A department store has budgeted sales of 12,000 men's coats in September. Management wants to have 6,000 coats in inventory at the end of the month to prepare for the winter season. Beginning inventory for September is expected to be 4,000 coats. What is the dollar amount of the purchase of suits if each coat has a cost of $75? Each suit has a cost of $75.

Answers

Answer 1

Answer: $1,050,000

Explanation:

The dollar amount of the purchase of suits if each coat has a cost of $75 can. Be calculated as thus:

Budgeted sales = 12000

Add: sales inventory = 6000

Less: September beginning inventory = 4000

Required purchase for September will now be:

= 12000 + 6000 - 4000

= 14000

The dollar amount will be:

= 14000 × $75

= $1,050,000


Related Questions

Dartmouth Assessment Centre screens and trains employees for a computer assembly firm in Halifax. The progress of all trainees is tracked and those not showing the proper progress are moved to less demanding programs. By the tenth repetition, trainees must be able to complete the assembly task in 1 hour or less. Torri Olson-Alves has just spent 5 hours on the fourth unit and 4 hours completing her eighth unit, while another trainee, Julie Burgmeier, took 4 hours on the third and 3 hours on the sixth unit. Should you encourage either or both of the trainees to continue? Why?

Answers

Answer:

Discourage Torri from continuing. Encourage Julie to continue.

Explanation:

The progress of all trainees is tracked. Those not showing good progress are moved to less demanding programs. This means that there is hope of still doing/getting a job, if they don't pass this test.

REQUIREMENT: By the 10th time doing the test, trainees must be able to complete the task in a maximum of 1 hour.

1st Trainee: Torri Olson-Alves

5 hours on Unit 4;   4 hours on Unit 8

Should Torri be encouraged to continue? NO.

There are 10 units or repetitions in all. If Torri spends 5 hours on Unit 4 and spends 4 hours on Unit 8, then Torri is slow or isn't making much progress. After 4 repetitions, her marginal product only increased by an hour. She most likely won't make it to 1 hour by the 10th repetition.

2nd Trainee: Julie Burgmeier

4 hours on Unit 3;   3 hours on Unit 6

Should Julie be encouraged to continue? YES.

Julie makes a progress of 1 hour after 3 repetitions. We can predict that after another 3 repetitions (on Unit 9) progress would be made again and by Unit 10, she would have met the required benchmark.

Knowledge Check 01 An unfavorable variance of $5,000 in cost of goods sold is determined by comparing the actual results (10,000 units) and the flexible budget (10,000 units). What type of variance is described?a. Activity variance b. Spending variance c. Revenue variance

Answers

Answer:

The correct option is b. Spending variance.

Explanation:

Spending variance can be described as the difference between the actual cost and budgeted cost at the actual activity level.

Since cost of goods sold (COGS) is the direct costs incurred to produce the goods that is sold by a firm, it therefore implies that the amount of variance in cost of goods sold can be determined by comparing the actual results and the flexible budget at the actual activity level or actual units.

Based on the explanation above, the correct option is b. Spending variance. That is, Spending variance is an unfavorable variance of $5,000 in cost of goods sold is determined by comparing the actual results (10,000 units) and the flexible budget (10,000 units).


(2-3 statements answer only) I'll give brainliesr.

•What market/s do we consider when it comes to raw materials?​

Answers

Answer:

factor market

Explanation

Lemme know if I'm wrong :/

When agent Tom meets with his sellers to explain his advertising plan, he should make sure the owners understand that:__________.a) Advertising a similar property can and does create interest in their property.b) He can’t afford to continue advertising if the ads he places fail to generate interest.c) There are only so many advertising dollars to go around.d) Most of the advertising budget is earmarked for low-priced homes.

Answers

Answer:

Advertising a similar property can and does create interest in their property

Explanation:

In real estate agents need to effectively market properties in order to sell to consumers.

One way of doing this is by creating awareness in a given market about a particular property type.

When interest in a type of property is created it generates interest that will lead to more sales.

In the given scenario when Tom meets with his sellers to explain his advertising plan, he should make sure the owners understand that to capture a market they need to advertise even products that are similar.

As interest grows it will create a demand for that type of property

The correct option is a.

The following information should be considered:

For selling a property to consumers it should be effectively marketed.This can be done by providing a detailed information related to the property.This will increase the interest of the consumer and will lead to increase in sales. So, When agent Tom meets with his sellers to explain his advertising plan, he would make sure that the owners understand that to increase the sales we must advertise even the products that are similar.

Learn more: brainly.com/question/17429689

Samuelson's has a debt–equity ratio of 43 percent, sales of $10,000, net income of $1,700, and total debt of $8,700. What is the return on equity?

Answers

Answer:

8.40%

Explanation:

Calculation for the return on equity

First step is to calculate the equity using this formula

Equity=Total debt/Debt–equity ratio

Let plug in the formula

Equity=$8,700/43%

Equity=$20,233

Last step is to calculate the return on equity

Using this formula

Return on Equity=Net income/Equity

Let plug in the formula

Return on Equity=$1,700/$20,233

Return on Equity=8.40%

Therefore the return on equity will be 8.40%

Four years ago your firm issued a $1,000 par bond with a 4% semi-annual coupon and 20 years to maturity. The bond is now priced at $860. What is the current yield to maturity of the bond?

Answers

Answer:

the current yield to maturity of the bond is 5.31%

Explanation:

The computation of the yield to maturity is shown below:

Given that

Future value = $1,000

Present value = $860

NPER = (20 - 4) × 2 = 16

PMT = $1,000 × 4% ÷ 2 = $20

The formula is shown below:

= RATE(NPER;PMT;-PV;FV;TYPE)

The present values comes in negative

After applying the above formula, the yield to maturity is

= 2.6548% × 2

= 5.31%

Hence, the current yield to maturity of the bond is 5.31%

When evaluating an investment, the MNC should consider the ____________ cash flows generated by the project.

a. total
b. variable
c. incremental
d. fixed

Answers

Answer: c. Incremental

Explanation:

Simply put incremental cashflow is the additional cashflow that accrues to a company when it takes on a new project. The Multinational company should therefore consider this when they are accepting a project.

If the new project has a positive incremental cashflow, it will add to the cashflows of the company and so should be initiated as opposed to those with negative incremental cashflows.

The charter of a corporation provides for the issuance of 100,000 shares of common stock. Assume that 60,000 shares were originally issued and 10,000 were subsequently reacquired. What is the amount of cash dividends to be paid if a $2-per-share dividend is declared?a) $60,000.b) $5,000.c) $100,000.d) $55,000.

Answers

Answer:

c) $100,000

Explanation:

Number of shares originally issued   60,000

Less: Number of shares reacquired  (10,000)

Outstanding number of shares          50,000

Dividends per share declared            $2        

Total dividends declares                   $100,000 (50,000 shares * $2)

Investing activities do not include the:

a.Purchase of plant assets.

b.Loaning of money in exchange for notes receivable.

c.Issuance of common stock.

d.Sale of plant assets.

e.Sale of short-term investments other than cash equivalents.

Answers

Answer:

c.Issuance of common stock.

Explanation:

Investing activities lead to an increase in business cash flows.  Investing involves spending money with the expectation of making higher returns.

Some investing activities include

1. Purchase or acquisition of assets to be used in the production process.

2. Sale of business assets

3. Acquisition or sale of other business

Issuing of common stocks is not considered an investment option. Common shares are issued when companies need to raise additional capital.  Issuance of common shares is a financing activity.

Keynes revolutionized economic theory by changing the explanation for what causes economic growth from aggregate _______ to aggregate _______.

a. demand; supply
b. supply; demand
c. cost; inflation
d. GDP; income

Answers

Answer:

b. supply; demand

Explanation:

Before Keynes, classical economists thought that aggregate supply was more important than aggregate demand in determining the overall economic level of a country. This was mainly because of the belief in say's law: the law stated that every offer creates its own deamand.

Keynes changed economics because he stated that demand and supply do not always reach equilibrium, and that demand is often insufficient, and it is the government job to stimulate demand through expansionary monetary and fiscal policy, like lowering interest rates and cutting taxes.

The S&P 500 stock index is at 1300. The annualized interest rate is 4.0 percent, and the annualized dividend is 2 percent. You are currently considering purchasing a two-month futures contract for your portfolio Refer to Exhibit 15.12. Calculate the current price of the futures contract.

Answers

Answer: $1,304.30

Explanation:

Current price can be calculated by the formula:

= 1,300 * ( 1 + (4% - 2%)) ^ 2/12 months

= 1,300 * 1.0033058903246372019414946658385

= $1,304.29

= $1,304.30

Hiring one more worker for a station ___ design capacity and ___ utilization. (Hint: Relate to the problem set.)A. may increase or decrease, always increasesB. always increases, may increase or decreaseC. always increases, always increasesD. may increase or decrease, may increase or decrease

Answers

Answer:

B. always increases, may increase or decrease

Explanation:

Each worker being added is going to complete some job or assemble some units hence the design capacity after addition of worker will always be greater than the design capacity before addition. But utilization = actual output * 100 / theoretical design capacity.

Hence, if actual output after addition of worker increases more in proportion than that of proportional increase in number of worker, then the utilization of workstation will increase else it is likely to decrease. If both proportion are equal then the utilization is likely to remain same.

Stenson, Inc., imposes a payback cutoff of three years for its international investment projects. Assume the company has the following two projects available. Year Cash Flow A Cash Flow B 0 –$ 64,000 –$ 109,000 1 26,500 28,500 2 34,400 33,500 3 28,500 25,500 4 14,500 231,000 What is the payback period for each project?

Answers

Answer:

Stenson, Inc.

The payback period for each project is:

Project A = 3 years

Project B = 4 years

Explanation:

a) Data and Calculations:

Year            Cash Flow A        Cash Flow B

0                  –$ 64,000           –$ 109,000

1                        26,500                  28,500

2                       34,400                   33,500

3                       28,500                  25,500

4                        14,500                 231,000

Total inflow  $103,900               $318,500

b) The payback period is the time when the cash outflow is recouped.  For project A, the payback period occurs in year 3.  For project B, the payback period occurs in year 4.  Based on the company's cutoff of three years, Project B may not be accepted even with its large cash inflow in year 4.  Therefore, the best decision will be to discount the cash inflows with a suitable rate of interest.  This will help Stenson, Inc. to decide between accepting Project A or Project B.

Johnson Company has current year accounts payable of $25,000 and cost of goods sold of $100,000. Compute Johnson Company’s days’ payable outstanding.

Answers

Answer:

the days payable outstanding is 91.25 days

Explanation:

The computation of the days payable outstanding is  shown below:

Days' payable outstanding is

= (Accounts Payable ÷  Cost of goods sold) × total number of days in a year

= ($25,000 ÷ $100,00) × 365 days

= 91.25 days

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Hence, the days payable outstanding is 91.25 days

A snack manufacturer discovers that they must increase the salt content of chips by 14 milligrams before about 50 percent of their consumers notice the change. A clever intern points out that this is an example of:

Answers

Answer:

difference threshold

Explanation:

Difference threshold is use by businesses or effectively reduce cost without affecting their profit margin .

It is the minimum amount of change that is required to make consumers of a product to notice the change 50% of the time.

In the given scenario the snack manufacturer discovers that they must increase the salt content of chips by 14 milligrams before about 50 percent of their consumers notice the change.

If you decide to take a break and go for a hike in order to focus less consciously on the creative process, which stage is the creative process are you experiencing?

Answers

Answer: Incubation

Explanation: In the incubation stage the person moves away from the problem and gives space to the mind to search for a solution. An example is going for a walk to relax your mind a bit and ideas flow better.

Tinker's cost of goods sold in the year of sale (2019) was $750,000 and 2018 cost of goods sold was $770,000. The inventory at the end of 2019 was $188,000 and at the end of 2018 the inventory was $208,000. Tinker's average number of days to sell its inventory during 2019 is closest to: (Use 365 days a year.)

Answers

Answer:

96.3 days

Explanation:

Inventory turnover is calculated as;

= ( Average inventory / cost of goods sold ) × 365

Where,

Average inventory = (Beginning inventory + Ending inventory) / 2

Average inventory = ($208,000 + $188,000) / 2

Average inventory = $198,000

Therefore,

Inventory turnover = ($198,000 / $750,000) × 365

Inventory turnover = 96.3 days

The average number of days for Tinker to sell it's inventory during 2019 is closest to 96.3 days

Suppose you have the following three zero-coupon bond (ZCB) available: a 1-year ZCB that costs $97, a 2-year ZCB that costs $95, and a 3-year ZCB that costs $92. Assume that the par values are $100.

a. What must the price of a 3-year coupon bond with at 8% coupon rate?
b. How would you make an arbitrage profit if the coupon bond was trading at $100?
c. How much arbitrage profit would you make per $100 of the 3-year coupon bond trade?

Answers

Answer:

Bond price = Par value / (1 + 1 year spot rate)1

$97 = $100 / (1 + 1 year spot rate)^1

(1 + 1 year spot rate)^1 = $100 / $97

(1 + 1 year spot rate) = 1.030928

1 year spot rate = 3.0928%

Bond price = Par value / (1 + 2 year spot rate)^2

$95 = $100 / (1 + 2 year spot rate)^2

(1 + 2 year spot rate)^2 = $100 / $95

(1 + 2 year spot rate)^2 = 1.052632

(1 + 2 year spot rate) = (1.052632)(1 / 2)

(1 + 2 year spot rate) = 1.025978

2 year spot rate = 2.5978%

Bond price = Par value / (1 + 3 year spot rate)^3

$92 = $100 / (1 + 3 year spot rate)^3

(1 + 3 year spot rate)^3 = $100 / $92

(1 + 3 year spot rate)^3 = 1.086957

(1 + 3 year spot rate) = (1.086957)(1 / 3)

(1 + 3 year spot rate) = 1.028184

3 year spot rate = 2.8184%

Coupon per period = (Coupon rate / No of coupon payments per year) * Par value

Coupon per period = (8% / 1) * $100

Coupon per period = $8

a) Bond price = Coupon / (1 + 1 year spot rate)^1 + Coupon / (1 + 2 year spot rate)^2 + (Coupon + Par value) / (1 + 3 year spot rate)^3

Bond price = $8 / (1 + 3.0928%)^1 + $8 / (1 + 2.5978%)^2 + ($8 + $100) / (1 + 2.8184%)^3

Bond price based on spot rates = $114.7199

b. Bond price based on spot rates is greater than traded bond price to exploit this arbitrage the following strategy must be implemented

The 3 year 8% coupon bond should be bought at $100.

Portfolio = -$100

1 year zero coupon bond with face value $8 must be sold

Portfolio = (Price of 1 year zero coupon bond / Face value) * Amount of Face value to be Sold

Portfolio = ($97 / $100) * $8

Portfolio = $7.76

2 year zero coupon bond with face value $8 must be sold

Portfolio = Price of 2 year zero coupon bond / Face value) * Amount of Face value to be Sold

Portfolio = ($95 / $100) * $8

Portfolio = $7.6

3 year zero coupon bond with face value $108 must be sold

Portfolio = Price of 3 year zero coupon bond / Face value) * Amount of Face value to be Sold

Portfolio = ($92 / $100) * $108

Portfolio = $99.36

Arbitrage profit = -$100 +  $7.76 + $7.6 + $99.36

Arbitrage profit = $14.72

c) Arbitrage profit = Bond price based on spot rates - Traded Bond price

Arbitrage profit = $114.72 - $100

Arbitrage profit = $14.72

Arbitrage profit would you make per $100 = $14.72

You want to invest $50,000 in a portfolio with a beta of no more than 1.4 and an expected return of 12.4%. Bay Corp. has a beta of 1.2 and an expected return of 11.2%, and City Inc. has a beta of 1.8 and an expected return of 14.8%. The risk-free rate is 4%. You can invest in Bay Corp. and City Inc. How much will you invest in each?

Answers

Answer:

Assume the weight to be invested in Bay Corp is x. That means (1 - x) will be the weight for City Inc. The expression for the expected return will be;

(x * 11.2%) + ( (1 - x) * 14.8%) = 12.4%

0.112x + 0.148 - 0.148x = 0.124

-0.036x = -0.024

x = 0.67

Portfolio beta is;

= 0.67 * 1.2 + ( 1 - 0.67) * 1.8

= 1.398 so beta condition is satisfied.

Amount in Bay Corp.;

= 0.67 * 50,000

= $33,500

Amount in City Inc.;

= 50,000 - 33,500

= $16,500

The amounts that will be invested in Bay Corp. and City Inc. will be $33500 and $16500.

Let the weight invested in Bay Corp be x.Therefore the weight invested in City Inc. will be 1 - x.

Therefore, the equation to solve the question will be:

( x × 11.2%) + [(1 - x) × 14.8%)] = 12.4%

Open the brackets

0.112x + 0.148 - 0.148x = 0.124

Collect like terms

-0.036x = -0.024

x = -0.024 / 0.036

x = 0.67

The portfolio beta will be:

= 0.67 * 1.2 + ( 1 - 0.67) × 1.8

= 1.398 .

Therefore, the amount invested in Bay Corp will be:

= 0.67 × $50,000

= $33,500

Therefore, the amount in City Inc. will be:

= $50,000 - $33,500

= $16,500

Read related link on:

https://brainly.com/question/18353908

Select the correct answer.
Restaurant supply companies handle deliveries of foods and goods to restaurants.
ОА.
True
OB.
False

Answers

Answer:

True

Explanation:

I took the test and this is the right answer. :-)

YCD, Inc., has sales of $5,783, total assets of $2,604, and a debt-equity ratio of 0.75. If its return on equity is 11 percent, what is its net income?

Answers

Answer:Net income=$164

Explanation:

Equity multiplier = 1 + Debt-equity ratio

Equity multiplier = 1 + 0.75

Equity multiplier = 1.75

And the total asset turnover is:

Total asset turnover = Sales / Total assets

Total asset turnover = $5,783 / $2,604

Total asset turnover = 2.22 times

ROE = (Profit margin)(Total asset turnover)(Equity multiplier)

0.11 = (Profit margin)(2.22)(1.75)

Profit margin =  0.14/3.885 =0.0283

Rearranging we can find the net income as

Profit margin = Net income / Sales

Net income = profit margin x Sales

Net income =0.0283 x $5,783,=  $163.6589 = $164

please help its due in 2 hours time will give all my points

"Explain how the development of money over time has helped to improve the way in which monetary transactions are conducted" 6 MARK QUESTION

Answers

Explanation:

First money ever made was just coins and it differed in worth compared to today. In the present, money is not only a physical object but it also an imaginary value on our bank accounts and cards. Having in mind that monetary transactions are all-in-all deposits, withdrawals and exchanges, its way easier to conduct those with not having to give and recieve money in physical form, but being, able to do it all while just transfering the numbers from one to another account. Bankers have less responsibility due to not having to stock all the money in safes and secure boxes, but just checking if all the numbers are adding up. So, shall we say, the development of money over time has improved the way in which monetary transactions are conducted because this way, it's safer, faster and much more trustworthy.

Colleges often rely heavily on raising money for an "annual fund" to support operations. Alumni are typically solicited for donations to the annual fund. Studies suggest that the graduate’s annual income is a good predictor of the amount of money he or she would be willing to donate, and there is a reasonably strong, positive, linear relationship between these variables. In the studies described:

Answers

Answer: size of alum's donation to the annual fund is the response variable

Explanation:

Considering the annual income is a good predictor of the amount of money he or she would be willing to donate, and there is a reasonably strong, then the study indicated that the size of alum's donation to the annual fund is the response variable

A US Multi National Corporation has a contract for a relatively predictable long-term inflow of Japanese yen. The firm decides to hedge the yen exposure by finding a supplier in Japan and paying for these imports in yen. This hedging strategy is known as ________.

Answers

Answer: a natural hedge

Explanation:

Natural hedge is simply a strategy that is used by a company in order to reduce risk and this is done through the investment in the assets that their performance is not positively correlated.

Such companies typically makes revenue in the currency of another country. Since the firm decides to hedge the yen exposure by finding a supplier in Japan and paying for these imports in yen, this hedging strategy is known as natural hedge.

A stock has the following returns over three consecutive years: 85%, 58%, and 128%. What is the arithmetic average?

Answers

Answer:

The stock's arithmetic average is:

90.33%.

Explanation:

a) Data and Calculations:

Returns over three consecutive years:

Year 1 =   85%

Year 2 =  58%

Year 3 = 128%

Total returns = 271%

Average = Total returns divided by number of years

= 271/3

= 90.333

=90.33%

b) The arithmetic average is the total returns divided by the number of years involved.  This implies that we find the average or the mean by adding up some pieces of data together and dividing by the number of the pieces of data.

Feeling "He who does the work of the King ought to be King," Pope Zacharias helped whom become King of the Franks in 751?

a. Charles Martel
b. Childeric
c. Pepin the Short

Answers

Answer:

(C) Pepin The Short

Explanation:

In 741AD, Pepin took over from his father as Mayor of the Palace. He ruled alongside his elder brother.

In 743AD, Pepin and his brother chose Childeric to be the apparent King of the Franks. Both brothers still wielded the functional power to the throne. Childeric was just to 'appear to be' the King (unknown to him though).

In 747AD, Pepin's brother stepped down (intentionally and on his own accord). Pepin then became the only ruler of the entire Frankish territory.

In 751AD, Pepin, without full support from his clan, lured Childeric into monastery in order to remove him as the 'face of Francia'.

Pope Zacharias helped Pepin to be proclaimed King of the Franks, against all opposition.

As a vice president of a financial services company, you serve many clients, and they sometimes ask your company to contribute to their favorite charities. You recently received a letter from Elliana Larios asking for a substantial contribution to the National Court Appointed Special Advocate (CASA) Association. On visits to your office, she has told you about its programs to recruit, train, and support volunteers in their work with abused children. She herself is active in your town as a CASA volunteer, helping neglected children find safe, permanent homes. She told you that children with CASA volunteers are more likely to be adopted and are less likely to reenter the child welfare system.
You have a soft spot in your heart for children and especially for those who are mistreated. You sincerely want to support CASA and its good work. But times are tough, and you can't be as generous as you have been in the past. Ms. Larios wrote a special letter to you asking you to become a Key contributor, with a pledge of $2,000
Your Task Write a refusal letter that maintains good relations with your client. Address it to Ms. Elliana Larios, 8569 East 39th Street, Phoenix, AZ 85730.

Answers

As a vice president of a financial services company, you serve many clients, and they sometimes ask your company to contribute to their favorite charities. You recently received a letter from Elliana Larios asking for a substantial contribution to the National Court Appointed Special Advocate (CASA) Association. On visits to your office, she has told you about its programs to recruit, train, and support volunteers in their work with abused children. She herself is active in your town as a CASA volunteer, helping neglected children find safe, permanent homes. She told you that children with CASA volunteers are more likely to be adopted and are less likely to reenter the child welfare system.

You have a soft spot in your heart for children and especially for those who are mistreated. You sincerely want to support CASA and its good work. But times are tough, and you can't be as generous as you have been in the past. Ms. Larios wrote a special letter to you asking you to become a Key contributor, with a pledge of $2,000

Your Task Write a refusal letter that maintains good relations with your client. Address it to Ms. Elliana Larios, 8569 East 39th Street, Phoenix, AZ 85730.

Hindelang Inc. is considering a project that has the following cash flow and WACC data. What is the project's MIRR?


WACC: 12.25%

Cash flows -

Year 0: - $850
Year 1: $300
Year 2: $320
Year 3: $340
Year 4: $360

Answers

Answer:

MIRR = 17%

Explanation:

The computation of the MIRR of a project is shown below:

Year Cash flows ( in $)

0       -850

1        300

2       320

3       340

4       360

 

WACC 12.25%

MIRR 17%

We simply applied the MIRR over the excel

We simply applied the attached formula so that the correct percentage could come

And, the same is to be considered

1. How much would you pay for a share of stock paying a dividend​(cash payout ​C) of ​$4 to be paid in one​ year, a known selling price in one year ​(​P) of ​$50​, and expected return ​(R) of similar assets of 2​%?2. Compute the price of a share of stock that pays a​$1.50 per year dividend and that you expect to be able to sell in one year for ​$20, assuming you require a 10​% return.

Answers

Answer and Explanation:

The computation is shown below:

a. The willing to pay is

= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\

= ($50) ÷ (1 + 0.02) + ($4) ÷ (1 + 0.02)

= $52.94

b. The price of a share is

= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\

= ($20) ÷ (1 + 0.10) + ($1.50) ÷ (1 + 0.10)

= $19.55

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Charging off the cost of a wastebasket with an estimated useful life of 10 years as an expense of the period when purchased is an example of the application of the

Answers

Answer:

E. materiality concept

Explanation:

The materiality concept refers to a concept in which it impacts the decisions of the user if there is any small impact. In other words, any small impact could change the user decisions with respect to the financial statement i.e. relevant and useful

Therefore according to the given situation, the Option E is correct

And all the other options are incorrect

Other Questions
Find the length of side x in simplest radical form with a rational denominator.WILL GIVE BRAINLIEST!!! hey, this is homework that is due today feel free to help thank you have a gd day "Third Parties" are MOST successful in __A. playing the role of "spoiler" in major electionsB. getting candidates elected governors of statesC. getting issues to be recognized by major partiesD. preventing controversial legislation from becoming lawneed answer fast! what are some similares of persia greece and rome Katie and Mark sit next to one another in class. She has a mass of 40 kg and his mass is 65 kg.If they are 0.5 meters apart, what is the gravitational force between Mark and Katie? Using a Table of Values to Find a Solution to a Systema) Complete the table below to solve the equation 2.5x-10.5=64(0.5)x.x f(x)=2.5x-10.5 g(x)=64(0.5)x2 3 4 5 6 b) Give the solution for the equation: Find the value of y. -6y + 14+4y=32. A.18. B.1.8. C.-9. D.9 Read the passage.The countys "Technology 2020 initiative proposes that the school district provide laptops for every student in grades 9-12. This would cost millions of dollars in planning, implementation, and maintenance. Taxpayers may wonder whether this expensive proposal is a practical solution. It is better than practical, and it is an innovative approach with the potential to enhance students educational experience.Which phrase best reveals the authors viewpoint?provide laptopsmillions of dollarsexpensive proposalinnovative approach 1-2. Because Helen Keller could not hear or see, the keenness of her other senses(e)d by use. It is said that she couldwho was in a room simplyby using her sense of smell.was34. Arobot that collects and delivers mail throughout the office buildings itself with electric eyes.5-6. In fables, animals often illustrate human _$. In the story of the racebetween the tortoise and the hare, the tortoise is meant to the humanqualities of being slow but steady. Despite competing against a muchspeedier antagonist, be perseveres and defeats the overly confident hare. At the beginning of a baking session, there were 2.26 kilograms of flour in a bag. By the end of the baking session, there were 0.98 kilograms of flour in the bag. What is the percent decrease in the amount of flou HELP ASAP PLEASE :))) . . . . . what is -40+7r=-5(8+5r) can someone please help and explain Why does rain forest provide an unusual variety of food for animals? Plz help I am timed A system of government in which all decisions are made by a small, elite group is called a(n)A democracyB. republicC. oligarchyD. theocracy A small deck of 5 cards consists of 3 red Jards and 2 green cards.Draw 7 times with replacement.Find the probability that a red card is drawn exactly 3 times. 3. Why did the landforms and soil of New Englandcause many to turn to the Atlantic Ocean for aliving? What is the output of the following statement? printf("%s", strspn("Cows like to moo.", "Ceiklosw ");a. 10.b. 8.c. e.d. nothing. Which of the examples below is an example of convection?A)rubbing your hands together.B)heating a fish tank.basking in the sun.D)striking a match. can someone help me think about a person or event that deserves a tribute??