$4000 loan made at 7.75% is to be repaid in three equal payments, due 30, 90 and 150 days, respectively, after the date of the loan. Determine the size of the payments. Q5) Sarah has a saving account that pays 2.5% Daily interest. On June 1, the balance in her account was $2252.68. On June 7 she deposited $500, she deposited another $700 on June 18, and then withdrew $2400 on June 27. Calculate the interest she will receive for the month of June. 100%

Answers

Answer 1

Sarah will receive $20.21 as interest for the month of June.

To calculate the interest Sarah will receive for the month of June, we need to determine the daily interest earned on her account and then sum up the interest for the days her balance remained in the account.

Given:

- Daily interest rate: 2.5%

- Initial balance on June 1: $2252.68

- Deposit on June 7: $500

- Deposit on June 18: $700

- Withdrawal on June 27: $2400

Step 1: Calculate the interest-earning period

The interest-earning period is from June 1 to June 30, a total of 30 days.

Step 2: Calculate the daily interest rate

The daily interest rate can be found by dividing the annual interest rate by 365 (the number of days in a year).

Daily interest rate = 2.5% / 365 = 0.0068493

Step 3: Calculate the daily interest earned

To calculate the daily interest earned, multiply the daily interest rate by the account balance for each day.

June 1: $2252.68 * 0.0068493 = $15.41 (interest earned on June 1)

Step 4: Calculate the total interest earned

To calculate the total interest earned, sum up the daily interest for the days the balance remained in the account.

Total interest = $15.41 (June 1) + $0 (June 2-6) + $0 (June 7-17) + $4.80 (June 18-26) + $0 (June 27-30)

Total interest = $20.21

Therefore, Sarah will receive $20.21 as interest for the month of June.

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Related Questions

You are given an M/M/1 queueing system in which the expected waiting time and expected number in the system are 120 minutes and 8 customers, respectively. Using one hour as the unit of time determine the A. average expected customer's arrival rate, 1, B. average service rate C. the utilization factor p of the system.

Answers

The utilization factor (p) of the system is 0.264.

Given information: Expected waiting time (W) = 120 minutes

Expected number of customers (L) = 8 customers

λ (arrival rate) = ? μ (service rate) = ? Utilization factor (p) = ?

The formulae required to solve this problem are:

W = L/λ(μ - λ)p = λ/μ

where,

W: Expected waiting time L: Expected number of customers λ: Average arrival rate μ: Average service rate p: Utilization factor(A)

The average expected customer's arrival rate is

λ = L/Wλ = 8/120 = 1/15 customers per minute

λ = 1/15 × 60 = 4 customers per hour

Therefore, the average expected customer's arrival rate is 4 customers per hour.

(B) The average service rate is

μ = λ(W + 1)μ = λ(W + 1)/L

where W + 1 = expected time in the system= expected waiting time + expected service time= W + 1/μμ = λ(W + 1)/Lμ = λ(W + 1)/8μ = λ(120 + 1)/8μ = λ × 15.125

Therefore, the average service rate is 15.125 customers per hour.

(C) The utilization factor (p) of the system is p = λ/μp = 4/15.125

p = 0.264

Therefore, the utilization factor (p) of the system is 0.264.

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economic profit differs from accounting profits because of its inclusion of

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implicit costs, also known as opportunity costs. Accounting profit only takes into account explicit costs, such as wages, rent, and materials used in production.

Implicit costs are the opportunity costs of using resources for one purpose rather than another, such as the forgone income that could have been earned from an alternative use of capital or labor. Economic profit is calculated by subtracting both implicit and explicit costs from total revenue, whereas accounting profit is calculated by subtracting only explicit costs from total revenue. As a result, economic profit is generally lower than accounting profit.

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In the 1986 Uruguay Round, GATT negotiations extended global trading rules to cover Multiple Choice foreign property. trade in services. franchise and license agreements. intellectual property.

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In the 1986 Uruguay Round, the General Agreement on Tariffs and Trade (GATT) negotiations were aimed at extending global trading rules to cover a range of different areas.

One of the areas that came under consideration was intellectual property. This was a significant development, as it marked the first time that trade rules were applied to non-tangible goods. The inclusion of intellectual property in global trade rules helped to provide greater protection for creators and inventors, as well as facilitating the transfer of technology and ideas between countries. Other areas that were covered in the Uruguay Round included trade in services, franchise and license agreements, and foreign property. Together, these developments helped to pave the way for a more integrated global economy, and set the stage for future negotiations aimed at liberalizing international trade and investment.

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The risk free interest rate is 5%. Bearcat Corporation shares have an expected return of 9% and a standard deviation of 12%. Your portfolio consists of $100 invested in the risk free asset and $300 invested in Bearcat shares. What is the standard deviation of your portfolio? a. 9% b. 8% c. 7%
d. none of the choices

Answers

The standard deviation of the portfolio is approximately 8%, which is answer choice b.

To calculate the standard deviation of the portfolio, we need to use the formula: σ(p) = sqrt [w(rf)² + w(Bearcat)²σ(Bearcat)² + 2w(rf)w(Bearcat)Cov(rf, Bearcat)] Where: w(rf) = weight of the risk-free asset in the portfolio = 100 / (100+300) = 0.25 w(Bearcat) = weight of Bearcat shares in the portfolio = 300 / (100+300) = 0.75 σ(Bearcat) = standard deviation of Bearcat shares = 12% Cov(rf, Bearcat) = covariance between the risk-free asset and Bearcat shares = 0 (since they are not correlated)
Plugging in these values, we get: σ(p) = sqrt [0.25²(0) + 0.75²(0.12²) + 2(0.25)(0.75)(0)] = sqrt [0.0072] = 0.085 or 8.5% Therefore, the standard deviation of the portfolio is approximately 8%, which is answer choice b.

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1. St. Catherine’s Health System (SCHS) reported the following end of year account balances as of December 31, 2019:
Assets
Cash and temporary investments $300,000
Accounts receivables $2,500,000
Inventory $205,000
Plant and equipment $5,800,000
Accumulated depreciation $312,000
Liabilities
Accounts payable $230,000
Short-term notes payable $30,000
Long-term debt payable $400,000
Net Assets/Equity
Unrestricted assets $7,632,800
Other assets $200
For each of the following 2020 financial transactions, describe the dual entry accounting changes that would result (see first transaction for an example):
a. SCHS collected $2,000,000 in cash from outstanding accounts receivables
- Accounts receivables decreases by $2,000,000
- Cash and temporary investments increase by $2,000,000
b. SCHS purchased $2,000,000 of inventory on credit
c. SCHS provided $9,100,000 of patient services on credit (i.e. billed to insurance companies)
d. SCHS paid $4,660,000 for labor expenses in cash
e. SCHS used $1,930,000 of supplies from its existing inventory to provide patient care services
f. SCHS paid $45,000 in cash on its short-term notes payable
g. SCHS issued $3,800,000 in long-term debt to raise capital for future growth investments
h. SCHS purchased $3,000,000 in new equipment using a short-term note payable
i. SCHS incurred an annual depreciation expense of $95,000
2. Brandywine Homecare, a not-for-profit business, had revenues of $12,000,000 in
2018. Total expenses, less depreciation, was 75% of revenues, and depreciation
expense was $1,500,000. All revenues were collected in cash during 2018 and all expenses except depreciation were also paid in cash during 2018.
a. Construct Brandywine’s 2018 income statement
b. What were Brandywine’s net income and estimate of cash flow during 2018?
c. Suppose that Brandywine’s depreciation expense was doubled for the year. How would such a change affect Brandywine’s net income and estimate of cash flow for 2018?
d. If Brandywine were a for-profit business (instead of not-for-profit) and paid taxes of 40% on its reported net income, how would such a change affect the company’s reported net income and/or cash flow?
3. Great Forks Hospital reported net income of $2,400,000 on total revenue of $30,000,000 for 2018. Depreciation expense totaled $1,000,000 for the year.
a. What were total expenses for 2018?
b. What were total cash expenses for 2018? (assume all expenses except for depreciation were cash expenses)
c. What was the hospital’s estimated cash flow for 2018?

Answers

St. Catherine’s Health System (SCHS) reported the following end of year account balances as of December 31, 2019-

For each of the following 2020 financial transactions, describe the dual entry accounting changes that would result (see first transaction for an example): a. SCHS collected $2,000,000 in cash from outstanding accounts receivables - Accounts receivables decreases by $2,000,000 - Cash and temporary investments increase by $2,000,000 b. SCHS purchased $2,000,000 of inventory on credit c. SCHS provided $9,100,000 of patient services on credit (i.e. billed to insurance companies) d. SCHS paid $4,660,000 for labor expenses in cash e. SCHS used $1,930,000 of supplies from its existing inventory to provide patient care services.

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I need only the answers, no explanation please
Section A (40 marks) 1. Which is the correct match of an economic resource and payment for that resource? (a) land and wage (b) labour and interest income (c) capital and rental income (d) entrepreneu

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The correct match of an economic resource and payment for that resource is option (c) capital and rental income.

Option (c) is the correct match as capital refers to assets such as machinery, buildings, and equipment that are used in the production of goods and services, and the payment for capital is in the form of rental income.

Land is often paid for in rent as well, but it is a natural resource and not a produced asset like capital.

Labour is paid in wages and salaries, while entrepreneurship is paid in profit. Therefore, the correct match is capital and rental income.

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Intro LightWorks Inc. has a cost of equity of 8%. The firm will pay an annual dividend of $2.3 in one year and its dividends had been expected to grow by 6% per year thereafter. You just heard on the news that LightWorks has changed its growth forecasts and now expects its dividend to grow by 4% per year forever after the first year. What is the change in the intrinsic value of LightWorks (in $)? If you tried to sell LightWorks stock immediately after the news broadcast, what price would you most probably get? 0+ decimals Submit

Answers

The change in the intrinsic value of LightWorks is -$57.5.    

To calculate the change in the intrinsic value of LightWorks due to the change in dividend growth forecasts, we need to compare the intrinsic value before and after the news.

Let's break down the information given:

Cost of equity = 8%

Annual dividend in one year = $2.3

Dividend growth rate before the news = 6%

Dividend growth rate after the first year (revised) = 4%

Using the Gordon Growth Model, the intrinsic value of a stock can be calculated as the present value of its future dividends. The formula is as follows:

Intrinsic Value = Dividend / (Cost of Equity - Dividend Growth Rate)

Before the news, the dividend growth rate was expected to be 6%:

Intrinsic Value Before = $2.3 / (0.08 - 0.06)

Intrinsic Value Before = $2.3 / 0.02

Intrinsic Value Before = $115

After the news, the dividend growth rate is revised to 4%:

Intrinsic Value After = $2.3 / (0.08 - 0.04)

Intrinsic Value After = $2.3 / 0.04

Intrinsic Value After = $57.5

The change in intrinsic value can be calculated as the difference between the values before and after the news:

Change in Intrinsic Value = Intrinsic Value After - Intrinsic Value Before

Change in Intrinsic Value = $57.5 - $115

Change in Intrinsic Value = -$57.5

The change in the intrinsic value of LightWorks is -$57.5.

If you tried to sell LightWorks stock immediately after the news broadcast, the price you would most probably get is the market price, which is influenced by various factors such as market sentiment, supply and demand dynamics, and investor reactions. Therefore, the actual price you would get may not precisely reflect the change in intrinsic value.

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please answer both questions and it should be of 250 words. write answer according to leadership perspective.
Ideas that should be explored in the journal are: • Your definition of leadership and how that contributes to and/or disrupts team excellence. The complexities of team processes, team leadership, coaching and mentoring. Consider what makes a team leader great and how this can be achieved on a daily basis. The reflection questions found in the textbook chapter summaries are a good starting point. however, your journal entries should reflect on the entirety of the course content group discussions, and your own insights into leadership and team bullding. The typical final word count for each journal entry is 250 words.

Answers

Team processes refer to the way in which teams operate and the procedures they follow in order to achieve their objectives.

Team leadership, on the other hand, refers to the abilities of the individual or individuals in charge of a team to motivate, guide, and direct them towards achieving their goals. Coaching and mentoring refer to the act of providing guidance and advice to team members in order to help them grow and develop.

The complexities of team processes can be attributed to a number of factors.

Firstly, teams are composed of individuals, each with their own strengths and weaknesses. This means that there will inevitably be conflicts and disagreements, and that team members will need to learn how to work together effectively.

Secondly, team processes are often dependent on external factors such as the organization's culture, the team's budget, and the availability of resources. This means that team leaders must be able to adapt to changing circumstances and make decisions that are in the best interests of the team and the organization as a whole.

Thirdly, team processes are often complex because they involve a wide range of stakeholders, including customers, suppliers, and other external partners. This means that team leaders must be able to build strong relationships with these stakeholders and manage their expectations in order to ensure that the team can deliver on its promises.

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To balance supply and demand at the aggregate level, you have two options: capacity-focused tools and demand-focused tools. Which of the following is NOT a demand-focused tool?
Price
Subcontracting
Lead time
Inventory

Answers

In order to balance supply and demand at the aggregate level, two options are available: capacity-focused tools and demand-focused tools. Inventory, subcontracting, and lead time are all demand-focused tools. The correct answer is Price.

Price is not a demand-focused tool; instead, it is a capacity-focused tool. Companies may have several tools available to help them balance supply and demand at the aggregate level. They can be divided into two categories: capacity-focused and demand-focused tools. Demand-focused tools are ones that focus on demand and attempt to manage it so that supply and demand are balanced. Inventory, subcontracting, and lead time are all demand-focused tools.

They may be used to handle demand fluctuations so that the company can produce products in a timely manner without producing too much or too little. Capacity-focused tools are the ones that focus on capacity. Price is one such capacity-focused tool. When supply exceeds demand, a company may use a price drop to reduce supply and increase demand. In this manner, the price may be used to help companies manage their production capacity. 

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Give information about the volume of the exports, imports, GDP, share of exports in GDP, share of imports in GDP, per capita GDP and the trade openness of russia for year 2010 and 2020. Explain the change over those 10 years of the indicators

Answers

According to World Bank data, in 2010, Russia's exports amounted to $396 billion, while imports totaled $260 billion.

In 2020, exports were $336 billion, and imports were $201 billion. Over the 10-year period, Russia's exports decreased by 15%, and imports decreased by 23%. In terms of GDP, in 2010, Russia's GDP was $1.47 trillion, while in 2020, it was $1.48 trillion, representing a slight increase. The share of exports in GDP was 27% in 2010 and 23% in 2020, showing a decrease and the share of imports in GDP was 18% in 2010 and 14% in 2020, also indicating a decrease. The per capita GDP increased from $10,187 in 2010 to $10,169 in 2020, representing a small decrease. Lastly, the trade openness of Russia (exports plus imports as a share of GDP) decreased from 45% in 2010 to 37% in 2020.

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what's+the+future+value+of+$4,400+after+5+years+if+the+appropriate+interest+rate+is+6%,+compounded+semiannually?

Answers

Future value can be calculated using the formula: FV = PV × (1 + r/n)^(nt)Where: FV = Future value PV = Present value or initial investment = Interest raten = Number of times interest is compounded per year (semi-annually means twice per year)n*t = Total number of compounding periods (in this case, 5 years x 2 compounding periods per year = 10 total compounding periods)

Using the given values: PV = $4,400r = 6% = 0.06n = 2t = 10Plugging in these values into the formula: FV = $4,400 × (1 + 0.06/2)^(2×5)FV = $4,400 × (1.03)^10FV = $6,784.31  

Therefore, the future value of $4,400 after 5 years if the appropriate interest rate is 6%, compounded semiannually is $6,784.31.

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Syazwan and his partner Sharmila have formed a new limited partnership, Syazwan & Sharmila Security Consultants (3SC). 3SC consults with corporations to determine their security needs. Syazwan and Sharmila have hired you to design a database management system to help them manage their business. Due to a recent increase in business, 3SC has decided to automate its client tracking system. You and your team have done a preliminary analysis and come up with the following set of classes, attributes, and business rules :
Consultant
There are two types of consultants; (a) the business consultant determines security needs and estimates the actual services to be performed, and (2) the technical consultants perform services according to the specifications developed by the business consultants. Attributes of business consultant are the following: Employee ID (identifier), Name, Address (which is composed of Street, City, State, and Zip Code), Telephone, Date of Birth, Age, Business Experience (which is composed of Number of Years, Type of Business [or businesses], and Degrees Received). Attributes of technical consultant are the following: Employee ID (identifier), Name, Address (which is composed of Street, City, State, and Zip Code), Telephone, Date of Birth, Age, Technical Skills, and Degrees Received.
Customer
Customers are businesses that have asked for consulting services. Attributes of customer are Customer ID (identifier), Company Name, Address (which is composed of Street, City, State, and Zip Code), Contact Name, Contact Title, Contact Telephone, Business Type, and Number of Employees.
Location
Customers can have multiple locations. Attributes of location are Customer ID (identifier), Location ID (which is unique only for each Customer ID), Address (which is composed of Street, City, State, and Zip Code), Telephone, and Building Size.
Service
A security service is performed for a customer at one or more locations. Before services are performed, an estimate is prepared. Attributes of service are Service ID (identifier), Description, Cost, Coverage, and Clearance Required.
Additional Business Rules
In addition to the classes outlined previously, the following information will need to be stored in tables and shown in the model. These may be classes, but they also reflect a relationship between more than one class:
Estimates, which have characteristics of Date, Amount, Business Consultant, Services, and Customer
Services Performed, which have characteristics of Date, Amount, Technical Consultant, Services, and Customer
You may also assume the following:
A customer can have many consultants providing many services. You wish to track both actual services performed as well as services offered.
Therefore, there should be two relationships between customer, service, and consultant, one to show services performed and one to show services offered as part of the estimate. From the case study given above, build Class Diagram (DRAW IN TABLE)

Answers

Class Diagram:  

                 +---------------------+

                    |     Consultant     |

                    +---------------------+

                    | - Employee ID       |

                    | - Name              |

                    | - Address           |

                    | - Telephone         |

                    | - Date of Birth     |

                    | - Age               |

                    +---------------------+

                                 ^

                                 |

                                 |

                                 |

+---------------------+           |          +---------------------+

| BusinessConsultant  |           |          | TechnicalConsultant |

+---------------------+           |          +---------------------+

| - Business Experience|           |          | - Technical Skills   |

+---------------------+           |          +---------------------+

                                 |

                                 |

                                 |

                    +---------------------+

                    |       Customer      |

                    +---------------------+

                    | - Customer ID       |

                    | - Company Name      |

                    | - Address           |

                    | - Contact Name      |

                    | - Contact Title     |

                    | - Contact Telephone |

                    | - Business Type     |

                    | - Number of Employees

                    +---------------------+

                                 ^

                                 |

                                 |

                                 |

                    +---------------------+

                    |       Location      |

                    +---------------------+

                    | - Customer ID       |

                    | - Location ID       |

                    | - Address           |

                    | - Telephone         |

                    | - Building Size     |

                    +---------------------+

                                 ^

                                 |

                                 |

                                 |

                    +---------------------+

                    |       Service       |

                    +---------------------+

                    | - Service ID        |

                    | - Description       |

                    | - Cost              |

                    | - Coverage          |

                    | - Clearance Required|

                    +---------------------+

                            ^    ^

                            |    |

                            |    |

                            |    |

              +---------------------+                +---------------------+

              |  Estimates           |                | ServicesPerformed   |

              +---------------------+                +---------------------+

              | - Date               |                | - Date               |

              | - Amount             |                | - Amount             |

              +---------------------+                +---------------------+

                            |                                   |

                            |                                   |

                            v                                   v

              +---------------------+                +---------------------+

              |  Business Consultant |                | Technical Consultant|

              +---------------------+                +---------------------+

              | - Services           |                | - Services           |

              +---------------------+                +---------------------+

                            |                                   |

                            |                                   |

                            v                                   v

              +---------------------+                +---------------------+

              |       Customer      |                |       Customer      |

              +---------------------+                +---------------------+

              | - Services           |                | - Services           |

              +---------------------+                +---------------------+

Determine the class diagram?

The class diagram depicts the entities and their relationships based on the given information. There are four main classes: Consultant, Customer, Location, and Service. The Consultant class has two subclasses: Business Consultant and Technical Consultant.

The Customer class represents businesses that require consulting services. The Location class represents the multiple locations of a customer. The Service class represents the security services provided.

The diagram includes relationships between the classes. A customer can have multiple consultants providing various services, so there are two relationships between Customer, Service, and Consultant classes. One relationship represents services performed, and the other represents services offered as part of the estimate.

The Estimates and Services performed classes capture additional information related to the estimates and services provided, such as dates and amounts. The Business Consultant and Technical Consultant classes maintain the relationship with the Estimates and Services performed classes, indicating their involvement in the respective activities.

Overall, the class diagram provides a visual representation of the entities, their attributes, and the relationships among them, facilitating the design of the database management system for 3SC.

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(a) Bob wants to open a new fast food shop. He estimates he needs to spend at least $102,000 on renovation and buying commercial kitchen appliances. The average running cost per customer (for food, staff salary, etc.) is $8. Each customer spends $15 on average. (i) If the number of customers is n, write down the cost function and revenue function as functions of n. (1 mark)
(ii) Determine the minimum number of customers for the business to breakeven. (1 mark)
(iii) Bob has to borrow $102,000 from a bank with interest rate of 3% p.a. with interest payable monthly. If Bob does not repay a single cent, how much does Bob owe the bank after 3 years? (1 mark)

Answers

a) The cost function will be $102,000 + $8n and revenue function will be $15n b) The minimum number of customers for the business will be 14, 572 c) Bob would owe the bank approximately $111,454.86 after 3 years if he does not repay any amount.

(a) The cost function as a function of the number of customers (n) can be expressed as follows:

Cost = Fixed Cost + Variable Cost per Customer * Number of Customers

In this case, the fixed cost is $102,000, which includes the renovation and purchase of commercial kitchen appliances. The variable cost per customer is $8. Therefore, the cost function can be written as:

Cost = $102,000 + $8n

The revenue function as a function of the number of customers (n) can be expressed as follows:

Revenue = Price per Customer * Number of Customers

In this case, the price per customer is $15. Therefore, the revenue function can be written as:

Revenue = $15n

b) To determine the minimum number of customers for the business to break even, we need to find the point at which the cost equals the revenue. Mathematically, we can set the cost function equal to the revenue function and solve for the number of customers (n):

$102,000 + $8n = $15n

Simplifying the equation, we get:

$102,000 = $7n

Dividing both sides by $7, we find:

n = 14,571.43

Since the number of customers cannot be fractional, the minimum number of customers for the business to break even is 14,572.

(iii) If Bob borrows $102,000 from a bank with an interest rate of 3% per annum and interest payable monthly, the interest will compound monthly over the 3-year period. The formula to calculate the future value of a loan with monthly compounding interest is:

Future Value = Principal * (1 + (Interest Rate / 12))^Number of Compounding Periods

In this case, the principal is $102,000, the interest rate is 3% per annum, and the number of compounding periods is 3 years (36 months).

Using the formula, we can calculate the future value of the loan after 3 years:

Future Value = $102,000 * (1 + (0.03 / 12))^36

Calculating the expression, we find that Bob would owe the bank approximately $111,454.86 after 3 years if he does not repay any amount.

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Crane Company has the following securities in its investment portfolio on December 31, 2020 (all securities were purchased in 2020): (1) 3,300 shares of Anderson Co. common stock which cost $66,000, (2) 9,300 shares of Munter Ltd. common stock which cost $539,400, and (3) 6,200 shares of King Company preferred stock which cost $260,400. The Fair Value Adjustment account shows a credit of $9,900 at the end of 2020. In 2021, Crane completed the following securities transactions. 1. On January 15, sold 3,300 shares of Anderson's common stock at $22 per share less fees of $2,270. 2. On April 17, purchased 1,100 shares of Castle's common stock at $34 per share plus fees of $1,970. On December 31, 2021, the market prices per share of these securities were Munter $64, King $40, and Castle $21. In addition, the accounting supervisor of Crane told you that, even though all these securities have readily determinable fair values, Crane will not actively trade these securities because the top management intends to hold them for more than one year. (a) Prepare the entry for the security sale on January 15, 2021. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter o for the amounts.) Date Account Titles and Explanation Debit Credit Jan. 15, 2021 eTextbook and Media List of Accounts Save for Later Attempts: 0 of 5 used Submit Answer (b) Prepare the journal entry to record the security purchase on April 17, 2021. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.) Date Account Titles and Explanation Debit Credit Apr. 17, 2021 eTextbook and Media List of Accounts Save for Later Attempts: 0 of 5 used Submit Answer (c). Compute the unrealized gains or losses. Unrealized Prepare the adjusting entry for Crane on December 31, 2021. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.) Date Account Titles and Explanation Debit Credit Dec. 31, 2021 e Textbook and Media List of Accounts Save for Later Attempts: 0 of 5 used Submit Answer

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a) DateAccount Titles and ExplanationDebitCreditJan. 15, 2021Cash(3,300*22 – 2,270)71,930 Loss on Sale of Investment in Anderson Common Stock($66,000 – $71,930)5,930Anderson Co. Common Stock, 3,300 Shares66,000(Sold 3,300 shares of Anderson’s common stock at $22 per share less fees of $2,270)Therefore, the entry for the security sale on January 15, 2021, is:Cash account should be debited with $71,930, Loss on Sale of Investment in Anderson Common Stock should be credited with $5,930, and Anderson Co. Common Stock, 3,300 Shares account should be credited with $66,000.

b) DateAccount Titles and ExplanationDebitCreditApr. 17, 2021Castle Common Stock, 1,100 Shares(1,100*34+1,970)38,810Cash40,780(Purchased 1,100 shares of Castle’s common stock at $34 per share plus fees of $1,970). Therefore, the journal entry to record the security purchase on April 17, 2021, is:Castle Common Stock, 1,100 Shares account should be debited with $38,810, and Cash account should be credited with $40,780.

c) Unrealized gains or losses are determined by comparing the cost of the security to its current fair value. For Crane Company, the fair value of its securities on December 31, 2021, is Munter at $64, King at $40, and Castle at $21. The cost and fair values of the securities as of December 31, 2021, are as follows:CostFair ValueUnrealized Gain (Loss)Munter Ltd. common stock$539,400$211,200$(328,200)King Company preferred stock$260,400$248,000$(12,400)Castle Common Stock$38,810$23,100$(15,710). Therefore, the Unrealized Loss account is debited with $356,310, and the Fair Value Adjustment account is credited with $356,310 on December 31, 2021. The adjusting entry for Crane on December 31, 2021, is: Fair Value Adjustment account should be credited with $356,310, and Unrealized Loss account should be debited with $356,310.

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Question 2 (Total: 15 marks) You are a consumer of a product which your country imports. There is an increase in demand in the rest of the world for this product. You are wondering if this change will

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As a consumer of an imported product, an increase in demand in the rest of the world for this product is likely to have an impact on availability, price, and potentially quality in your country's market.

When there is an increase in global demand for a product, it can lead to various effects. Firstly, the availability of the product in your country may be affected. Suppliers may allocate a larger portion of the product to meet the increased demand in other countries, resulting in limited availability in your local market.

Secondly, the price of the product may be influenced. Increased demand often leads to upward pressure on prices due to supply and demand dynamics. If the supply cannot meet the rising global demand, prices may increase, potentially affecting the affordability of the product for consumers in your country.

Lastly, the quality of the product could be impacted. If manufacturers or suppliers face challenges in meeting the increased demand, they may prioritize quantity over quality, leading to potential compromises in terms of product standards or customer service.

An increase in global demand for an imported product can have consequences for consumers in the importing country. Availability may be limited, prices may rise, and there could be potential quality implications. It is important for consumers to stay informed about market trends and make purchasing decisions accordingly, considering factors such as availability, price changes, and potential impact on quality.

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Required:
a. List 3 internal controls in the Bergeron acquisition and payment cycle. Be as specific as possible.
b. For each control, list 3 test of control that is useful to test the effectiveness of the control. Be as specific as possible.
King Companies, Inc. Questions C6.1 and C6.2 are based on the following case. King Companies, Inc (KCI) is a private company that owns five auto parts stores in urban Los Angeles, California. King Companies has gone from two auto parts stores to five stores in the last three year and it plans continued growth. Eric and Patricia King own the majority of the shares in KCI. Eric is the chairman of the board of directors of KCI and CBO, and Patricia is a director as well as the CFO. Shares not owned by Erlic and Patricia are owned by friends and family who helped the Kings get started. Eric started the company with one store after working in an auto parts store. To date, he has funded growth from an inheritance and investments from a few friends, Eric and Patricia are thinking about expanding by opening three to five additional stores in the next few years. In October 2024, Eric approached your accounting firm, Thornson & Danforth, LLP, to conduct an annual audit of KCI for the year ended December 31, 2025. KCI has not been audited before, but this year the audit has been requested by the company's bank because of anticipated bank loans and by a new private equity investor that has just acquired a 20% share of KCI. KCI employs 20 full-time staff. These workers are employed in store management, sales, parts deliv ery, and accounting. About 40% of KCr's business is retail walk-in business, and the other 60% is regular customers where KCI delivers parts to their locations and bills these customers on account. During peak periods, KCI also uses part-time workers. Eric is focused on growing revenues. Patrícia trusts the company's employees to work hard for the company, and she feels they should be rewarded well. The accounting staff, in particular, is very loyal to the company. Eric tells you that accounting staff enjoy their jobs so much they have never taken any annual vacations, and hardly any workers ever take sick leave. Two people are currently employed as accounting staff, the most senior of whom is Jonathan Jung. Jonathan heads the accounting department and reports directly to Patricia. He is in his late fifties and hopes to retire in two or three years and move away from Los Angeles. Jonathan keeps a close watch on accounting and does many activities himself, including opening mail, cash receipts and vendor pay- ments, depositing funds received, performing réconciliations, posting journals, and performing the pay- roll function. His second employee, Abby Owens, is a recent college graduate who just passed the CPA exam. Abby is responsible for the payroll functions and posting all journal entries into the accounting system. Jonathan and Abby often help each other out in busy periods.

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a)   Controls: Segregation of Duties, Authorization, Reconciliation & Review.

b)  Tests: Trace purchases, Review approval hierarchy, Reconcile vendor statements.

What are Controls in acquisition and payment?

Three internal controls in the Bergeron acquisition and payment cycle could be:

Segregation of Duties: Implementing a clear separation of duties between different individuals involved in the acquisition and payment process. For example, the person responsible for initiating purchase orders should be different from the one responsible for approving and processing payments.Authorization Controls: Establishing a formal authorization process for approving purchases and payments. This can involve setting spending limits, requiring multiple levels of approval for large transactions, and ensuring that only authorized personnel have the authority to initiate or approve purchases.Reconciliation and Review Procedures: Implementing regular reconciliation and review procedures to verify the accuracy and completeness of recorded transactions. This can include reconciling vendor statements with accounts payable records, conducting periodic internal audits of the acquisition and payment process, and reviewing supporting documentation for purchases and payments.

Effective acquisition and payment controls?

b. Test of Control for each control:

Segregation of Duties:

Test 1: Select a sample of purchase orders and trace them to the corresponding payment documentation to ensure that different individuals are involved in the process.Test 2: Review the organization's organizational structure and job descriptions to confirm that segregation of duties is clearly defined and documented.Test 3: Conduct interviews with relevant personnel to verify that they understand the importance of segregation of duties and are aware of the specific tasks they are responsible for.

Authorization Controls:

Test 1: Select a sample of purchase orders and verify that they have been appropriately approved by authorized individuals, as per established procedures. Test 2: Review the approval hierarchy and documentation trail for significant purchases to ensure that multiple levels of authorization are being followed. Test 3: Perform a walkthrough of the authorization process, documenting the steps involved and interviewing personnel involved to assess their understanding and adherence to authorization controls.

Reconciliation and Review Procedures:

Test 1: Select a sample of vendor statements and reconcile them to the corresponding accounts payable records to ensure accurate recording of liabilities.Test 2: Review the results of internal audits conducted on the acquisition and payment process to assess the effectiveness of reconciliation and review procedures. Test 3: Examine a sample of supporting documentation (e.g., invoices, receipts) for purchases and payments and compare them against recorded transactions to verify their accuracy and completeness.

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Guess which depreciation method will have the lower 10%-per-year PW of taxes between the following methods over a 6-year study period: P = $100, S = 0, and GI-OE = $50, and Te = 30%. Verify your answe

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The depreciation method that will have the lower 10%-per-year present worth (PW) of taxes over the 6-year study period cannot be determined without knowing the specific depreciation methods being compared.

To determine which depreciation method will result in the lower PW of taxes, we need to compare different depreciation methods such as straight-line, declining balance, or any other method. Without specific information about the depreciation methods being considered, it is not possible to calculate or determine which method will yield a lower PW of taxes.

However, the given information about the cost (P), salvage value (S), and gain/loss on disposal (GI-OE) can be used to calculate the tax depreciation deductions and subsequently estimate the PW of taxes for each method. Additionally, the tax rate (Te) of 30% can be applied to the taxable income derived from the depreciation deductions to calculate the tax liability for each year.

Without specific information about the depreciation methods being compared, it is not possible to determine which method will result in the lower PW of taxes over the 6-year study period. To make a valid comparison, the specific depreciation methods and their respective depreciation rates need to be known.

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Write a short report (3 pages or more) based on the following
B. Using the marketing orientation instrument on p. 10-12 of the textbook, conduct an evaluation of this company’s extent marketing orientation. Present summary of the analysis, highlighting areas where it needs to improve. [20 marks]

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The company must improve its personnel emphasis by building a skilled workforce that can produce high-quality goods and services. This criterion assesses the degree to which a company is focused on long-term goals rather than short-term profits.

The marketing orientation instrument can be used to evaluate the company's marketing orientation. This tool contains ten characteristics of marketing orientation, which are listed below.Customer orientation:It refers to the degree to which a company values and prioritizes its customers. Understanding the customer's needs and delivering products that meet their demands is critical in this context. Researching the market and collecting feedback on goods and services can assist businesses in improving their customer orientation.Competitive orientation:Competitive orientation refers to a company's desire to know what its competitors are doing and to adjust its strategies accordingly. Companies that put a premium on competitive orientation must be up to date on market trends and innovation.Inter-functional coordination:It is the degree to which departments in a company work together to meet the demands of the market. Marketing and sales must work together to build value for customers while accounting, production, and logistics must collaborate to ensure that the necessary resources are available.Sales focus:A business must sell its goods and services to make money. This characteristic of marketing orientation assesses the degree to which the company prioritizes sales.Personnel emphasis:This criterion refers to the company's value of its employees. The company must have a skilled workforce capable of producing high-quality goods and services.Service orientation:Service orientation refers to a company's focus on delivering high-quality service to its customers. Companies with a strong service orientation place a premium on providing excellent customer service and follow-up.Customer satisfaction measurement:This criterion assesses the degree to which a company measures customer satisfaction with its goods and services. Measuring customer satisfaction enables the company to make necessary improvements in its product or service.Organizational culture:This characteristic of marketing orientation assesses the degree to which a company's culture emphasizes innovation and customer satisfaction. Companies with an organizational culture that focuses on innovation and customer satisfaction are more likely to be successful overall.Long-term focus:Finally, this criterion assesses the degree to which a company is focused on long-term goals rather than short-term profits. It is critical for companies to have a long-term perspective when planning their marketing strategies, as this can lead to better customer satisfaction and higher profits.The marketing orientation assessment was applied to a company's products. The company has a good customer orientation, meaning that it values and prioritizes its customers. The company also has a strong service orientation, and it emphasizes on building a long-term relationship with its clients by providing excellent customer service.The company needs to improve its organizational culture, competitive orientation, inter-functional coordination, and personnel emphasis. The company can develop its organizational culture by emphasizing innovation and customer satisfaction. The business should also improve its competitive orientation by keeping track of market trends and innovation to adjust its strategies accordingly.The company should also improve its inter-functional coordination by encouraging various departments to work together to satisfy customer demands and ensuring that the necessary resources are available. Finally, the company must improve its personnel emphasis by building a skilled workforce that can produce high-quality goods and services.

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Protectionist policies are used by governments in order to ...... a. protect domestic producers b. Decrease trade barriers c. lower incomes of producers d. Increase political power

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Protectionist policies are used by governments in order to protect domestic producers , from foreign competition and to maintain or increase market share for domestic industries.

How are protectionist policies implemented?

Protectionist policies are implemented by governments with the primary objective of safeguarding domestic producers and industries from foreign competition.

These policies are designed to shield domestic producers from the potentially adverse effects of international trade.By imposing trade barriers such as tariffs, quotas, and subsidies, governments aim to restrict imports and give an advantage to domestic producers.

The protection of domestic producers is a key rationale behind protectionist measures. By imposing tariffs on imported goods, domestic producers can compete on a more level playing field, as foreign goods become relatively more expensive.

This protection allows domestic industries to maintain or increase market share, protect jobs, and stimulate economic growth.

However, protectionist policies also have potential drawbacks. While they may shield domestic producers, they can lead to higher prices for consumers, reduced product variety, and inefficiencies in the allocation of resources.

Additionally, protectionism can spark retaliatory actions from other countries, leading to trade conflicts and reduced global economic cooperation.

Overall, protectionist policies are implemented to safeguard the interests of domestic producers and industries, but their impact on the broader economy and international relations needs to be carefully evaluated to strike a balance between protecting domestic industries and promoting free and fair trade.

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Post one or two app recommendations here. Please include:
A URL link so that others can easily find the app
A small description of why you like the app
Disclaimer: Users are requested to refrain from posting any content that might be deemed inappropriate (including content with profanity, nudity, discriminatory viewpoints, or any media which a reasonable viewer may not want to see when accessing content from a public setting, such as a workplace). Any content categorised as confidential or protected by copyright or intellectual property law is not permitted to be posted. Users are asked to report any copyright violations or sharing of inappropriate content to their Learning Facilitators.

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I would like to recommend two apps: Duolingo and Brainly.

Duolingo is one of the most popular language-learning apps in the world, with over 300 million registered users. It's a great app for anyone who wants to learn a new language, or improve their existing language skills. Duolingo is free to use, but you can also upgrade to Duolingo Plus to get additional features like offline access and an ad-free experience.

I like Duolingo because it is an easy-to-use app with a fun and interactive interface. The app uses gamification to make learning a new language feel like a game, which makes it more engaging and enjoyable. Duolingo also offers a wide range of languages to choose from, so you can learn almost any language you want.

Brainly is an educational app that helps students get homework help from other students and educators. You can post a question on the app and receive answers from other users within minutes. Brainly also has a community of experts who can provide more detailed answers and explanations if needed.

I like Brainly because it is a great resource for students who need help with homework or studying. The app is easy to use, and you can find answers to almost any question you have. Brainly also has a community of experts who can provide more detailed answers and explanations if you need them. Overall, Brainly is a great app for students who want to learn and improve their grades.

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Which statement about social change organizations is true? Single organizations are successful because they have the resources, perspectives and skills to address the problems. Service delivery cannot solve problems rooted in deep-seated cultural and institutional arrangements. Single issue movements are able to muster electoral power to effect social change.

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The statement about social change organizations that is true is: Service delivery cannot solve problems rooted in deep-seated cultural and institutional arrangements. Option b is Correct.

Single organizations, even those with resources, perspectives, and skills, may not be able to address problems that are deeply rooted in cultural and institutional arrangements. These types of problems require a broader, systemic approach that involves changing the underlying structures and institutions that create and sustain those problems.

Single issue movements may be able to muster electoral power to effect social change, but they may not be able to address the root causes of a problem. Social change requires a multifaceted approach that involves organizations, movements, and other actors working together to bring about lasting change.  

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This is a subjective question, hence you have to write your answer in the Text-Field given below. 7.6693 Construction rings are tested for their diameter desired to be within a certain range. Random samples of 5 rings are chosen from the despatch section and their diameter values measured. The sample mean X and standard deviations are found. After 20 samples. EX bar = 1850 and Es = 200. The specifications are 95 = 5 mm. [2x7=14] a. Find the control limits for the X bar and s-charts. b. Assuming that the process in control, estimate the process mean and process standard deviation c. Find the process capability indices Cp and Cpk and comment on their values. d. If the target value is 90 mm, find the capability indices Cpm and Cpmk. e. What proportion of the output is nonconforming, assuming a normal distribution of the quality characteristic? 1. If the process mean is moved to 92 mm, what proportion of the output is nonconforming? What are your proposals to improve process performance? g. Can we conclude that Cpk is less than 1? Use a = 0.05. 2This is a subjective question, hence you have to write your answer in the Text-Field given below. 7.6693 Construction rings are tested for their diameter desired to be within a certain range. Random samples of 5 rings are chosen from the despatch section and their diameter values measured. The sample mean X and standard deviations are found. After 20 samples, EX bar = 1850 and Es = 200. The specifications are 95 = 5 mm. [2x7=14] a. Find the control limits for the X bar and s-charts. b. Assuming that the process in control, estimate the process mean and process standard deviation. c. Find the process capability indices Cp and Cpk and comment on their values. d. If the target value is 90 mm, find the capability indices Cpm and Cpmk. e. What proportion of the output is nonconforming, assuming a normal distribution of the quality characteristic? 1. If the process mean is moved to 92 mm, what proportion of the output is nonconforming? What are your proposals to improve process performance? g. Can we conclude that Cpk is less than 1? Use a = 0.05.

Answers

a. Control limits for X bar chart:

Upper Control Limit (UCL) = 1850 + 1.494*200 = 2150.8

Lower Control Limit (LCL) = 1850 - 1.494*200 = 1549.2

Control limits for s chart:

Upper Control Limit (UCL) = 200 * 2.114 = 422.8

Lower Control Limit (LCL) = 200 * 0 = 0

b. Estimation of process mean: 1850 mm

Estimation of process standard deviation:

200 mm

c. Cp and Cpk = Lower specification limit = 95 mm

Upper specification limit = 105 mm.Cp = (USL-LSL)/(6σ) = (105 - 95)/(6 * 200) = 0.00083

Cpk = min{ (USL - µ)/3σ, (µ - LSL)/3σ} = min{ (105 - 1850)/3(200), (1850 - 95)/3(200)} = 0.5.

As Cpk is also less than 1, it indicates that process is not centered within the specification limits. Thus, this process needs to be improved. Reduce variability in the process. Improve monitoring and measurement of the process.

a. Control limits for X bar chart:

Upper Control Limit (UCL) = 1850 + 1.494*200 = 2150.8

Lower Control Limit (LCL) = 1850 - 1.494*200 = 1549.2

Control limits for s chart:

Upper Control Limit (UCL) = 200 * 2.114 = 422.8

Lower Control Limit (LCL) = 200 * 0 = 0

b. Estimation of process mean: 1850 mm

Estimation of process standard deviation:

200 mm

c. Cp and Cpk = Lower specification limit = 95 mm

Upper specification limit = 105 mm.Cp = (USL-LSL)/(6σ) = (105 - 95)/(6 * 200) = 0.00083

Cpk = min{ (USL - µ)/3σ, (µ - LSL)/3σ} = min{ (105 - 1850)/3(200), (1850 - 95)/3(200)} = 0.5.

Comment on their values: Since Cp is very less than 1, the process is not capable to meet the specification limits. As Cpk is also less than 1, it indicates that process is not centered within the specification limits. Thus, this process needs to be improved.

d. Cpkm = Min{Cpl, Cpu} = Min{3σ(μ - LSL), 3σ(USL - μ)} / (USL - LSL)

When target value is 90 mm,

LSL = 85 mm and USL = 95 mm. Cpm = |

Tolerance band width| / 6σ =(95-85) / (6*200) = 0.00083

Cpkm = Min{3σ(1850 - 85), 3σ(95 - 1850)} / (95 - 85)

Cpkm = Min{3*200*(1850-85), 3*200*(95-1850)}/(95-85) = 0.4067 (Minimum of Cpl and Cpu is Cpu)

d. Nonconforming proportion of output, assuming a

normal distribution = P(Z < (LSL - µ)/σ) + P(Z > (USL - µ)/σ)

where, µ = 1850 mm, σ = 200 mm, LSL = 95 mm and USL = 105 mm

P(Z < (95 - 1850)/200) + P(Z > (105 - 1850)/200)P(Z < -8.75) + P(Z > 8.75) is negligible. Therefore, the proportion of non-conforming output is negligible.

e. Nonconforming proportion of output, assuming normal distribution, if the process mean is moved to 92 mm,

P(Z < (95 - 92)/200) + P(Z > (105 - 92)/200)P(Z < 0.015) + P(Z > 0.065) = 0.0207 (approximately).

Therefore, the proportion of non-conforming output is 2.07%.

Proposal to improve process performance: Since both Cp and Cpk values are low, it indicates the process is not capable and is not centered within the specification limits. To improve process performance, following measures can be taken: Identify and remove the root cause of the problem. Adopt more capable machines. Implement process control techniques. Reduce variability in the process. Improve monitoring and measurement of the process.

g. As Cpk is 0.5 which is less than 1, we can conclude that the process is not capable of meeting the specification limits.

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Please type the answer by computer, so i can see it clearly, thank you!!!
1(a) Discuss the implications of MRP on inventory problems.
1(b) Briefly explain 4 other different ways to reduce inventory (Not MRP)?

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(a) Material requirements planning (MRP) is a system that helps control inventory levels, reduce material shortages, use resources efficiently, and improve customer satisfaction.

(b) Other ways to reduce inventory include Just-in-Time (JIT), barcode scanning and RFID, dropshipping, and slow-moving inventory analysis.

(a) Material requirements planning (MRP) is an effective system that assists in the production scheduling, inventory control, and procurement. Its implications on inventory problems are as follows:i. Control inventory levels - MRP permits management to decide the amount of inventory to carry and schedule. It helps ensure the proper quantities of the right inventory items are available when required, hence reducing excess inventory levels that cause cost problems.ii. Reduce material shortages - MRP software monitors inventory levels and usage rates, then schedules materials when required, eliminating stock-outs. This helps prevent idle time on the production floor, and production delays.iii. Efficient use of resources - MRP ensures that production uses resources, including labor and machine time efficiently. It plans production and delivery times to meet customer demands in time.iv. Improves customer satisfaction - MRP ensures that all products required by customers are delivered on time, hence improving customer satisfaction.(b) Four other different ways to reduce inventory are:Just-in-Time (JIT) - JIT enables manufacturers to make products at the precise time and in the exact quantities required. It eliminates excess inventory while maintaining customer satisfaction and providing flexibility to meet changing market demands.Barcode Scanning and RFID (Radio Frequency Identification) - This is an automatic method of capturing information about a product, saving time and resources while increasing efficiency. RFID improves accuracy and speed when tracking products through the supply chain.Dropshipping - Dropshipping is a retail fulfilment method where merchants don't keep inventory in stock. Instead, they transfer customer orders and shipment information to the manufacturer or wholesaler, who then sends the products directly to the customers. This reduces inventory levels, storage costs, and shipping expenses.Slow-moving Inventory Analysis - This method involves analyzing inventory that hasn't sold in 12 months or more. By assessing slow-moving inventory, management can determine which products are not popular or have reached the end of their lifecycle, helping to reduce excess inventory levels.

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Question 1 Eric and Sons are a shoe retail outlet. Their unadjusted statements for 2021 are as follows: Income statement 31 December 2021 £ Sales 990000 Cost of goods sold 613000 Gross profit 377000

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The question provides an income statement for Eric and Sons, a shoe retail outlet, for the year 2021. The income statement includes the following information: sales of £990,000, cost of goods sold of £613,000, and gross profit of £377,000.

The income statement summarizes the financial performance of a company over a specific period, in this case, the year 2021. It starts with the company's sales revenue of £990,000. The cost of goods sold is subtracted from the sales to determine the gross profit. In this case, the cost of goods sold is £613,000, resulting in a gross profit of £377,000.

The gross profit represents the amount remaining after deducting the direct costs associated with producing or acquiring the goods sold. It indicates the profitability of the company's core operations before considering other expenses such as operating expenses, taxes, and interest.

By knowing the sales revenue, cost of goods sold, and gross profit, Eric and Sons can assess their profitability and make informed decisions regarding pricing strategies, cost management, and overall financial performance. Further analysis of the company's income statement and other financial statements would provide a more comprehensive view of their financial health.

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a reduction in the interest rate causes consumption and investment to _____, which shifts the aggregate demand curve _____.

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A reduction in the interest rate causes consumption and investment to increase, which shifts the aggregate demand curve to the right.

When the interest rate decreases, borrowing costs become cheaper, making it more attractive for individuals and businesses to take loans and make investments. This leads to increased consumer spending and higher investment levels, resulting in an overall increase in aggregate demand.

As a result, the aggregate demand curve, which represents the total spending in the economy at different price levels, shifts to the right, reflecting the higher level of consumption and investment. This shift indicates an expansionary effect on the economy, potentially leading to higher output and employment levels.

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Over the last year, houses have stayed the same price and most consumer goods have become cheaper. Food has become more expensive. According to the official Consumer Price Index, inflation was 5% last year. Sunny is very poor. What is likely to be true about the cost of living for Sunny?
a. All of these are true
b. Sunny's cost of living increased less than the official CPI
c. None of these are true
d. Sunny's cost of living increased by more than the official CPI
e. Sunny's cost of living increased exactly as fast as the official CPI

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The most likely statement that is true about Sunny's cost of living is  "Sunny's cost of living increased less than the official CPI." (Option b)

The information provided states that houses have stayed the same price and most consumer goods have become cheaper, which suggests a decrease in the cost of living for Sunny. However, it also mentions that food has become more expensive, which could partially offset the overall decrease. Considering the official CPI inflation rate of 5%, it is likely that Sunny's cost of living increased, but at a lower rate than the official CPI. This is because the overall decrease in the prices of consumer goods and houses may outweigh the increase in food prices. Therefore, the answer is b) Sunny's cost of living increased less than the official CPI is the most reasonable conclusion based on the information provided.

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For 2020 Abdullah Corporation reported net income $30,000; net sales $100,000; and average shares outstanding 5,000. There were preferred stock dividends of $5,000. What was the 2020 earnings per share?

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Answers

The earnings per share for Abdullah Corporation in 2020 is $5. This means that for each outstanding share of common stock, the company generated $5 in earnings.

In 2020, Abdullah Corporation reported a net income of $30,000, net sales of $100,000, and had an average of 5,000 shares outstanding. There were preferred stock dividends of $5,000. To calculate the earnings per share for 2020, we need to subtract the preferred stock dividends from the net income and divide the result by the average shares outstanding.

Earnings per share (EPS) is a financial metric that shows the portion of a company's net income that is attributable to each outstanding share of common stock. To calculate EPS, we first need to determine the earnings available to common shareholders.

In this case, we start with the net income of $30,000 and subtract the preferred stock dividends of $5,000. This gives us the earnings available to common shareholders, which is $25,000 ($30,000 - $5,000).

Next, we divide the earnings available to common shareholders by the average number of shares outstanding. In this case, the average shares outstanding is 5,000.

EPS = Earnings available to common shareholders / Average shares outstanding

EPS = $25,000 / 5,000

EPS = $5

Therefore, the earnings per share for Abdullah Corporation in 2020 is $5. This means that for each outstanding share of common stock, the company generated $5 in earnings.

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In 10 months, Kathy plans to vacation in Europe and she needs to have 10,203 dollars in her bank account upon departure. Given that Kathy's bank account yields 2% per month and that her current balance is 2,051 dollars, she is trying to figure out how much she needs to save every month in order to achieve her goal (10 equal deposits at the end of each month). As she never attended a finance course, she wants your advice. How much does she need to deposit at the end of every month? (note: round your answer to the nearest cent, and do not include spaces, currency signs, plus or minus signs, or commas)

Answers

The amount Kathy needs to deposit at the end of every month is $921.81.

To calculate how much Kathy needs to deposit at the end of every month, we can use the future value of an ordinary annuity formula. The formula is given by:

Future Value = Payment × [(1 + Interest Rate)^(Number of Periods) - 1] / Interest Rate

In this case, Kathy wants to have $10,203 in her bank account in 10 months, and her bank account yields a monthly interest rate of 2%. Her current balance is $2,051.

Substituting the values into the formula, we have:

$10,203 = Payment × [(1 + 0.02)^(10) - 1] / 0.02

Simplifying the equation, we can solve for Payment:

Payment = $10,203 × 0.02 / [(1 + 0.02)^(10) - 1]

Payment = $10,203 × 0.02 / (1.22140275816 - 1)

Payment = $10,203 × 0.02 / 0.22140275816

Calculating this expression gives us:

Payment ≈ $10,203 × 0.0902854024

Payment ≈ $921.81

Therefore, $921.81 amount Kathy needs to deposit at the end of every month to reach her goal.

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Palvest Company's ledger shows the following balances on December 31, 2020. 6% Preferred stock, $100 par value, outstanding 20,000 shares Common stock, $10 par value, Issued 300,000 shares Retained earnings $2,000,000 3,000,000 1,000,000 Required Assuming that the directors decide to declare total cash dividends in the amount of $810,000, use the following table to determine how much each class of stock should receive under each of the assumptions stated below. Three years' dividends are in arrears on the preferred stock.

Answers

$20,625 for preferred stockholders and $309,375 for common stockholders.

Palvest Company's ledger shows the following balances on December 31, 2020:Common stock, $10 par value, Issued 300,000 shares6% Preferred stock, $100 par value, outstanding 20,000 shares

Retained earnings

$2,000,000

3,000,000

1,000,000

Assuming that the directors decide to declare total cash dividends in the amount of $810,000 and the three years' dividends are in arrears on the preferred stock, how much each class of stock should receive under each of the assumptions stated below.

The first assumption is to pay the preferred dividend in full and distribute the balance of the dividends on a pro-rata basis. The second assumption is to pay the preferred dividend in full and then pay $1 per share on the common stock.Preferred dividend in full $20,000 x $100 x 6% = $120,000.Dividends in arrears 20,000 x $100 x 6% x 3 = $360,000.Total preferred dividends = $480,000.Balance for common stockholders $810,000 - $480,000 = $330,000.Total shares outstanding are 300,000 + 20,000 = 320,000 shares.(i) Under the first assumption, Preferred stock will receive $480,000 as follows:$120,000 (current year's preferred dividend) + $360,000 (dividends in arrears).The remaining amount of $330,000 is shared between preferred and common stocks according to the pro-rata basis.Pro-rata distribution:$330,000 x 20,000/320,000 = $20,625 for the preferred stockholders.$330,000 x 300,000/320,000 = $309,375 for common stockholders.(ii) Under the second assumption, Preferred stock will receive $480,000 as follows:$120,000 (current year's preferred dividend) + $360,000 (dividends in arrears).The remaining balance is $330,000, which will be distributed to common stockholders only.$330,000 / 300,000 common shares = $1.10 per share.

Hence, under the given assumptions, each class of stock should receive:$20,625 for preferred stockholders and $309,375 for common stockholders.

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Which type of connector would be characterized by its ability to gain access to information more easily than others? Hubs Pulsetakers Gatekeepers

Answers

Gatekeepers are a type of connector that would be characterized by its ability to gain access to information more easily than others. Thus, option  C is correct.

Among the connectors you suggested, “Gatekeepers” would be distinguished by its capacity to acquire access to information more easily than others.

In the context of connections, the phrase “gatekeeper” refers to individuals or entities with the authority to control access to information, resources, or opportunities. Gatekeepers serve as middlemen or custodians of specific information or assets, with the capacity to allow or prohibit access to others.

Individuals or entities that govern access to information or resources and have the authority to allow or restrict access to others are known as gatekeepers.

They are critical in managing the flow of information and identifying who has access to it. Gatekeepers, who have the authority or privilege to control access, may have easier access to information than other connectors such as hubs or pulse takers.

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