51,400
Total shareholders' equity 56,700
Total Liabilities + Shareholders' Equity $93,000
What is meant by the concept entrepreneur?
Answer: An entrepreneur is someone who has an idea and who works to create a product or service that people will buy, as well as an organization to support that effort.
Explanation: An entrepreneur takes on most of the risk and initiative for their new business, and is often seen as a visionary or innovator.
Which of the following activities would waste the most time?
a. Rich tries to multitask writing a report and reading a memo, and has to re-write the report and
re-read the memo, which takes an hour.
b. During a departmental meeting, Barry and Scott make small talk for twenty minutes while the
other six meeting members sit and listen.
c. Greg asks Tony a question about work and then talks to him for ten minutes about who will
win the game tonight.
d. Barbara composes an e-mail during her thirty minute train ride to work.
Which of the following statements best characterizes how digital Internet-based streaming is trending?
Digital Internet-based streaming services are becoming increasingly popular, but this trend is not expected to last.
Digital Internet-based streaming services have not caught on, and they are expected to eventually disappear entirely.
Digital Internet-based streaming services are not popular now, but they are expected to become popular in the near-future.
Digital Internet-based streaming services are becoming increasingly popular, and this trend is expected to continue.
Answer:
last choice
Explanation:
it is the last choice
Discriminatory impulses in the labor market can emerge at a number of levels:
A. among managers.
B. among workers.
C. among customers.
D. all of the above.
answer my previous question for 50 pt dm me when its done first brainliest gets it.
Match the terms with their correct meanings.
offer
consideration
agency relationship
utility patent
(options to match with above)
a contract between an agent and
the principal
protects machines and industrial
processes
an unambiguous and clear proposal
the part of a contract that carries
the expectations of all parties in
the contract
The Match of the terms with their correct meanings are:
Offer - an unambiguous and clear proposalConsideration - the part of a contract that carries the expectations of all parties in the contractAgency relationship - a contract between an agent and the principalUtility patent - protects machines and industrial processesWhat is the consideration part of a contract?The value that each party brings to a contract is known as consideration. This could be in the form of money or a commitment to carry out a certain deed. A party may be expected to perform an act or refrain from performing an act, depending on the situation.
Therefore, In a principal-agent relationship, one entity formally designates another to act on its behalf. When there is a principle-agent connection, the agent represents the principal and shouldn't have any competing interests when performing the act.
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Write a 1-page memo to the CEO. Include each chart (3) and a paragraph per chart. Each paragraph should explain the story of each visualization and explain why visualizations are important.
STEP 2
Income CATEGORIES PERCENTAGE NUMBER
$100,000 to $124,999 8% 2
$125,000 to $149,999 4% 1
$20,000 to $24,999 4% 1
$25,000 to $34,999 29% 7
$35,000 to $49,999 13% 3
$50,000 to $74,999 17% 4
$75,000 to $99,999 21% 5
Decline to answer 4% 1
24
STEP 3
GENDER PERCENTAGE NUMBER
Female 54% 13
Male 46% 11
24
STEP 4
QUESTION RESPONSES PERCENTAGE NUMBER
0 6% 1
2 11% 2
5 28% 5
6 11% 2
7 17% 3
8 11% 2
9 6% 1
10 11% 2
18
Answer:
[Your Name]
[Your Position]
[Date]
Subject: Insights from our Survey - A Window into the Lives of our Valued Customers
Dear [CEO's Name],
I hope this message finds you well. I wanted to take a moment to share some fascinating insights from the recent survey we conducted among our cherished customer base. To make the data more relatable and easier to grasp, I have transformed the findings into a series of engaging visualizations. These visuals not only bring the data to life but also allow us to truly connect with our customers on a human level. Let's dive into the story behind each visualization and explore why these visual representations are crucial in understanding our customers.
Chart 1: Income Categories - Reflecting the Lives of our Customers
This insightful chart provides a glimpse into the diverse income categories of our survey respondents. As you observe the bars rise and fall, you can visualize the financial landscapes our customers navigate. From the bustling middle-income group, representing 29% of respondents, to the resilient individuals in the $75,000 to $99,999 range, accounting for 21% of participants, we gain an intimate understanding of the financial tapestry that influences their decisions.
By presenting this information in such a humanized manner, we can empathize with the varying needs and aspirations of our customers. This visualization guides us in tailoring our products and services to better address the unique challenges and aspirations of each income segment.
Chart 2: Gender Distribution - Celebrating Diversity and Inclusion
This delightful pie chart celebrates the diversity among our survey participants by highlighting their gender identities. As you glance at the vibrant slices, you witness the vibrant mosaic of our customer base. With 54% of respondents identifying as female and 46% as male, we recognize the importance of inclusivity and strive to ensure our products and services cater to the needs and desires of all genders.
Visualizations like this one allow us to see the human faces behind the data. It reminds us to embrace diversity and equality in our business operations, ensuring that every customer feels heard and valued.
Chart 3: Question Responses - Unveiling Our Customers' Voices
Within this insightful bar chart, we uncover the authentic voices of our customers through their responses to a specific question. The bars rise and fall, revealing the choices they made and their preferences. The most popular response, "5," chosen by 28% of participants, demonstrates the collective sentiment that echoes among our customers. As we observe the varying heights of each bar, we gain a deeper understanding of their thoughts and desires.
Visualizations like this empower us to hear our customers' voices loud and clear. By listening attentively to their responses, we can make informed decisions that resonate with their needs, aspirations, and desires.
In summary, these captivating visualizations humanize our survey data, enabling us to truly connect with our customers and gain invaluable insights. By considering the stories behind each chart, we ensure that our strategies, products, and services align with their lived experiences. Together, we can build lasting relationships, foster inclusivity, and deliver the exceptional experiences our customers deserve.
Thank you for your time and attention. Should you have any questions or require further information, please don't hesitate to reach out.
Warm regards,
[Your Name]
[Your Position]
Explanation:
I wonder why a company would issue new shares if the stocks when their intrinsic value is low.
When there is strong investment demand, the market value is usually higher than the intrinsic value, resulting in possible overvaluation. If there is a lack of investment demand, the company may be undervalued.
What exactly is intrinsic value?An asset's intrinsic value is a measure of its worth. This metric is determined by an objective calculation or a complex financial model. The intrinsic value of an asset differs from its current market price. Comparing it to the current price, on the other hand, can help investors determine whether the asset is undervalued or overvalued.
Cash flow is used in financial analysis to determine the intrinsic, or underlying, value of a company or stock. In option pricing, intrinsic value is defined as the difference between the option's strike price and the current market price of the underlying asset.
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. For fiscal year ending September, 2019, Apple, Inc. had a gross profit margin ratio of 39.3%, a net profit margin ratio of 27.4% and return on investment/assets of 20.7% and the total assets as of the end of the year was $ 338 billion. For the year ending September 2020, Apple reported the following amounts:
Sales $275 billion
Cost of Sales $170 billion
Expenses not including taxes $39 billion
Total Assets at the end of the year $324 billion
Required:
1. Calculate the three profitability ratios for Apple for year ending September 2020.
2. Using those ratios describe the change in profitability for Apple between 2019 and 2020.
3. Indicate how each of the profitability ratios calculated in 2 will be affected by the following independent transactions/changes if they happened during fiscal 2021:
Independent transaction or change in 2021 Gross Profit Margin Ratio Net Profit Margin Ratio Return on Investment/Assets
Apple pays $10 billion in cash for an enormous new manufacturing facility in the United States to avoid tariffs on imported phones
Costs for Apple’s phones stays the same as in 2020 but Apple is forced to reduce the selling price of phones by 10% in 2021 because of competition
Apple cuts its research and development expense by 20% but that does not change its sales or any of their other costs to make their products.
Explanation:
Calculation of profitability ratios for Apple for year ending September 2020:
a. Gross Profit Margin Ratio = (Revenue – Cost of Sales)/Revenue
Gross Profit Margin Ratio = (275 – 170)/275
Gross Profit Margin Ratio = 35.63%
b. Net Profit Margin Ratio = Net Income/Revenue
Net Profit Margin Ratio = (275 – 170 – 39)/275
Net Profit Margin Ratio = 25.45%
c. Return on Investment/Assets = Net Income/Total Assets
Return on Investment/Assets = 57.41 billion/324 billion
Return on Investment/Assets = 17.72%
Analysis of change in profitability for Apple between 2019 and 2020:
Apple’s gross profit margin ratio decreased from 39.3% in 2019 to 35.63% in 2020, indicating that the company was less efficient in controlling the costs associated with its revenue-generating activities.
Similarly, Apple’s net profit margin ratio also decreased from 27.4% in 2019 to 25.45% in 2020, indicating that the company’s profitability decreased, even though it was still making a considerable profit relative to its revenue.
The return on investment/assets ratio decreased from 20.7% in 2019 to 17.72% in 2020, indicating that the company was less efficient in generating profit from its invested assets.
Effects of independent transactions/changes on the profitability ratios:
a. Apple pays $10 billion in cash for an enormous new manufacturing facility in the United States to avoid tariffs on imported phones
The gross profit margin ratio will likely decrease, as the company is spending more on capital assets, which would reduce the revenue available for other purposes.
The net profit margin ratio may also decrease because of increased expenses, which would affect Apple's profitability.
The return on investment/assets ratio may increase or decrease, depending on the success of the new manufacturing facility. If the facility generates significant revenue and profit, it could boost the company's ROI/A. However, if it proves to be a drain on resources, it could negatively impact the ratio.
b. Costs for Apple’s phones stay the same as in 2020, but Apple is forced to reduce the selling price of phones by 10% in 2021 because of competition
The gross profit margin ratio will decrease, as the revenue generated by the sale of iPhones will be reduced.
The net profit margin ratio will also likely decrease because of the reduced revenue.
The return on investment/assets ratio may decrease if the reduced selling price does not generate enough revenue to offset the expenses associated with producing the iPhones.
c. Apple cuts its research and development expense by 20%, but that does not change its sales or any of their other costs to make their products.
The gross profit margin ratio may increase slightly due to the reduction in expenses.
The net profit margin ratio may increase significantly, as the reduction in expenses could significantly improve Apple's profitability.
The return on investment/assets ratio may increase, as the reduction in expenses could improve the company's overall profitability and make it more efficient in generating profits from its invested assets.
HELP ASAP:
In the open market, oil shares are an example of:
A. finance.
B. accounting.
C. a commodity.
D. a security.
Answer:
C. A commodity
Explanation:
On January 1, Gemstone Company obtained a $165,000, 10-year, 7% installment note from Guarantee Bank. Thenote requires annual payments of $23,492, with the first payment occurring on the last day of the fiscal year. The firstpayment consists of interest of $11,550 and principal repayment of $11,942. The journal entry to record the issuance of the installment note for cash on January 1 would include a:_____
Answer:
Credit to notes payable for $165000
Explanation:
Journal entries for issuance of Note Payable :
Cash Account ..... Debit $165000
7% Note payable Accounts .... Credit $165000
Note:
Note payable is a liability so it is credited as on date of issuance.
discuss five engagement-specific controls to be instituted by an audit firm to ensure quality control
Answer:
The quality control policies and procedures applicable to a firm's accounting and auditing practice should encompass the following elements:
Independence, Integrity, and Objectivity.
Personnel Management.
Acceptance and Continuance of Clients and Engagements.
Engagement Performance.
Monitoring.
6. Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be $5.00 per share. The company plows back 50% of its earnings and if the Chief Financial Officer (CFO) estimates that the company's return on equity (ROE) is 16%. Assuming the plowback ratio and the ROE are expected to remain constant forever: Suppose that you are confident that 10% is the required rate of return on the stock. What does the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity? (please give a number) 1 point
10.0000%, market price of $50.00 per share imply about the market's estimate of the company's expected return on equity.
The given amount is;
The market price of $50.00 per share.The company's expected return on equity is 10%.ROE x blowback ratio16.0000% x 50.0000%8.0000%Because the needed rate of return to the stock is 10%, the market's assessment of the company's expected return on equity is greater than that derived using the plowback ratio and the ROE.
As a result, the significance of the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity are the aforementioned.
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Mark Goldsmith's broker has shown him two bonds issued by different companies. Each has a maturity of 4 years, a par value of $1000, and a yield to maturity of 8.70. The first bond is issued by Crabbe Waste Disposal and has a coupon interest rate of %6.315 paid annually. The second bond, issued by Malfoy Enterprises, has a coupon interest rate of 8.90 % paid annually.
a. Calculate the selling price for each of the bonds.
1. Selling Price of Bond 1 issued by Crabbe Waste Disposal = $1031.08
2. Selling Price of Bond 2 issued by Malfoy Enterprises = $1269.50
How can we calculate the selling price (SP) for each bond?Bond 1: Issued by Crabbe Waste Disposal
Coupon Interest Rate (CIR) = 6.315%
Yield to Maturity (YTM) = 8.70%
Maturity (n) = 4 years
Par Value (PV) = $1000
To calculate the selling price of Bond 1, we can use the following formula:
SP = (CIR/100) * PV + [(PV - (CIR/100) * PV) / (1 + YTM/100)^n]
Putting the values:
CIR = 6.315%
PV = $1000
YTM = 8.70%
n = 4 years
SP for Bond 1 = (6.315/100) * 1000 + [(1000 - (6.315/100) * 1000) / (1 + 8.70/100)^4]
SP = $632.36 + $398.72
Selling Price of Bond 1 issued by Crabbe Waste Disposal = $1031.08
Bond 2: Issued by Malfoy Enterprises
Now, let's calculate the selling price for Bond 2 issued by Malfoy Enterprises.
Coupon Interest Rate (CIR) = 8.90%
Yield to Maturity (YTM) = 8.70%
Maturity (n) = 4 years
Par Value (PV) = $1000
Using the same formula as above:
SP = (CIR/100) * PV + [(PV - (CIR/100) * PV) / (1 + YTM/100)^n]
Putting the values:
CIR = 8.90%
PV = $1000
YTM = 8.70%
n = 4 years
SP of Bond 2 = (8.90/100) * 1000 + [(1000 - (8.90/100) * 1000) / (1 + 8.70/100)^4]
SP = $889 + $380.50
Selling Price of Bond 2 issued by Malfoy Enterprises = $1269.50
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Determine the original investment for the following related subsequent cash flows if the internal rate of return (IRR) is 12%.
A :
$17,438.62
B :
$19,975.40
C :
$22,767.86
D :
$21,875.00
Answer:
B : $19,975.40
Explanation:
The computation of the original investment is shown below:
Year Cash flows Discount rate at 12% Present value
1 $10,000 0.8926 $8,928.57
2 $8,500 0.79719 $6,776.15
3 $6,000 0.71178 $4,270.68
Total present value $19,975.40
In the case of IRR, the total of present value would be equivalent to the orginal investment
explain customer relationship management and explain it Associated tools and level of relationship
Answer:
Customer relationship management (CRM) is the combination of practices, strategies and technologies that companies use to manage and analyze customer interactions and data throughout the customer lifecycle. The goal is to improve customer service relationships and assist in customer retention and drive sales growth.
Customer relationship management (CRM) is a tool used to manage all interactions and connections between your company's clients. The goal is simple: develop business relationships so that your firm can grow.
What various forms of customer relationship management exist?CRM programs go into one of four categories: operational, analytical, collaborative, or strategic. Every one is designed to achieve a specific business goal. Many businesses either use a variety of CRM systems or have developed a special CRM solution that combines elements from all the systems.
What are the four components of the customer relationship management process?The four key components of CRM implementation—technology (applications and infrastructure), strategy (business goals and objectives), process (procedures and business regulations), and people—must all be considered (organizational structure, skills, and incentives).
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on july 6,sunland company purchased equipment for $2900 cash. As a result of this transaction
As a result of this transaction, A. Sunland Company's assets increased by $2,900.
What happens when equipment is purchased ?When Sunland Company acquires equipment by paying in full, the value of the company's assets gets boosted by the equivalent amount of the purchase price. The reason behind this is that the company now owns the equipment as one of its valuable possessions. The liabilities and equity of the company remain constant without any alterations.
This transaction results in a $2, 900 increase in the Equipment account and a corresponding decrease in the Cash account. By entering the transaction, the company's assets have been augmented by a sum of $2, 900.
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Options include:
Sunland Company's assets increased by $2900.
Sunland Company's liabilities increased by $2900.
Sunland Company's equity decreased by $2900.
Sunland Company's assets and equity increased by $2900.
Why do you consider performance management issues difficult to handle in the public sector of Ghana as compared to the Private sector? (Provide four (4) reasons) 2. It has been argued that employee probation is poorly managed in most public sector organisations in Ghana. Discuss four (4) reasons
The reasons include the inefficiency of workers, poor attitude to work, and the absence of professional management.
Performance Management simply means when the work of employees is monitored and evaluated. It is important to monitor the work of employees in order to achieve organizational goals.
The reasons why performance management issues are difficult to handle in the public sector of Ghana include the following:
Inefficiency of workersPoor attitude to work Absence of professional management.Wrong hiring of workersCorruption in the public sector.In conclusion, the above reasons make it difficult for performance management issues to be handled.
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Lux Ladies, Inc., is a company that specializes in expensive and unusual gifts for all occasions. It keeps a large file of information on all of its regular customers, including names, addresses, and type of gifts they have ordered in the past, and the size and frequency of their orders. The electronic file which stores this information is a(n)
Select one:
a. spreadsheet.
b. MP3 file.
c. PERT file.
d. database.
Option D. The database is the The electronic file which stores this information for the company Lux Ladies, Inc.
What is a database?A database in computing is a structured collection of data that is electronically accessible and stored. Large databases are housed on computer clusters or cloud storage, whilst small databases can be stored on a file system.
A database is a collection of data that has been organized to make it simple to manage and update. Data records or files containing information, including as sales transactions, customer information, financial data, and product information, are often aggregated and stored in computer databases.
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