Cash equivalents are reported on the balance sheet. Hence, option (d) 'balance sheet' is the correct answer.
Cash equivalents are defined as the total value of cash on hand that contains items that are similar to cash. It means that cash equivalents refer to all those assets that can be easily and readily converted into amounts of cash.
Cash equivalents are current assets of an organization which are always shown on the top line of the balance sheet since the cash equivalents are considered to be extremely liquid assets.
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last year a government official proposed that gasoline price controls be imposed to protect the poor from rising gasoline prices. what problem is likely to result from this proposal? explain.
Many believe that oil company greed is the root of the problem and that price limits enforced by the government will solve it.However, limiting the price of gasoline is a horrible idea.They would harm both consumers and producers by causing shortages and lines.
what problem is likely to result from this proposal? All American drivers are being impacted by the high cost of gas, but low-income households suffer the most.This is because, in comparison to homes with higher incomes, low-income households allocate a larger portion of their budgets to transportation expenses and other necessities like food and electricity. Price limitations have a wide range of negative consequences.By causing shortages, they frequently make consumers wait in line, they frequently cause the quality of goods whose prices are controlled to decline, and they might result in supplier bias.Until the price limitations are lifted, all of those consequences continue. In an effort to slow the rate of inflation, price controls can also be employed to cap price rises.Maximum prices have the potential to lower the cost of food and make it more affordable, but they also carry the risk of reducing supply and creating a scarcity.The price manufacturers get may rise with minimum prices.To learn more about price controls refer
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if the marginal physical product (mpp) is falling, then the group of answer choices marginal cost of each unit of output is rising. total cost of each unit of output is falling. marginal cost of each unit of output is falling. total cost of each unit of output is rising.
If the marginal physical product (MPP) is falling, then the marginal cost of each unit of output is rising.
The marginal sales product is calculated by multiplying the marginal physical product (MPP) of the aid via the marginal sales (MR) generated. The MRP assumes that the prices on different factors continue to be unchanged and enables determining the most useful level of aid.
The marginal made from capital (MPK) is the additional output resulting, ceteris paribus, from the usage of a further unit of physical capital, including machines or homes utilized by companies.
The maximum retail rate is labeled on every product. It is the very best fee decided via the manufacturers for a specific product before the sale in India. Stores can't rate clients more than MRP. The most retail rate published on a product is along with all taxes.
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ms. jackson borrowed $42,000 at 8.75% annual simple interest. if exactly 1 year later she was able to repay the loan without penalty, how much interest would she owe? group of answer choices
$3675
Interest is calculated as follows: $42,000 x 0.0875 x 1 = $3675
Interest due is the sum of money needed to cover a loan's interest expense for the specified time period. When a borrower obtains a loan from a bank, the loan is required to be repaid over time in a series of installments or monthly payments.
How is the interest you owe determined?Subtract the number of payments you'll be making that year from the interest rate. You would divide 0.06 by 12 to get 0.005 if you had a monthly payment schedule and an interest rate of 6%. To calculate the amount of interest you will be required to pay that month, multiply that amount by the outstanding loan balance.
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iddleton company uses the perpetual inventory system. the company purchased an item of inventory for $90 and sold the item to a customer for $150. how will the sale affect the company's inventory acco
The sale affect the company's inventory account and the account will decrease by $130.
What is inventory account?
Inventory accounting is the branch of accounting concerned with the valuation and recording of changes in inventoried assets. The inventory of a business typically includes commodities in three stages of production: raw goods, in-process goods, and finished goods that are ready for sale. Inventory accounting assigns values to each of these three processes and records them as corporate assets. Assets are things that will most likely be valuable to the firm in the future, so they must be precisely valued in order for the organisation to have a precise valuation.
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you are currently thinking abouyt investing in a stock priced at $25.00 per share. the stock recently paid a dividend of $2.50, and its dividend is expected to grow at a rate of 6 percent for the foreseeable future. you normally require a return of 16 percent on stocks of similar risk. is the stock overpriced, underpriced, or correctly priced?
The stock is underpriced.
Underpricing is the act of submitting an initial public offering at a cost that is lower than its market rate. If an additional supply concludes its initial trading day over the set price, it is seen to have been underpriced.
Intrinisic value of the stock = Expected dividend/ ( Return - Growth Rate)
Thus,
Expected dividend = Recent Dividend × / ( 1 + Growth Rate)
= 2.5 × ( 1 + 0.6)
= 2.5 × 1.06
= 2.65
Return = 16%
= 0.16
Growth rate = 6%
= 0.06
Therefore, the Intrinisic value of the stock
= 2.65/ ( 0.16 - 0.06)
= 2.65/ 0.1
= 26.5
Since the actual price of the stock is $25.00 per share, the stock is underpriced.
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true or false? the average level of tariffs on imported products charged by industrialized countries was 40% in 1946. by 1990, after decades of gatt negotiations, it was up to more than 60%.
The statement is false.
This is because the Average industrial products tariffs were lowered through the GATT negotiations from 40% in 1947 to less than 5% in 1993. It was an early step towards economic globalization.
What is GATT?
The GATT (General Agreement on Tariffs and Trade) is an international legal agreement that was created with the aim of promoting trade by lowering or removing trade restrictions like tariffs and quotas.
On 30 October 1947, the General Agreement on Tariffs and Trade (GATT) was signed by 23 nations at "The Palais des Nations" in Geneva.
The General Agreement on tariff and Trade (GATT) is replaced by the WTO, but the General Agreement still exists as the WTO's umbrella treaty for trade in goods, updated as a result of the 'Uruguay Round negotiations'.
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List and explain four costs and risks of holding little inventory
Answer: death and starvation
Explanation:
if you are on little supply that’s not good for the human body. However you will be able to survive about 4 months.
tanner co. manufactures products katra and klare from a joint process. product katra has been allocated $7,500 of total joint costs of $30,000 for the 1,500 units produced. katra can be sold at the split-off point for $4 per unit, or it can be processed further with additional costs of $2,000 and sold for $7 per unit. if katra is processed further and sold, the result would be:
Katra can be sold for $4 per unit at the split-off point or processed further for $2,000 more and sold for $7 per unit. If katra is further processed and sold, the gain from additional processing would be $2,500.
The term "Additional Cost" refers to any additional capital outlay, operating expense, tax obligation, or any combination thereof that the contractor has incurred or will be compelled to incur as a result of the change in the work's scope.
A joint cost is an expense that benefits more than one product and for which the contribution to each product cannot be distinguished. In order to allocate joint expenses to items consistently, the accountant must come up with a technique.
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kayden invests $4100 in two different accounts. the first account paid 3 %, the second account paid 2 % in interest. at the end of the first year he had earned $107 in interest. how much was in each account?
The first account paid of amount $2500 is paid at 3% and the second account paid of amount $1600 is paid at 2%.
Let $x in first account and $y in second account
⇒ x + y = 4100 → eq1
and Interest earned = $107
∴ ( 3% of x ) + ( 2% of y ) = 107
⇒ 0.03 x + 0.02 y = 107 → 2
Multiply eq1 by 0.03 and subtract it from eq2, we get
( 0.03 x + 0.02 y ) - 0.03 ( x + y ) = 107 - 0.03 × 4100
⇒ 0.02 y - 0.03 y = 107 - 123
⇒ - 0.01 y = - 16
⇒ y = -16/-0.01
⇒ y = 1600
∴ x + 1600 = 4100 ⇒ 2500
Thus, $2500 at 3%
$1600 at 2%
Interest is the cost of borrowing money and is typically stated as a percentage, such an annual percentage rate (APR).Lenders may charge interest for the use of their money, or borrowers may charge interest for the use of those funds.Simple interest (based on the principle amount) or compound interest are two common definitions of interest (based on principal and previously-earned interest).Interest is frequently linked to credit cards, mortgages, auto loans, personal loans, savings accounts, or fines.The macroeconomic policies set by the Federal Reserve's Federal funds rate heavily influence interest rates.Learn more about Interest, here
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which one of the following insurance policy provisions requires the insured to pay for part of the loss if the property is not insured for the specified percentage of replacement value? group of answer choices personal property floater an endorsement coinsurance clause umbrella coverage assigned risk clause
Coinsurance clauses in insurance policies require the insured to cover a portion of the loss if the property is not covered for the required percentage of replacement value.
Coinsurance clause: what is it?Coinsurance is a term used in insurance contracts by insurance providers for building-related property insurance policies. This provision guarantees that policyholders insure their assets for a reasonable amount and that the insurer is paid a reasonable premium for the risk.
The common way to express coinsurance is as a percentage. The majority of coinsurance clauses demand that policyholders insure a property for 80, 90, or 100% of its actual value.
For instance, a $1,000,000 replacement value building with a 90% coinsurance clause must have a minimum of $900,000 in insurance coverage. An 80% coinsurance clause on the same building necessitates insurance coverage of at least $800,000.
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during the current year, barry (single taxpayer) has taxable income of $60,000. of that amount, $10,000 is long-term capital gain. how will barry calculate the tax on his income?
Considering the above situation of Barry and taxation policy, Barry will calculate his tax on his income by using the tax rate schedule.
What is Tax Rate Schedule?Tax Rate Schedule is a term that is used to describe the rates at which individuals' income is taxable according to their income level and filing status.
Different types of Tax Rate Schedules
As of 2022, the current American tax system policy has various Tax Rate Schedule which includes the following:
10 percent12 percent22 percent24 percent32 percent35 percent 37 percentEach of these percentages varies depending on the category of taxpayers. These categories include the following:
Single filersMarried, filing jointlyMarried filing separatelyHead of the HouseholdUsually, the percentages and income brackets can change from one year to another.
Given their situation of Barry, calculating the tax on his income will be as follows:
Utilizing the tax rate schedule, Barry will have 50,000; then multiply the 10,000 by 15%, and then add the two amounts.
Hence, in this case, it is concluded that the correct answer is using the tax rate schedule.
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magine a north carolina farmer has two parcels of land that have low soil quality. the farmer has decided to pull these parcels out of production for the next 10 years so that the soil can repair itself. just as the farmer makes this decision, the federal government introduced a new conservation program that pays farmers to temporarily retire farmland over a 10-year period. the farmer jumps at this program because he gets paid to do something that s/he would have done regardless of the subsidy program. this type of scenario raises the question of because it is not clear the agricultural subsidy is paying for anything above and beyond what the farmer would have done otherwise. select one: a. leakage. b. additionality. c. slippage. d. permanence.
The agricultural subsidy is paying for anything above and beyond what the farmer would have done otherwise - permanence
What is Agriculture?
Agriculture, sometimes known as farming, is the cultivation of plants and cattle. Agriculture was an important development inside the rise of sedentary civilization, as it produced food surpluses that allowed people to move to cities. Agriculture has been around for thousands of years. Beginning at about 105,000 years ago, nascent farmers started to sow wild grains around 11,500 years ago. Domestication of pigs, sheep, goats, or cattle began over 10,000 years ago. Plants were grown independently in at least 11 different parts of the world. In the twentieth century, factory farming based on massive monoculture grew to predominate agricultural output, despite the fact that approximately 2 billion people still relied on subsistence agriculture.
It is the act of trading anything with a different actual worth than the market value in order to make money. The state of remaining constant is known as permanence, whereas the state of interveining is known as additionality. These options do not correspond to the provided situation.
Therefore, the correct option is D
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A toy maker is running a television advertisement for its new Super Soaker water gun. What kind of advertising would this be an example of?
institutional advertising
product advertising
word of mouth advertising
social media advertising
Product advertising is the kind of advertising would this be an example of. Hence, option B is correct.
What is Product advertising?Product advertising is advertising for particular products as opposed to brand advertising. These advertisements place more emphasis on selling products based on their features and advantages than on building brand awareness or brand reputation.
The three types of product advertising are comparative, competitive, and innovative. Enlarge your clientele. raise brand and company recognition among consumers. Highlight the benefits of your products or services. Give information about your business.
Products advertising is a type of sponsored communication in which a company communicates with clients through a communication channel in an effort to persuade them to purchase its goods.
Thus, option B is correct.
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which theory of corporate social responsibility says that an organization should be run with the best interests of anyone who can benefit from the organization in mind?
Stakeholder theory of corporate social responsibility says that an organization should be run with the best interests of anyone who can benefit from the organization in mind.
What is theory of corporate social responsibility saying an organization should be run with the best interests?The relation between business and customer best explained on the basis of capitalism.Stakeholder theory basically focuses on the deal that the company's leader must take all responsibilities for company's stakeholders.Here the question is asked about the theory of corporate social responsibility that an organization should be run.Stakeholder theory best explains the theory of corporate social responsibility.Stakeholders include employees, shareholders, customers, and supplies.To know more about corporate social visit:
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What is a technique where a business offers a free basic product giving the customer an option to use an advanced version for a premium cost?.
Freemium is a term used to describe a business model whereby corporations offer their service or physical product platform for free, with the opportunity to upgrade to a greater level of capability at a steep cost.
This strategy succeeds because buyers are drawn to the free product, familiarize themselves with it, and then become resistant to switch to a competing product.
Businesses that employ the freemium pricing model provide a basic product without charge and an improved version with more features, services, or content in exchange for a price. Due to a dearth of features, the enhanced version can also be regarded as premium.
Best for items having broad consumer appeal and a logical transition from "free" to "premium." Freemium conversion rates typically range from 2 to 5%, thus a business needs a sizable user base and a strong conversion plan.
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the process of determining an organization's basic mission and long-term objectives and then implementing a plan of action for pursuing this missionand attaining these objectives is known as
Strategic management, then, is the process of carrying out a plan to achieve these kinds of goals.
The process of identifying an organization's long-term mission and objective is known as strategic management. It essentially consists of organizing the analyses, administration, and planning necessary to achieve the main goal.
The main focus of strategic management is on developing plans of action that managers may employ to effectively accomplish their objectives.
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\the campaign the brownstein group created for its client provided awareness and knowledge of the new product. this is an example of the model. a. hierarchy of effects b. advertising campaign c. carryover effects d. means-end chain
This campaign is an example of the model is carryover effects.
What is carryover effect?The transfer of undesired substance from one container or combination to another is referred to in clinical chemistry as the "carryover effect." The impact of one sample on a subsequent one is described. It might have come from a sample, reagent, or even the washing media. The importance of carry over is that even a tiny amount might produce inaccurate findings.
For clinical chemistry and immunochemistry analyzers, carryover experiments are frequently performed to assess and validate carryover effects. An automated analyzer's pipetting and washing systems are built to alternate between aspirating patient specimens and cleaning in a continuous cycle.
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In an open economy, what is the source of supply of dollars in the foreign-currency exchange market?.
In an open economy, the source of supply of dollars in the foreign-currency exchange market is via net capital outflow.
Rather, the level of the net capital surge is decided by the genuinely intrigued rate within the advertisement for loanable funds. Net capital outpouring is additionally known as a net remote venture, or the sum a nation contributes abroad.
The distinction between the esteem of outside resources bought by household inhabitants and household resources bought by worldwide substances speaks to net capital surge. In an open economy, the resources can be purchased and offered within the budgetary advertise.
Net capital outflow is the net stream of reserves being contributed overseas by a nation over a certain period. Net capital outflow alludes to the buying of remote resources by household inhabitants short the buying of residential resources by foreigners.
The NCO bend gets a negative incline in the market since an expanded intrigued rate locally implies a motivating force for savers to spare more at domestic and less overseas.
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what is the optimal pigouvian tax to address the externality? b) after the tax in (a) is imposed, what are the levels of cs, ps, environmental damage, and tax revenue?
At the quantity of pollution that is socially optimal, the optimal Pigouvian tax is equal to the marginal social cost of pollution.
How does a Pigouvian tax resolve the issue of externality?
Pigouvian taxes are primarily used to combat market inefficiencies by raising the marginal private cost by the negative externality's generated amount. The total social cost of the economic activity will be reflected in the final cost (original cost minus tax).
To deal with a positive externality, what is the pigovian solution?
A pigouvian subsidy is one that is used to encourage behavior that benefits society as a whole or other people who are not involved. Positive externalities are behaviors or actions that benefit people who are not involved in the transaction.
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granite stone creamery sold ice cream equipment for $13,600. granite stone originally purchased the equipment for $84,000, and depreciation through the date of sale totaled $68,000. what was the gain or loss on the sale of the equipment?
Ice cream-making supplies were sold by granite stone creamery for $13,600. Granite Stone paid $84,000 for the equipment initially, and $68,000 in depreciation up until the date of sale., then $3,400 was lost when the equipment was sold.
We first determine the equipment's book value.
Asset cost: $84,000
Depreciation over time equals $68,000.
Cost of the asset - accumulated depreciation is a formula for book value,
$84,000 - $68,000= $16,000
Therefore, Gain or Loss on the Asset: Equipment Sale Value = $13,600
The equipment has a book value of $16,000.
Equipment loss = sale value - book value,
$13,600 -$16,000 = - $3,400. Here, a -ve sign indicates a loss
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which of the following statements is false regarding credit risk analysis? a comprehensive credit risk analysis involves evaluating and summarizing the various individual risks associated with a loan. credit risk is not affected by the aggressive application of accounting standards since cash flows are not impacted by financial reporting choices. a simple alternative to credit risk analysis is to rely on credit reports issued by third parties. certain financial statement ratios are very useful in predicting loan default.
Certain financial statement ratios are very useful in predicting loan default is false regarding credit risk analysis.
So, the correct option is D.
Before extending trade credit, you should perform a credit risk analysis to determine the likelihood that a customer will miss a payment. Understanding a customer's history of on-time payments and the ability to do so in the future can help you assess their creditworthiness. Traditional credit analyses follow a precise process that includes three crucial steps: gathering information; carefully examining this information, and making decisions.
Credit analysis assesses the riskiness of debt instruments issued by businesses or other organizations to determine the capacity of the company to fulfill its commitments. With regard to investing in that specific firm, the credit analysis aims to determine the right amount of default risk.
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if a foreign trade policy of a country states that multinational companies can enter its market only by merging with a local business partner, this would represent which environmental force?
If a foreign trade policy of a country states that multinational companies can enter its market only by merging with a local business partner, this would represent political environmental force.
New players (businesses needing foreign intermediaries for their production processes) are joining traditional free trade enthusiasts (exporters wanting market access in foreign countries) in their lobbying efforts for trade liberalization. Due to their significant engagement in global commerce and wealth of resources that may be used to influence political legislators, multinational companies (MNCs) play a significant role in this new alliance.
A framework for growing exports of products and services, creating jobs, and raising value addition inside the nation is provided by the foreign trade policy. It aims to promote both the manufacturing and services sectors, with a focus on enhancing business accessibility. As a result, multinational companies actively shape the intricate interdependencies that define the current global political economy.
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an assembly line requires two components: gadjits and widjits. gadjits are produced by center 1 and widjits are produced by center 2. each unit of the end item, called a jit-together, requires 3 gadjits and 2 widjits. the daily production quota on the assembly line is 900 jit-togethers. the container for gadjits holds 90 units. the policy variable for center 1 is set at 0.04. the average waiting time for a container of gadjits is 0.07 day, and 0.07 day is needed to produce a container. the container for widjits holds 50 units, and the policy variable for center 2 is 0.07. the average waiting time per container of widjits is 0.12 day, and the time required to process a container is 0.26 day. how many containers are needed for gadjits? and how many containers are needed for widjits?
Policy variable - For (A) we need 5 containers and for (B) 15 containers are needed for gadjits and widjits.
Now, we can use the formula for N to answer a. and b.
A) N = 850*3*(0.08+0.05)*(1+0.05)/75 = 4.64 or 5 containers (round to next whole number)
B) N = 850*2*(0.15+0.19)*(1+0.09)/45 = 14.00044 or 15 containers (round to next whole number)
What is Policy variable?
A policy variable is the variable that, in theory, might be fixed as an independent factor by a policymaking actor (the government), but is instead set based on known economic conditions. The best-known example under existing institutional structures is the brief policy rate. A central bank might set the policy rate at the a fixed value (e.g., 0%) in perpetuity, but the common practise is for a committee to decide the rate at periodic meetings. (There were historical instances when policy rates were practically fixed, notably as during and soon after World War II in the United States.) It should be noted that even when the policy rate is fixed, there could be risk-free products traded whose interest rates deviate from those targets.
Number of containers = N = D*T*(1+A)/C
Here,
D = demand. Given that total demand is 850. The demand for gadjits is 850*3 and widjits is 850*2
T = cycle time. The cycle time for gadjits is 0.08 + 0.05 day. Similarly the cycle time for widjits is 0.15 + 0.19 day.
A = allowance for error. In this case gadjits has policy allowance of 0.05 and widjit has 0.09
C = capacity. The capacity for gadjits is 75 units and for widjits is 45 units
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3. bob owns a 2-acre parcel of land. he purchased 5 years ago to build his vacation cottage home when he retires next year. earlier this year the city of wander in an effort to control the rapid growth of the community and to maintain the country setting of the neighborhoods amended its existing zoning ordinance to limit the size of buildable lots to 4 acres. however, the ordinance did not modify the existing permission to place any size of rv or other mobile structure on city lands. bob filed for an application for a building permit with the city when he was told his request was denied due to the zoning requirements. bob contents that the zoning ordinance constitutes a deprivation of property without due process of law? is he correct? why or why not? please briefly explain your answers.
No. In this case, Bob is incorrect. The zoning ordinance does not constitute property deprivation without a proper legal process.
What is zoning ordinance?
A zoning ordinance, that also specifies the land use of build strong and even individual lots within a city block, is typically used to develop zoning regulations. Zoning regulations include lot size, density as well as bulk, tallness, and floor area ratio requirements (FAR). The zoning ordinance formalises the land-use policies that apply to land within a municipal government. It also establishes the legal framework. The zoning ordinance defines permitted land uses and differentiates between different types of land uses. It also guarantees that incompatible land use of are not located next to each other.
No. In this case, Bob is incorrect. The zoning ordinance does not constitute property deprivation without a proper legal process. The amended ordinance limits buildable lots to 4 hectares, but Bob only owns 2 acres of parcel land. On city property, any size RV or other portable structure is permitted. The city has the right to implement zoning laws and to amend them for the betterment of the community as long as it does not infringe on his freedom.
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if a large proportion of customers in a total market have similar product needs and the company has the resources to develop a marketing mix to satisfy them, which targeting strategy would be effective?
A homogeneous market is one in which a significant part of consumers have comparable wants for a given good. Hence, Option C is correct.
What is the meaning of want?An item that is sought is referred to as a want in economics. Everyone is considered to have infinite needs but finite resources. The foundation of economics is the idea that we have access to a finite number of resources. As a result, people are limited in what they may obtain and must search for the least expensive options.
whether the company has the means to create a marketing mix that will satisfy a sizable number of the market's customers who have similar product wants. It would be wise to use homogeneous targeting.
Therefore, Option C is correct.
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The complete Question has been attached in text form:
If a large proportion of customers in a total market have similar product needs and the company has the resources to develop a marketing mix to satisfy them, which targeting strategy would be effective?
a) undifferentiated
b) heterogeneous
c) homogenous
d) differentiated
e) concentrated
henry, inc., bought a $500,000 building by making a $100,000 cash down payment and issuing a $400,000 long-term note. which immediate effect(s) did this transaction have on the accounting equation? (select all that apply).
The amount owed by the company is recorded in categories in the books called liability accounts. A credit to a liability account indicates that the firm owes more money, and a debit to a liability account indicates that the business owes less money (i.e. increases the liability).
The Buildings Account: What is it?Buildings is a fixed asset account that holds the carrying value of the structures that an entity owns. The carrying amount is equal to the initial purchase price less any asset impairments and later capitalized additions, plus the original purchase price.
What does a drop in money mean?Payment of sums owing for previous transactions or events to a company's vendors, banking institutions, or the government reduces cash. A monthly electricity bill, for example, or a 30-year mortgage payment are examples of short-term liabilities.
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________ flows are the physical products, raw materials, supplies, and so forth that flow along the chain.
Material flows involve the flow of raw materials, physical products, supplies, and so forth along the supply chain.
In the supply chain, material flows handle the flow of all physical products from the distributor all the way down to delivering to the consumers. Typically, the flow of material usually starts with the raw material distributor to manufacturers to warehouses, and delivery to the final consumer.
Material flow is unidirectional as it usually flows in one direction, that is from distributor to consumer. However, on certain occasions, when a product is returned from the consumer, material flows go in another direction; as the concerns relating to customer returns and service needs are also part of material flows.
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a company acquires equipment for $50,000 and expects to use the equipment for 5 years. salvage value at the end is expected to be $10,000. the amount of annual depreciation by the straight-line method is $
The amount of annual depreciation by the straight-line method is $8000.
What is annual depreciation?Annual depreciation is described as the rate at which an asset or equipment loses its value after it is purchased and used. It is important to mention that the fixed asset loses its value and the depreciation takes annually. It can also be highlighted that any asset can lose its value especially when it undergoes wear and tear, and due to its usage, it loses its original value.
Given that,
Cost of the equipment = $50,000
Salvage value = $10,000
Useful life = 5 years
As per the formula of annual depreciation by the straight-line method,
Annual depreciation = (cost of the equipment - salvage value)/life = (50,000 -10,000)/5 = 40,000/5 = $8000
It can be concluded that the amount of annual depreciation by the straight-line method is $8000.
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the following information was drawn from the year 1 accounting records of ozark merchandisers: inventory that had cost $20,400 was sold for $36,720 under terms 2/20, net/30. customers returned merchandise to ozark five days after the purchase. the merchandise had been sold for a price of $1,254. the merchandise had cost ozark $760. all customers paid their accounts within the discount period. selling and administrative expenses amounted to $3,672. interest expense paid amounted to $290. land that had cost $6,900 was sold for $8,625 cash. required a. determine the amount of net sales. b. prepare a multistep income statement. c. where would the interest expense be shown on the statement of cash flows? d. how would the sale of the land be shown on the statement of cash flows?
C) Interest expense should under Cash flow from operating activities
D) Sale of land shown in Cash flow from investing activities $8625
What is Cash flow?
Cash flow refers to the quantity of cash or money that a corporation gets or expends as payment(s) to creditors. Cash flow analysis is frequently used to assess a company's liquidity condition. It provides a depiction of the amount of cash going into the business, where it is coming from, and how much is leaving. As previously stated, cash flows can be either positive or negative. It is computed by deducting the cash amount at the start of a period, also known as the opening balance, from the cash position at the conclusion of the period (which could be a month, quarter, or year), also known as the closing balance.
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gladstone company has expected sales of $352,000 for the upcoming month and its monthly break-even sales are $332,500. what is the margin of safety as a percent of sales?
The safety margin as a share of sales is 5.54%.
The break-even point amount is deducted from the actual or projected sales, and the result is divided by sales; the result is stated as a percentage in accounting.
What percentage is a good margin of safety?The vast majority of value investors often won't buy a security unless the MOS is estimated to be between 20 and 30 percent. The investor will only buy a security if the current share price is 20% less than the intrinsic value determined by their valuation if the hurdle is set at 20%.The margin of safety will be determined as a percentage of sales as follows: (expected sales - break even sales) / anticipated sales = ($352000 - $332500) / $352000 = $19500 / $352000 = 0.0554 = 5.54%The margin of safety demonstrates the amount that sales can decline before a company experiences a loss. Profit, regardless of break-even point, simply indicates how much loss or income was produced during the accounting period.To learn more about margin of safety refer to:
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