Ratios provide one way to compare companies in the same industry regardless of their size.

a. true

b. false

Answers

Answer 1

The statement "Ratios provide one way to compare companies in the same industry regardless of their size" is true. Ratios are used to compare different aspects of a company's financial performance.

They are particularly useful when comparing companies within the same industry because they provide a standardized way to evaluate their financial health.

Ratios normalize the data by expressing it as a proportion or a percentage, which allows for a more meaningful comparison between companies of different sizes.

For example, comparing the revenue of a small company to that of a large company would not provide an accurate picture of their relative performance.

However, if we calculate the revenue as a ratio to other relevant factors like assets or sales, we can get a clearer understanding of how efficiently each company is generating revenue.

Some commonly used ratios to compare companies within the same industry include:

1. Profitability ratios:

These ratios measure a company's ability to generate profit from its operations.

Examples include the gross profit margin, net profit margin, and return on equity.

2. Liquidity ratios:

These ratios assess a company's ability to meet short-term obligations. Examples include the current ratio and the quick ratio.

3. Solvency ratios:

These ratios analyze a company's long-term financial stability and ability to meet long-term obligations.

Examples include the debt-to-equity ratio and the interest coverage ratio.

By comparing these ratios across companies in the same industry, investors and analysts can identify trends, strengths, and weaknesses.

This information can be valuable when making investment decisions or evaluating the financial health of a company.

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Related Questions

The strategic process of distributing, promoting, and pricing products, and discovering the desires of customers using digital media and digital marketing is known as _____.

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In digital marketing, companies utilize various online platforms and techniques to connect with their target audience and promote their products or services. This includes activities such as social media marketing, search engine optimization (SEO), email marketing, content marketing, and online advertising.

Distribution: Digital marketing allows companies to reach a wide audience by distributing their products or services through online channels. This can include selling products directly through an e-commerce website or partnering with online retailers. Promotion: Digital marketing involves promoting products or services through digital platforms such as social media, search engines, websites, and mobile apps.


Companies can use digital tools to analyze market trends, competitor pricing, and customer behavior to set competitive prices that maximize profitability. Discovering customer desires: Digital marketing provides companies with valuable insights into customer preferences and desires. Through data analytics and tracking tools, companies can gather information on customer behavior, interests, and buying patterns.


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evans electronics is concerned about a low retention rate for its employees. in recent years, management has seen a turnover of 10% of the hourly employees annually.

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Evans Electronics has observed a low retention rate among its hourly employees, with a turnover rate of 10% annually in recent years.

The turnover rate indicates the percentage of employees who leave the company and need to be replaced within a given period. A turnover rate of 10% means that, on average, 10% of the hourly employees are leaving the company each year. This can be a concern for Evans Electronics as high turnover can lead to increased recruitment and training costs, loss of institutional knowledge, and decreased employee morale and productivity. To address this issue, Evans Electronics may need to evaluate and improve factors such as employee satisfaction, compensation and benefits, career development opportunities, and work-life balance to enhance employee retention.

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You decide to sell short 390 shares at a price of $62.97 each. The initial margin requirement is 50%.

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You would need to deposit $12,268.15 as the initial margin requirement for selling short 390 shares at a price of $62.97 each.

To sell short 390 shares at a price of $62.97 each, you need to calculate the total value of the shares being sold.

This can be done by multiplying the number of shares (390) by the price per share ($62.97):

Total value = 390 shares * $62.97/share = $24,536.30

The initial margin requirement is given as 50%. This means that you are required to deposit 50% of the total value as margin.

To calculate the margin requirement, multiply the total value by the margin requirement percentage:

Margin requirement = 50% * $24,536.30 = $12,268.15

Therefore, you would need to deposit $12,268.15 as the initial margin requirement for selling short 390 shares at a price of $62.97 each.

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Question-

You decide to sell short 390 shares at a price of $73.37 each. The initial margin requirement is 50%. Attempt 1/10 for 10 pts. Part 1 How much money do you have to contribute to the account? 0+ decimals Submit Part 2 | Attempt 1/10 for 10 pts. If the price rises to $85.66 after 10 months, what is the new percentage margin? 3+ decimals

A hierarchical organizational structure values _____ and assumes that individuals will comply with the organizational mandates when roles are stated formally and enforced through rules and procedures. A hierarchical organizational structure values _____ and assumes that individuals will comply with the organizational mandates when roles are stated formally and enforced through rules and procedures. stability business acumen change flexibility external control

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A hierarchical organizational structure values stability and assumes that individuals will comply with the organizational mandates when roles are stated formally and enforced through rules and procedures.

In this type of structure, there is a clear chain of command, with power and decision-making authority concentrated at the top. This promotes stability by providing a predictable and structured environment. Employees are expected to follow established procedures and guidelines, ensuring consistency in their actions and minimizing deviations.

The hierarchical structure also emphasizes external control. This means that decisions and policies are typically made by top-level management and cascaded down to lower levels. This centralized decision-making process allows for better coordination and alignment within the organization. It also ensures that everyone is aware of their roles and responsibilities, reducing ambiguity and potential conflicts.

However, it's important to note that a hierarchical structure may not be as flexible or adaptive to change compared to other organizational structures. It may have difficulties responding quickly to external market shifts or adapting to new opportunities. Therefore, while a hierarchical structure provides stability and clarity, it may need to be complemented with other structures or strategies to enhance flexibility and adaptability in today's fast-changing business environment.

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What role will the compensation design play in motivating the new sales representative?

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The compensation design plays a critical role in motivating the new sales representative. By offering financial rewards that are tied to their performance and goals, it incentivizes them to excel and achieve outstanding results. This can lead to increased productivity, higher sales, and overall success for both the sales representative and the company.


1. The compensation design refers to the structure and components of the sales representative's pay package.

It includes elements such as base salary, commission, bonuses, incentives, and benefits.


2. A well-designed compensation plan can motivate the sales representative by aligning their financial rewards with their performance and goals.


3. For example, a commission-based structure can incentivize the sales representative to close more deals and increase sales.

The more they sell, the more they earn.


4. Bonuses and incentives tied to specific targets or milestones can also motivate the sales representative to achieve and exceed their goals.


5. Additionally, a competitive base salary and attractive benefits package can serve as a baseline motivator, providing financial stability and security.

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$680 is invested in an account earning 4.3% interest (apr), compounded monthly. write a function showing the value of the account after tt years, where the annual growth rate can be found from a constant in the function. round all coefficients in the function to four decimal places. also, determine the percentage of growth per year (apy), to the nearest hundredth of a percent.

Answers

The percentage of growth per year (APY) is 4.48%.Given that $680 is invested in an account earning 4.3% interest (APR), compounded monthly. We are to write a function showing the value of the account after tt years, where the annual growth rate can be found from a constant in the function.

The formula for compound interest is given by: A = P ( 1 + r/n ) ^ nt,

where A = final amount

P = principal amount

r = annual interest rate

n = number of times the interest is compounded per year

t = time in years

n = 12 since interest is compounded monthly.

Let r = 0.043 (annual interest rate) and n = 12 (number of times the interest is compounded per year).Then we get, f(t) = 680 (1 + 0.043/12)^(12t)f(t) = 680 (1.003583)^12t.

The percentage of growth per year (APY) can be calculated using the following formula: APY = (1 + r/n)^n - 1,

Where r = 0.043 and n = 12APY = (1 + 0.043/12)^12 - 1APY = 0.0448 or 4.48% (rounded to the nearest hundredth of a percent).

Therefore, the function showing the value of the account after tt years is given by:f(t) = 680 (1.003583)^12t. The percentage of growth per year (APY) is 4.48%.

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An investor holds 3,000 shares of a stock with a current market value of $12 per share. After a 1:6 stock split, the investor's position will be

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After a 1:6 stock split, the investor's position will be 18,000 shares.

In a 1:6 stock split, each share is divided into six new shares. To calculate the investor's position after the stock split, we need to multiply the number of shares held before the split by the split ratio.

Before the split, the investor holds 3,000 shares. After the 1:6 stock split, each of these shares is converted into six new shares. Therefore, the calculation would be:

3,000 shares * 6 = 18,000 shares

Following the 1:6 stock split, the investor's position will increase to 18,000 shares. This means that each share the investor held prior to the split will be replaced with six new shares. Stock splits are typically done to increase liquidity and make shares more affordable for investors. While the number of shares held by the investor increases, the total value of the investment remains the same, as the stock price per share is adjusted accordingly. It's important for investors to be aware of stock splits and understand how they impact their positions in order to make informed investment decisions.

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What type of changes can be made to a guaranteed renewable health insurance policy?

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In a guaranteed renewable health insurance policy, certain changes can be made. These changes primarily focus on adjusting the coverage and premium rates.

Firstly, the insured can make modifications to the coverage amount, such as increasing or decreasing it based on their changing healthcare needs. Secondly, changes can be made to the policy's deductibles and copayments, allowing the insured to have more flexibility in their out-of-pocket expenses.

Additionally, changes can be made to the policy's network of healthcare providers, allowing the insured to access a wider or more specific range of doctors and hospitals.

Lastly, premium rates can be adjusted based on factors such as age, health status, and inflation. These changes aim to cater to the insured's evolving healthcare needs while maintaining the policy's guaranteed renewal feature.

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Assume the price of a product rises from $2 to $3 and the quantity demanded of the product decreases from 600 to 400. The price elasticity of demand coefficient, using the midpoint formula, is:

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The price elasticity of demand coefficient, using the midpoint formula, is -1.

Using the midpoint formula, the price elasticity of demand is calculated using the following equation:

Price elasticity of demand = (ΔQ / midpoint Q) ÷ (ΔP / midpoint P)

where,ΔQ = change in quantity demanded,ΔP = change in price, mid-point Q = average quantity demanded, and mid-point P = average price.

The change in price is $1 ($3-$2) and the average price is $2.50.

The change in quantity demanded is 200 (400-600), and the average quantity demanded is 500.

Therefore, the price elasticity of demand coefficient, using the midpoint formula, is:-1 [(-200/500)/(1/2.5)] = -1.

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On January 1, 2021, Carson Co. has the following balances: Projected benefit obligation $3,500,000 Fair value of plan assets 3,000,000 The settlement rate is 10%. Other data related to the pension plan for 2021 are: Service cost $300,000 Amortization of prior service costs due to increase in benefits 100,000 Contributions 500,000 Benefits paid 225,000 Actual return on plan assets 395,000 Amortization of net gain 30,000 The balance of the projected benefit obligation at December 31, 2021 is a. $4,150,000. b. $3,925,000. c. $3,900,000. d. $3,850,000.

Answers

The balance of the projected benefit obligation as per given service cost and settlement rate at December 31, 2021, is given by Option c. $3,900,000.

To calculate the balance of the projected benefit obligation (PBO) at December 31, 2021,

consider the following components,

Beginning PBO,

$3,500,000 (Given)

Service cost,

$300,000 (Given)

Interest cost

Beginning PBO × Settlement rate

= $3,500,000 × 10%

= $350,000

Benefits paid

$225,000

Prior service cost amortization= $100,000

Gain amortization=$30,000

Contributions=$500,000

Actual return on plan assets= $395,000

Now, let's calculate the PBO at December 31, 2021,

Beginning PBO= $3,500,000

Service cost= $300,000

Interest cost= $350,000

Benefits paid= -$225,000 (negative because it reduces the PBO)

Prior service cost amortization= $100,000

Gain amortization= $30,000

Contributions= -$500,000 (negative because it reduces the PBO)

Actual return on plan assets= $395,000

PBO at December 31, 2021

= Beginning PBO + Service cost + Interest cost + Benefits paid + Prior service cost amortization + Gain amortization + Contributions - Actual return on plan assets

= $3,500,000 + $300,000 + $350,000 - $225,000 + $100,000 + $30,000 - $500,000 + $395,000

= $3,900,000

Therefore, the balance of the projected benefit obligation at December 31, 2021, is Option c. $3,900,000.

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Which computer-based information system enables managers to get answers to unexpected and generally nonrecurring situations

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The computer-based information system that enables managers to get answers to unexpected and generally nonrecurring situations is a decision support system (DSS).


1. A decision support system is designed to assist managers in making decisions by providing them with the necessary information and analytical tools.
2. It helps managers analyze complex and unstructured problems that may arise in their decision-making process.
3. DSS allows managers to explore various scenarios and evaluate the potential outcomes before making a decision.

In summary, a decision support system is a computer-based information system that helps managers obtain answers to unexpected and nonrecurring situations by providing them with the necessary information and analytical tools to analyze complex problems.

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Accounts payable refer to obligations owed (by/to) the business and are classified as a(n) (asset/liability/expense) account.

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Accounts payable refer to obligations owed by the business and are classified as a liability account.

Accounts payable represent the amount of money that a business owes to its suppliers or creditors for goods or services received on credit. It is considered a liability because it represents a debt that the business is obligated to pay in the future. Accounts payable are typically short-term obligations and are recorded on the balance sheet under current liabilities. As the business fulfills its payment obligations, the accounts payable balance decreases. Monitoring and managing accounts payable is crucial for maintaining healthy cash flow and vendor relationships.

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He responsibilities principle underlying aicpa auditing standards includes a requirement that:_____

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The responsibilities principle underlying AICPA auditing standards includes a requirement that auditors perform their work with professional competence and due care. This means that auditors must possess the necessary knowledge, skills, and experience to effectively carry out their auditing responsibilities.


Obtain and maintain the necessary level of technical knowledge and proficiency in auditing. This includes staying up-to-date with the latest auditing standards, regulations, and techniques. Exercise professional judgment and skepticism throughout the audit.

Overall, the responsibilities principle emphasizes the importance of professionalism, competence, and diligence in carrying out auditing engagements. By adhering to this principle, auditors can enhance the reliability and credibility of financial statements, providing assurance to users of the financial information.

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A calculation to measure a firm’s balance sheet liquidity on a relative basis (as a ratio) is the:_____.

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The calculation to measure a firm's balance sheet liquidity on a relative basis (as a ratio) is called the current ratio.

The current ratio is a financial ratio used to measure a firm's balance sheet liquidity on a relative basis. It is calculated by dividing the total current assets of a company by its total current liabilities. The current assets include cash, marketable securities, accounts receivable, and inventory, while the current liabilities encompass short-term debts, accounts payable, and other obligations due within one year. The current ratio serves as an indicator of a company's ability to cover its short-term liabilities with its short-term assets.

A higher current ratio suggests that a company has more liquidity and is better positioned to meet its financial obligations in the short term. It is commonly used by investors, creditors, and analysts to assess a company's liquidity and its ability to handle financial challenges. However, it is essential to consider the industry norms and company-specific factors when interpreting the current ratio, as different sectors may have varying liquidity requirements.

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When what people pay does not necessarily reflect the real value they put on a good, it is likely that the good:______.

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When what people pay does not necessarily reflect the real value they put on a good, it is likely that the good is underpriced.  

Underpricing occurs when the price of a good is set lower than its perceived value or the amount that individuals are willing to pay for it. This can happen due to various reasons such as market inefficiencies, pricing strategies, or external factors influencing the pricing mechanism.

Underpricing can lead to an imbalance between supply and demand, as consumers may perceive the good as more valuable than its price suggests. This can result in increased demand and potential market distortions.

In some cases, underpricing may be intentional to attract customers or gain a competitive advantage in the market. However, it can also indicate a market failure or inefficiency, where the true value of the good is not properly reflected in its price.

To ensure market efficiency and accurate price signals, it is important for buyers and sellers to consider the real value of a good and make informed decisions based on their preferences and utility.

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The state of Florida spends $3 million to repave highways. This is included in the ______ category of GDP. a services b investment c net exports d consumption e government purchases

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The answer to the given question is the "government purchases" category of GDP (Gross Domestic Product).

The state of Florida spends $3 million to repave highways. This expenditure by the state of Florida is a part of the government purchases category of GDP. GDP (Gross Domestic Product) is defined as the total market value of goods and services produced by a country in a given time period.

Government purchases are expenditures made by a government, such as those on goods and services, which can include wages and salaries of public employees, public welfare, infrastructure, defense spending, and more.

In the given scenario, the state of Florida spent $3 million on repaving the highways, so this expenditure is included in the government purchases category of GDP. Hence, the correct option is E.

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Without innovation, what options would be available to firms? (choose every correct answer.)

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Without innovation, firms would still have two options available to them. They could choose to continue marketing their current products to their current customers and the possibility of taking their current products to new markets.

The option (B) and (C) are correct.

This involves maintaining their existing customer base and implementing strategies to sustain sales and customer loyalty. This involves identifying untapped customer segments or expanding into new geographic regions where their products have not been introduced yet.

While these options can provide some opportunities for growth and revenue generation, the absence of innovation may limit a firm's ability to adapt to changing market dynamics, meet evolving customer demands, and stay competitive in the long run.

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This question is not complete, Here I am attaching the complete question:

Without innovation, what options would be available to firms? (choose every correct answer.)

A) Develop new products for new markets

B) Continue to market current products to current customers

C) Take current products to new markets

D) Develop new products for current markets

do price discreteness and transactions costs affect stock returns? comparing ex-dividend pricing before and after decimalization

Answers

Price discreteness and transaction costs can have an influence on stock returns. The shift from fraction-based pricing to decimalization has contributed to improved price accuracy, reduced transaction costs, and potentially enhanced market efficiency.

Price discreteness and transaction costs can indeed affect stock returns, particularly when comparing ex-dividend pricing before and after decimalization.
Before decimalization, stock prices were typically quoted in fractions, such as 1/8 or 1/16. This level of price discreteness meant that small price movements were not reflected accurately, leading to potential inefficiencies in the market. Additionally, transaction costs were typically higher, as bid-ask spreads tended to be wider.
However, after decimalization, stock prices were quoted in decimals, such as $0.01 increments. This increased price accuracy and reduced price discreteness, allowing for more precise tracking of stock price movements. As a result, transaction costs decreased due to narrower bid-ask spreads.
These changes in price discreteness and transaction costs can impact stock returns in several ways. Firstly, decreased price discreteness allows for more efficient price discovery, reducing the likelihood of mispricing and improving market efficiency. Secondly, lower transaction costs make it more cost-effective for investors to buy and sell stocks, potentially increasing trading activity and liquidity in the market.
It is important to note that the impact of price discreteness and transaction costs on stock returns may vary depending on other factors, such as market conditions and investor behavior. Therefore, it is necessary to consider these factors when analyzing the relationship between price discreteness, transaction costs, and stock returns.
In conclusion, price discreteness and transaction costs can have an influence on stock returns. The shift from fraction-based pricing to decimalization has contributed to improved price accuracy, reduced transaction costs, and potentially enhanced market efficiency. However, the impact on stock returns is subject to various factors and should be analyzed within a broader context.
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If judges had to be trained as economists before taking their position, they might use ________ analysis when deciding on the right sentence.

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If judges had to be trained as economists before taking their position, they might use economic analysis when deciding on the right sentence.

Economic analysis is a method of examining the economic factors and consequences related to a decision or action. It involves evaluating the costs and benefits of different options and considering the economic impact of the decision. When applying economic analysis to sentencing, judges would consider factors such as the financial costs of different sentences, the potential economic impact on the defendant and their ability to pay fines or restitution, and the overall societal and economic implications of the decision. For example, they might consider the financial burden of incarceration versus alternative forms of punishment, the potential for rehabilitation and reintegration into the workforce, and the economic consequences of a lenient or harsh sentence on the community.

By using economic analysis, judges can make more informed decisions that take into account the economic implications of their sentencing choices. This approach can help promote fairness and efficiency in the justice system by considering the broader economic effects of different sentencing options.

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The two models that are commonly used to explain the relationship between advertising and sales are the

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The two models that are commonly used to explain the relationship between advertising and sales are the hierarchy of effects model and the sales response function model.

The hierarchy of effects model suggests that advertising influences consumer behavior in a sequential process. It proposes that advertising leads to a series of cognitive, affective, and behavioral responses in consumers, ultimately leading to a purchase decision. The model assumes that consumers go through stages of awareness, knowledge, liking, preference, conviction, and finally, purchase. Advertising is seen as a persuasive tool that guides consumers through these stages.

On the other hand, the sales response function model focuses on the quantitative relationship between advertising expenditures and sales. It assumes that there is a direct and measurable impact of advertising on sales. This model aims to quantify the effectiveness of advertising by analyzing the sales response curve, which shows how changes in advertising spending lead to changes in sales. It considers various factors such as the level of advertising, market saturation, competitive factors, and the duration of the advertising campaign.

Both models provide valuable frameworks for understanding the relationship between advertising and sales, but they differ in their approaches and assumptions. While the hierarchy of effects model emphasizes the psychological process and stages that consumers go through, the sales response function model focuses on the quantitative impact of advertising on sales.

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you leave your poodle at a new grooming shop and tell them to wash the dog--a$30 service. they do that and also paint the poodle's nails and tie ribbons in his hair--these services are an extra $10. you pay them for the wash. what about the extra $10 in services?

Answers

You are not obligated to pay the extra $10 for the additional services of painting the poodle's nails and tying ribbons as they were not requested. You have already fulfilled your payment obligation by paying $30 for the wash service.

1. You specifically requested and paid for the wash service, which cost $30.

2. The grooming shop provided additional services of painting the poodle's nails and tying ribbons in its hair without your consent.

3. Since these additional services were not requested by you, you are not obligated to pay the extra $10 for them.

4. You have already fulfilled your payment obligation by paying the agreed-upon amount of $30 for the wash service.

5. If the grooming shop insists on charging you for the additional services, you have the right to discuss the matter with them and clarify that you did not request or authorize those services.

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wildhorse toys company has a balance in inventory at the beginning of the month during the monthe wildhorse purchases additional inventory wildhorse has sales during the month with a related cost of goods sold on these sales. what is wildhorse's ending inventory at the end of the month

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Wildhorse Toys Company's ending inventory at the end of the month would be $7,500.

You would need the following information to figure out Wildhorse Toys Company's month-end inventory:

Initial inventory: The worth of stock toward the beginning of the month.

Purchases: the amount of additional stock that was purchased throughout the month.

Cost of Merchandise Sold (Pinions): The expense related to the stock sold during the month.

The equation to compute finishing stock is:

Finishing Stock = Starting Stock + Buys - Machine gear-pieces

Here is a bit-by-bit clarification and estimation:

Start with the initial value of the inventory.

Add the worth of extra stock bought during the month.

Take the total and subtract the cost of goods sold (COGS) from it.

Let's use the following values as an illustration:

Initial inventory: Purchases for $10,000: $5,000

COGS: $7,500

Utilizing the equation:

The Wildhorse Toys Company's ending inventory at the end of the month would therefore be $7,500. Ending Inventory = $10,000 + $5,000 - $7,500 Ending Inventory = $7,500

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Nordstrom, Inc. operates department stores in numerous states. Selected hypothetical financial statement data (in millions) for 2022 are presented below.

End of Year Beginning of Year

Cash and cash equivalents $ 730 $ 65

Accounts receivable (net) 1,900 1,800

Inventory 800 810

Other current assets 370 425

Total current assets $3,800 $3,100

Total current liabilities $1,990 $1,590

For the year, net credit sales were $8,258 million, cost of goods sold was $5,328 million, and net cash provided by operating activities was $1,251 million. Compute the current ratio, accounts receivable turnover, average collection period, inventory turnover and days in inventory at the end of the current year.

Answers

The current ratio at the end of the current year is 1.91. The accounts receivable turnover at the end of the current year is 4.47. The average collection period at the end of the current year is approximately 81.69 days.


To compute the current ratio, accounts receivable turnover, average collection period, inventory turnover, and days in inventory at the end of the current year, we can use the provided financial statement data.

1. Current Ratio:
The current ratio measures a company's ability to cover its short-term liabilities with its short-term assets. It is calculated by dividing total current assets by total current liabilities.

Current Ratio = Total Current Assets / Total Current Liabilities

In this case:
Current Ratio = $3,800 million / $1,990 million


Current Ratio = 1.91
The current ratio at the end of the current year is 1.91.

2. Accounts Receivable Turnover:
The accounts receivable turnover ratio measures how quickly a company collects its accounts receivable. It is calculated by dividing net credit sales by the average accounts receivable.

Accounts Receivable Turnover = Net Credit Sales / Average Accounts Receivable

In this case:
Average Accounts Receivable = (Beginning Accounts Receivable + Ending Accounts Receivable) / 2
Average Accounts Receivable = ($1,800 million + $1,900 million) / 2

Accounts Receivable Turnover = $8,258 million / Average Accounts Receivable


Accounts Receivable Turnover = $8,258 million / $1,850 million

The accounts receivable turnover at the end of the current year is 4.47.

3. Average Collection Period:
The average collection period represents the average number of days it takes for a company to collect its accounts receivable. It is calculated by dividing 365 days by the accounts receivable turnover.

Average Collection Period = 365 days / Accounts Receivable Turnover

In this case:
Average Collection Period = 365 days / 4.47


Average Collection Period = 81.69 days

The average collection period at the end of the current year is approximately 81.69 days.

4. Inventory Turnover:
The inventory turnover ratio measures how efficiently a company manages its inventory. It is calculated by dividing the cost of goods sold by the average inventory.

Inventory Turnover = Cost of Goods Sold / Average Inventory

In this case:
Average Inventory = (Beginning Inventory + Ending Inventory) / 2
Average Inventory = ($810 million + $800 million) / 2

Inventory Turnover = $5,328 million / Average Inventory


Inventory Turnover = $5,328 million / $805 million

The inventory turnover at the end of the current year is approximately 6.62.

5. Days in Inventory:
The days in inventory represents the average number of days it takes for a company to sell its inventory. It is calculated by dividing 365 days by the inventory turnover.

Days in Inventory = 365 days / Inventory Turnover

In this case:
Days in Inventory = 365 days / 6.62

Days in Inventory = 55.22 days

The days in inventory at the end of the current year is approximately 55.22 days.

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In order to prevent a claim from being denied or rejected submit an insurance claim within ________ days of the date of the procedure.

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In order to prevent a claim from being denied or rejected, it is important to submit an insurance claim within a specific timeframe. This timeframe varies depending on the insurance provider and the type of procedure. Typically, insurance companies require claims to be submitted within a certain number of days from the date of the procedure.

To give you an example, let's say your insurance policy states that claims must be submitted within 30 days. If you undergo a medical procedure on January 1st, you would need to submit your claim before January 31st. Failing to do so may result in your claim being denied or rejected.

It's important to carefully review your insurance policy or contact your insurance provider to determine the specific time limit for submitting claims. By adhering to this requirement, you increase the likelihood of your claim being processed smoothly and avoiding any potential issues.

In summary, to prevent claim denial or rejection, make sure to submit your insurance claim within the specified number of days from the date of the procedure as stated in your insurance policy.

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A bank might make mortgages to people in different regions of the country. By doing so Select one: a. the bank reduces the risk it faces from falling house prices in its region and falling prices in all regions. b. the bank reduces the risk it faces of falling house prices in its region but not from falling prices in all regions. c. the bank reduces the risk it faces of falling house prices in all regions, but not the risk it faces from falling house prices in its regions. d. the bank reduces neither the risk it faces from falling house prices in its region nor falling prices in all regions.

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By making mortgages to people in different regions of the country, a bank reduces the risk it faces from falling house prices in its region and falling prices in all regions. This is because when a bank lends money to borrowers in different regions, it diversifies its mortgage portfolio.

Diversification means spreading investments across different assets or regions to reduce the risk associated with any single investment.

In the context of mortgages, diversifying across regions helps the bank mitigate the impact of falling house prices in a particular area.

If the bank had concentrated its lending only in one region, it would be more vulnerable to the risk of falling house prices in that specific area.

Let's consider an example to understand this better.

Suppose a bank only offers mortgages in a single region, and the housing market in that area experiences a decline, leading to falling house prices.

In this case, the bank would be heavily affected as the value of its mortgage portfolio would decrease, potentially leading to financial losses.

However, if the bank has mortgages in different regions, it is less exposed to the risk of falling house prices in any one particular area.

If there is a decline in one region, the bank's overall portfolio is less likely to be severely impacted because the properties in other regions may maintain their value or even appreciate.

This diversification helps reduce the bank's overall risk exposure.

By making mortgages to people in different regions of the country, a bank reduces the risk it faces from falling house prices in its region and falling prices in all regions.

Diversifying its mortgage portfolio across different regions helps mitigate the impact of regional housing market fluctuations, enhancing the bank's overall risk management strategy.

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A(n) ______ is a component of formal organization that uses rules and hierarchical ranking to achieve efficiency.

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A bureaucracy is a component of formal organization that uses rules and hierarchical ranking to achieve efficiency.

A bureaucracy is a specific type of organizational structure characterized by formalized rules, regulations, and hierarchical authority. It is designed to achieve efficiency and effectiveness by clearly defining roles, responsibilities, and procedures. Bureaucracies often have a strict chain of command, with decision-making authority concentrated at the top levels.

A bureaucracy is a key component of formal organizations that aims to achieve efficiency through the implementation of rules and a hierarchical structure. It provides a framework for coordinating and organizing activities within the organization, ensuring clarity of roles and responsibilities, and facilitating efficient decision-making processes.

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Sources of healthcare revenue in the United States include: A. A variety of public programs B. Private payers C. Certain governmental sources D. All of the above

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The sources of healthcare revenue in the United States include all of the following: A variety of public programs, Private payers, Certain governmental sources so D. All of the above.

The healthcare industry is one of the largest and most complex industries in the world. The high cost of healthcare is one of the main issues confronting the United States, with healthcare expenditures as a percentage of GDP remaining higher than those in other industrialized countries. Healthcare spending in the United States has increased steadily over time, with a significant percentage of the population unable to afford healthcare. Medicare, Medicaid, and other public health insurance programs are the main sources of healthcare revenue in the United States. Private payers, such as employers, are also a significant source of healthcare revenue. Governmental sources, such as grants, are also important. The correct option is D.

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If the fed begins to buy treasury bills to counter a recession, we would expect to see?

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If the Fed begins to buy treasury bills to counter a recession, we would expect to see an increase in the demand for these treasury bills. This increase in demand would result in higher prices for treasury bills and lower yields. The Fed's purchase of treasury bills injects money into the economy, which can help stimulate spending and investment.

Additionally, this action can lower interest rates and make borrowing cheaper, encouraging businesses and individuals to take out loans and invest in the economy. Ultimately, the goal of the Fed's purchase of treasury bills is to increase liquidity and stimulate economic activity during a recession.

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last month, one of our employees decided to take advantage of the opportunity we allow employees to early exercise their half of their total stock option grant. given our company is currently valued at $300 trillion, they sure were happy they were granted 10,000 shares at a strike price of only $2. par value was also very low at $0.0001. what would be the journal entry for this transaction?

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The journal entry for this transaction would be as follows:

Debit: Stock Options Expense - 10,000 shares x ($2 - $0.0001) = $19,999.99 Credit: Common Stock - Par Value - 10,000 shares x $0.0001 = $1 Credit: Additional Paid-in Capital - 10,000 shares x ($2 - $0.0001 - $0.0001) = $19,998.99 In this journal entry, we debit the Stock Options Expense account to recognize the expense associated with granting the employee the stock options. The expense is calculated by multiplying the number of shares (10,000) by the difference between the strike price ($2) and the par value ($0.0001). This represents the intrinsic value of the options. We then credit the Common Stock - Par Value account to reflect the par value of the shares issued. The par value is calculated by multiplying the number of shares (10,000) by the par value per share ($0.0001). Finally, we credit the Additional Paid-in Capital account to record the excess value received from the employee exercising the stock options. This is calculated by multiplying the number of shares (10,000) by the difference between the strike price, par value, and the intrinsic value of the options ($2 - $0.0001 - $0.0001).

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If a bond has a fixed coupon interest rate, the only way for the bond to increase its return to investors is to Question 49 options: drop in value and sell for less. increase in value and sell for more. change its coupon interest rate. All of these are correct.

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The correct answer is: All of these are correct.

When a bond has a fixed coupon interest rate, the only way for the bond to increase its return to investors is through a combination of the following options:

1. Increase in value and sell for more: If the market conditions change and the bond becomes more attractive to investors, its market value can increase. Investors can then sell the bond at a higher price, resulting in a higher return.

2. Drop in value and sell for less: Conversely, if the market conditions deteriorate or the bond becomes less attractive, its market value can decrease. In such cases, investors may choose to sell the bond at a lower price, resulting in a lower return.

3. Change its coupon interest rate: Although less common, some bonds may have provisions that allow for the adjustment of their coupon interest rates. If the issuer decides to change the coupon rate, it can affect the bond's return to investors.

Therefore, all of these options can impact the return on a bond with a fixed coupon interest rate.

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