Raynolde Company uses a periodic inventory system. At the end of 2016, the following information is available:
Purchase returns and allowances $ 1,400
Inventory, 12/31/2016 11,900
Purchases 21,200
Inventory, 1/1/2016 10,800
Purchases discounts 600
Required:
Prepare a schedule to compute Raynolde Company's cost of goods sold for 2016.
RAYNOLDE COMPANY
Cost of Goods Sold Schedule
For the Year Ended December 31, 2016
Inventory, 1/1/2016 $
Purchases Purchases returns and allowances Purchases discounts Cost of goods available for sale $
Less: Inventory, 12/31/2016 Cost of goods sold $

Answers

Answer 1

Subtracting the ending inventory of $11,900 from the cost of goods available for sale to get the cost of goods sold, which is $18,100.

RAYNOLDE COMPANY Cost of Goods Sold Schedule For the Year Ended December 31, 2016 Inventory, 1/1/2016 $10,800 Purchase $21,200 Purchase returns and allowances $1,400 Purchases discounts $600 Cost of goods available for sale $30,000 Less: Inventory, 12/31/2016 $11,900 Cost of goods sold $18,100
To calculate the cost of goods sold for 2016, we start with the inventory on hand at the beginning of the year, which is given as $10,800. We then add the purchases made during the year, which total $21,200. We subtract the purchase returns and allowances of $1,400 and the purchase discounts of $600 from the total purchases to get a net purchases amount of $19,200. Adding the beginning inventory and net purchases gives us the cost of goods available for sale, which is $30,000. Finally, we subtract the ending inventory of $11,900 from the cost of goods available for sale to get the cost of goods sold, which is $18,100.

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Related Questions

Assume that the cost equation in dollars of producing x units of a product is given by the equation C(x) = 2500 + 10x and that the monthly demand equation for the product is given by the equation p = 40 - where x is the number of units 1500 demanded per month when the price charged is p dollars. Use the above information to compute the monthly revenue equation for the product. Then find the monthly profit equation for the above product and use it to compute the monthly marginal profit function for this product. Finally use this to determine the marginal profit associated with a monthly production level of 8250 units. Revenue Equation = R(x) = Profit Equation = P(x) = Equation for Marginal Profit = MP(x) = MP(8250) =

Answers

The monthly revenue equation for the product is R(x) = 40x - x^2/37.

To find the monthly revenue equation, we need to multiply the price (p) by the quantity sold (x). Since p = 40 - x/1500, we can substitute this expression for p into the equation for revenue, which gives R(x) = (40 - x/1500) * x = 40x - x^2/37.

The monthly profit equation for the product is P(x) = 40x - x^2/37 - 2500 - 10x.

To find the monthly profit equation, we subtract the cost equation (C(x) = 2500 + 10x) from the revenue equation (R(x) = 40x - x^2/37) and simplify. This gives P(x) = 40x - x^2/37 - 2500 - 10x.

The equation for the marginal profit is MP(x) = 30 - 2x/37.

To find the equation for the marginal profit, we take the derivative of the profit equation with respect to x, which gives MP(x) = dP/dx = 40/37 - 2x/37.

The marginal profit associated with a monthly production level of 8250 units is MP(8250) = -10/37 dollars per unit.

To find the marginal profit associated with a production level of 8250 units, we substitute x = 8250 into the equation for MP(x), which gives MP(8250) = 30 - 2(8250)/37 = -10/37 dollars per unit.

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At freshman orientation, 1,500 students are asked to flip a coin 20 times. One student is crowned the winner (tossed 20 heads). This is most closely associated with ________________________ ?

Answers

At freshman orientation, 1,500 students are asked to flip a coin 20 times. One student is crowned the winner (tossed 20 heads). This is most closely associated with assuming that the coin was fair and no manipulation was involved, it is safe to conclude that the winner was simply lucky.

At freshman orientation, the act of flipping a coin 20 times by 1,500 students and one being crowned the winner after tossing 20 heads is most closely associated with probability and chance. The probability of getting heads or tails on a coin toss is 1/2 or 0.5. Therefore, the probability of getting heads 20 times in a row is 1/2 raised to the 20th power, which is approximately 1 in a million.

This is an example of an extremely rare event, but not impossible. In the context of statistics, this type of event is known as a "statistical outlier" or an "extreme value." Such events may occur by chance, but they can also be influenced by factors such as bias or manipulation. In this case, assuming that the coin was fair and no manipulation was involved, it is safe to conclude that the winner was simply lucky.

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If you decided to leave your current employer and establish your own venture what actions will decrease the likelihood of being sued for convincing other employees from the company to leave with you?
A) Working in the Human Resources department of the employer
B) Talking to them after the business hours
C) Talking to them over e-mail or phone
D) Offering them better working conditions in the new company
E) None of the above

Answers

E) None of the above actions is a foolproof way to avoid potential legal consequences. However, it is generally advised to exercise caution in your actions.

Engaging in certain activities, such as actively recruiting employees from your current employer, can potentially lead to legal disputes. Non-solicitation or non-compete agreements may be in place, and it's important to be aware of any contractual obligations you have with your current employer.  

To mitigate potential legal risks, you should consult with an attorney who specializes in employment law. They can provide you with specific advice based on the jurisdiction and circumstances involved. Additionally, maintaining professionalism, respecting confidential information, and avoiding any unfair competition practices can help ensure a smoother transition and minimize the likelihood of legal issues arising.  

Remember, it's important to seek legal counsel to fully understand the implications and potential risks associated with leaving your current employer and starting your own venture.

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the experts say that a person under the age of 40 should have a majority of their retirement money invested in the stock markets. what is the reason for this? younger people have enough time ahead of them to ride out any dramatic market movements. on average, common stocks provide a higher return on investment than other investment options. younger people generally don't have enough money to invest in other options. all of the above are correct. only a and b are correct.

Answers

Experts suggest that a person under the age of 40 should have a majority of their retirement money invested in the stock markets because younger people have enough time ahead of them to ride out any dramatic market movements and on average, common stocks provide a higher return on investment than other investment options.

As younger people have a longer investment horizon, they can afford to take on more risk, as they have more time to recover from any market downturns. This means that they can invest in assets such as common stocks that are more volatile but offer a higher potential return. Over the long run, common stocks have historically provided a higher return on investment compared to other investment options, such as bonds or cash. For example, according to historical data, the average annual return on the S&P 500 index (a commonly used benchmark for the US stock market) has been around 10% over the past century. Additionally, younger people generally have more time to save and accumulate wealth, which may allow them to invest in other options over time. However, in the early stages of saving for retirement, common stocks may be the most appropriate investment option for younger investors. By allocating a majority of their retirement money to the stock markets, younger investors can potentially benefit from the higher returns and grow their retirement savings over time.

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The default calculation using the PMT function will produce a negative number.TrueFalse

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False, the default calculation using the PMT function does not produce a negative number.

The PMT function is commonly used in spreadsheet software, such as Microsoft Excel, to calculate the periodic payment for a loan or investment. By default, when using the PMT function, the calculated payment amount will be displayed as a positive number.

The positive value indicates the amount of cash flow required for regular payments. However, it's important to note that the PMT function uses a negative sign convention for cash outflows and a positive sign convention for cash inflows.

This means that when inputting other values in the PMT function, such as interest rate and number of periods, the appropriate signs should be considered to ensure accurate calculations.

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if product price increases, then: a.mrp will increase. b.mfc will increase. c.mp will decrease. d.mp will increase.

Answers

If product price increases, then "MRP will increase". MRP stands for Maximum Retail Price, which is the maximum price at which a product can be sold to the consumer.

When the product price increases, the MRP of the product also increases. This is because the MRP is calculated based on the cost of production, transportation, marketing, and other expenses involved in bringing the product to the market, along with a certain margin of profit. If the product price increases, these costs also increase, leading to an increase in the MRP. The other options, such as MFC (Marginal Fixed Cost) and MP (Marginal Product), may or may not be affected by the increase in product price, depending on the specific factors affecting the production and pricing of the product. However, it is unlikely that an increase in product price would lead to a decrease in MP, as this would suggest a decrease in the productivity of resources used in production, which is unlikely to occur due to a simple increase in price.

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Inventory is reported in the financial statements ata) market.b) the lower-of-cost-or-net realizable value.c) all of these are correct.d) the higher-of-cost-or-net realizable value

Answers

Inventory is reported in the financial statements at the lower-of-cost-or-net realizable value.

This is a generally accepted accounting principle that requires companies to report their inventory at the lower of cost or net realizable value. Cost is the amount paid to acquire or produce the inventory, while net realizable value is the estimated selling price less any costs to sell the inventory. The lower-of-cost-or-net realizable value rule ensures that inventory is not overstated on the balance sheet and that potential losses due to obsolescence, damage, or decreased demand are recognized in a timely manner. This rule also ensures that inventory is valued at a conservative amount, which can help to prevent overstatement of profits and subsequent tax liabilities. Therefore, option (b) "the lower-of-cost-or-net realizable value" is the correct answer.

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in the single-index apt model, consider two well-diversified portfolios with and . if the market excess return is , what is the value of ?

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In the single-index Arbitrage Pricing Theory (APT) model, the expected return of a well-diversified portfolio is based on its sensitivity to the market excess return, which is represented by beta (β).

We have two well-diversified portfolios, A and B, with betas of βA and βB, respectively. The market excess return is denoted as Rm - Rf, where Rm is the market return, and Rf is the risk-free rate.
To find the value of the difference in expected returns between portfolios A and B, denoted as ΔE(R), we follow these steps:

1. Calculate the expected return of portfolio A: E(RA) = Rf + βA * (Rm - Rf)
2. Calculate the expected return of portfolio B: E(RB) = Rf + βB * (Rm - Rf)
3. Find the difference in expected returns: ΔE(R) = E(RA) - E(RB)

By plugging in the given values, we can determine the value of ΔE(R) for the two portfolios in relation to the market excess return.

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a company is considering eliminating its backpack division, which reported an operating loss for the recent year of $42,000. the division sales for the year were $960,000 and the variable costs were $475,000. the fixed costs of the division were $527,000. if the backpack division is dropped, all of the fixed costs allocated to the division will be eliminated. the impact on the company's operating income for eliminating this business segment would be: group of answer choices $485,000 decrease $42,000 increase $274,200 decrease $42,000 increase $274,200 increase

Answers

The impact on the company's operating income for eliminating the backpack division can be calculated as follows: Operating loss of the backpack division = Sales - Variable costs - Fixed costs.

= $960,000 - $475,000 - $527,000

= -$42,000

If the division is dropped, all of the fixed costs allocated to the division will be eliminated, resulting in a decrease in fixed costs of $527,000.

Therefore, the impact on the company's operating income for eliminating this business segment would be:

Operating income = Income from continuing operations - Operating loss of the backpack division +/- Impact of eliminating the backpack division

Since the backpack division reported an operating loss of $42,000 and eliminating it would result in a decrease in fixed costs of $527,000, the impact on operating income would be a positive $485,000 increase:

Operating income = Income from continuing operations - $42,000 - $527,000

= Income from continuing operations - $569,000

If the backpack division is eliminated, the company's operating income would increase by $485,000:

Operating income = Income from continuing operations - $569,000 + $485,000

= Income from continuing operations - $84,000

Therefore, the correct answer is: $485,000 increase.

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why do hmos promote healthy lifestyles and preventive care? responses it is cheaper to prevent an illness than to treat an illness. it is cheaper to prevent an illness than to treat an illness. people with healthy lifestyles never get sick, thus costing less. people with healthy lifestyles never get sick, thus costing less. premiums increase for all when patients become ill. premiums increase for all when patients become ill. it costs too much money to attract new patients.

Answers

The primary reason HMOs encourage healthy lives and preventive care is that sickness prevention is more cost-effective than illness treatment. Here option A is the correct answer.

HMOs (Health Maintenance Organizations) promote healthy lifestyles and preventive care as a cost-saving measure. Preventive care measures such as routine check-ups, screenings, and vaccinations can help identify and address health problems before they become more serious and expensive to treat.

By promoting healthy lifestyles, such as regular exercise, healthy eating, and avoiding tobacco and alcohol, HMOs can reduce the risk of chronic diseases such as heart disease, diabetes, and cancer. Treating these chronic illnesses can be costly, especially if they are not caught early.

Additionally, when patients become ill and require expensive treatments, premiums increase for all members of the HMO. Therefore, promoting healthy lifestyles and preventive care is not only beneficial for individual patients but also for the HMO's overall financial health. It is more cost-effective to invest in preventive care measures and encourage healthy behaviors rather than waiting for illnesses to develop and treating them after the fact.

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Complete question:

Which of the following is the main reason why HMOs promote healthy lifestyles and preventive care?

A. It is cheaper to prevent an illness than to treat an illness.

B. People with healthy lifestyles never get sick, thus costing less.

C. Premiums increase for all when patients become ill.

D. It costs too much money to attract new patients.

if the auditor were interested in ensuring that all sales have been recorded, the population would be defined as:

Answers

If an auditor were interested in ensuring that all sales have been recorded, the population would be defined as all sales transactions for the given period.

This includes both cash and credit sales, as well as any returns or allowances. The auditor would need to verify that each sale was properly recorded in the accounting system and that no sales were omitted or manipulated. To accomplish this, the auditor would likely use a sampling technique to select a subset of sales transactions for testing. The auditor would then perform various procedures, such as tracing sales to supporting documents or checking the accuracy of sales entries, to determine the completeness and accuracy of the sales records. It is essential that the auditor ensures that all sales are recorded, as any unrecorded or inaccurate sales could result in misstated financial statements and ultimately impact the decision-making of stakeholders.

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how are interfund receivables and payables reported in the government-wide statement of net position

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Interfund receivables and payables are reported differently in the government-wide statement of net position.

Interfund receivables represent amounts owed to a governmental entity from other funds within the same reporting entity. These receivables arise when one fund provides goods, services, or financial resources to another fund. In the government-wide statement of net position, interfund receivables are eliminated because they represent internal balances within the organization. They are not considered assets or liabilities from an external perspective.
Interfund payables, on the other hand, represent amounts owed by a governmental entity to other funds within the same reporting entity. These payables arise when one fund receives goods, services, or financial resources from another fund. Similar to interfund receivables, interfund payables are eliminated in the government-wide statement of net position.The purpose of eliminating interfund receivables and payables is to avoid double counting internal transactions and to present a consolidated view of the organization's financial position. By eliminating these internal balances, the government-wide statement of net position provides a more accurate representation of the organization's overall financial health and obligations to external parties.

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Which of the following is not a primary source of capital to the firm?
A. Assets
B. Common stock
C. Preferred stock
D. Bonds

Answers

Assets is not a primary source of capital to the firm. The correct answer is option A. The primary sources of capital for a firm typically refer to the ways in which a company raises funds to finance its operations and investments.

Assets, such as property, equipment, or inventory, are not considered a primary source of capital. Instead, assets represent the resources owned by a company that can be used to generate income or serve as collateral for obtaining capital from other sources.

The primary sources of capital include equity and debt instruments. Common stock and preferred stock are examples of equity financing, where investors purchase shares of the company in exchange for ownership rights and potential dividends.

Bonds, on the other hand, represent debt financing, where the company borrows funds from investors or lenders and promises to repay the principal amount with interest over a specified period.

While assets can contribute to a firm's overall financial position and value, they are not directly considered a primary source of capital. Rather, they are the underlying resources that may be utilized to secure funding from primary capital sources.

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the term _______ applies when pervasive, economy-wide factors cause widespread credit risk.

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The term "systemic risk" applies when pervasive, economy-wide factors cause widespread credit risk.

Systemic credit risk arises when there is a contagion effect, wherein the failure of one entity or sector has a cascading impact on others due to interconnectedness and interdependencies in the financial system.

This interconnectedness can occur through various channels, such as counterparty exposures, common asset holdings, or shared funding sources.

Calculating systemic credit risk involves assessing the vulnerability and potential impact of various systemic factors on credit quality.

This analysis includes evaluating macroeconomic indicators, such as GDP growth, unemployment rates, interest rates, and financial market conditions.

Additionally, it involves monitoring factors specific to the credit market, such as aggregate debt levels, default rates, and the health of financial institutions.

In conclusion, systemic credit risk emerges when widespread economic factors trigger credit risks that spread throughout the financial system.

Assessing and managing this risk is crucial for maintaining financial stability and preventing a domino effect of credit defaults and market disruptions.

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many marketers, finding their home markets to be nearing the saturation point in terms of sales opportunities, are looking to the growing ________ in developing countries to expand their sales.

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Many marketers, finding their home markets nearing saturation in terms of sales opportunities, are looking to the growing markets in developing countries to expand their sales.

Marketers are exploring the growing markets in developing countries to expand their sales as their home markets approach saturation.

As businesses reach a saturation point in their home markets, where there is limited room for further growth, they often seek new opportunities in developing countries. Developing countries typically have emerging economies and rising consumer populations, making them attractive markets for expansion. These markets offer untapped potential and present opportunities for marketers to introduce their products or services to a new customer base.

By entering these developing markets, businesses can tap into the increasing purchasing power of consumers in these regions and expand their sales. This expansion strategy allows marketers to diversify their revenue streams and mitigate the risks associated with relying solely on saturated markets. Additionally, expanding into developing countries can provide businesses with access to new demographics, cultural preferences, and market dynamics, enabling them to adapt their offerings and marketing strategies to meet the specific needs and preferences of consumers in these regions.

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last year dallas company reported sales of $640,000, a contribution margin of $160,000, and a net loss of $40,000. based on this information, dallas needed how much in total sales to breakeven?

Answers

Dallas Company needed $640,000 / 0.813 = $787,473 in total sales to break even.

To break even, a company's total sales should cover all its costs, including fixed costs and variable costs. The contribution margin represents the amount of revenue that is left over after covering variable costs, and it is used to contribute towards covering fixed costs.

To calculate the breakeven point, we need to determine the total fixed costs for the company. We can use the contribution margin to calculate the fixed costs as follows:

Contribution margin = Total sales - Total variable costs

$160,000 = $640,000 - Total variable costs

Total variable costs = $480,000

To calculate the breakeven point, we can divide the total fixed costs by the contribution margin per unit:

Breakeven point = Total fixed costs / Contribution margin per unit

Breakeven point = ($480,000 + $40,000) / ($640,000 / Units sold)

Breakeven point = $520,000 / ($640,000 / Units sold)

Breakeven point = Units sold = 0.813

Therefore, Dallas Company needed $640,000 / 0.813 = $787,473 in total sales to break even.

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profit opportunities are greatest for firms that use a(n) strategy overseas.question 45 options:indirect exportingdirect investmentcontract manufacturingfranchisingjoint ownership

Answers

Profit opportunities are greatest for firms that use franchising strategy overseas.

In order to utilize a firms trademark and advertise its goods or services, a franchisee is a semi-independent business owner who pays a franchiser fees and royalties. Depending on the deal, a franchise package's terms and conditions change. However, it often consists of the following: tools, management guidelines, staff training, and site approval.

Although franchising is a popular and generally effective technique of entering international markets, firms considering this entry mode must take both the advantages and disadvantages of franchising into account. The most prevalent benefits of franchising have to do with how it builds on an established business model. The franchiser isn't directly exposed to the risks connected with the overseas market because the franchisee typically also has local experience.

Option D is the correct answer.

The complete question is, "Profit opportunities are greatest for firms that use a(n) strategy overseas.

A. indirect exporting

B. direct investment contract

C. manufacturing

D. franchising

E. joint ownership"

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Which of the following transactions is not a financing activity of ABC Company? A. Purchased 500 shares of stock of XYZ Corporation. B. Sold 1,000 shares of treasury stock. C. Borrowed $50,000 from First American Bank. D. Paid dividends of $8,000.

Answers

Out of the four options provided, option A and B are related to investing activities, option C is related to financing activity, and option D is related to operating activity.

Therefore, the transaction that is not a financing activity of ABC Company is option A, which is the purchase of 500 shares of stock of XYZ Corporation. This is because purchasing shares of another company is considered an investing activity, as it involves the acquisition of assets that are expected to generate returns in the future. Financing activities typically involve raising or repaying funds from creditors or investors, such as borrowing money or issuing stock. Option B, the sale of treasury stock, could also be classified as a financing activity, as it involves the issuance of equity to raise capital for the company.

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manchester inc is expected to pay an annual dividend of $2.50 a share next year. the market price of the stock is $24.09 and the growth rate is 2.6 percent what is the cost of eguity?

Answers

The cost of equity can be calculated using the Dividend Discount Model (DDM) formula, which takes into account the expected dividend, the cost of equity for Manchester Inc. is approximately 12.98%.

the current market price of the stock, and the growth rate. The formula for the cost of equity using DDM is:

Cost of Equity = (Dividend / Stock Price) + Growth Rate

In this case, the expected dividend is $2.50, the market price of the stock is $24.09, and the growth rate is 2.6%.

Plugging these values into the formula, we get:

Cost of Equity = ($2.50 / $24.09) + 0.026

Cost of Equity = 0.1038 + 0.026

Cost of Equity ≈ 0.1298 or 12.98%

Therefore, the cost of equity for Manchester Inc. is approximately 12.98%.

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fill in the blank : _____ is a high achievement-oriented career stage in which people focus on increasing their competence.

Answers

The stage is known as the "Mastery stage" which represents a career phase characterized by an unwavering commitment to increasing competence and achieving mastery in one's field

The Mastery stage is a significant phase in one's career where individuals dedicate themselves to achieving high levels of competence and expertise. At this stage, individuals exhibit a strong drive to continually enhance their skills, knowledge, and capabilities. They actively seek out opportunities to expand their understanding, tackle challenging projects, and push the boundaries of their abilities.

During the Mastery stage, individuals prioritize learning and development, often investing time and effort into acquiring new knowledge, honing their existing skills, and acquiring specialized expertise in their chosen field. They may pursue advanced training, certifications, or higher education to deepen their understanding and broaden their scope of expertise.

In this stage, individuals demonstrate a relentless pursuit of excellence. They set ambitious goals for themselves, striving for continuous improvement and pushing their limits. They actively seek feedback and guidance from mentors, colleagues, or industry experts to identify areas for growth and refine their approach.

Furthermore, individuals in the Mastery stage often take on leadership roles and become valuable resources within their organizations or professional communities. They willingly share their knowledge and expertise with others, mentoring and guiding less-experienced individuals to foster a culture of learning and development.

Overall, the Mastery stage represents a career phase characterized by an unwavering commitment to increasing competence and achieving mastery in one's field. It involves a continuous cycle of learning, practice, and improvement, as individuals strive to become recognized experts and make significant contributions within their chosen domain.

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What two defenses are available to employers defending themselves against discrimination charges?
A) BFOQ and business necessity
B) EEO and business necessity
C) BFOQ and affirmative action
D) EEO and affirmative action

Answers

The two defenses available to employers defending themselves against discrimination charges are BFOQ (Bona Fide Occupational Qualification) and business necessity.

BFOQ is a defense that employers can use when they can demonstrate that a particular characteristic, such as gender or age, is reasonably necessary for a specific job or task. For example, hiring only female actors for female roles in a movie would be considered a BFOQ defense. On the other hand, the business necessity defense requires employers to show that a particular employment practice or requirement is necessary for the operation of their business and is related to the job in question. This defense focuses on showing that the practice is essential for the organization's legitimate business interests.

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a firm currently has operating income of $4 million, interest expense of $2 million, and eps of $2. how low can operating income drop before eps are reduced by half (to $1)? ignore taxes. group of answer choices $2.0 million $3.5 million $2.5 million $3.0 million

Answers

Therefore, the operating income can drop to $2 million before EPS is reduced by half. Among the given answer choices, the closest option is $2.0 million.

To determine how low the operating income can drop before EPS is reduced by half, we need to calculate the earnings per share (EPS) at the current operating income level and find the corresponding operating income level at which EPS reaches $1.

EPS is calculated by dividing the operating income (OI) by the number of shares outstanding (SO):

EPS = OI / SO

Given that the current EPS is $2, we can rearrange the formula to find the number of shares outstanding:

SO = OI / EPS

SO = $4 million / $2

SO = 2 million shares

Now, we can find the operating income level at which EPS would be reduced to $1:

EPS = $1

SO = 2 million shares

$1 = OI / 2 million

OI = $1 * 2 million

OI = $2 million

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Which metric best helps you convey the value of your advertising strategy?
1. CPC
2. Reach
3. CPM
4. ROAS

Answers

The metric that best helps you convey the value of your advertising strategy is the Return on Ad Spend (ROAS).(option.4)

ROAS is an important metric because it measures the effectiveness of your advertising campaign by comparing the revenue generated from the ads to the amount spent on them.

To calculate ROAS, follow these steps:
1. Determine the total revenue generated from the advertising campaign.
2. Calculate the total cost of the advertising campaign (including ad spend and any associated costs).
3. Divide the revenue generated by the total cost to obtain the ROAS.

A high ROAS indicates a successful advertising strategy, as it shows that your ads are generating more revenue than the cost of running them.

It provides a clear picture of the value and profitability of your advertising efforts compared to other metrics such as 1. Cost per Click (CPC), 2. Reach, and 3. Cost per Thousand Impressions (CPM), which mainly focus on the cost and reach of the ads rather than their return on investment.

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an unclosed shopping center has a long strip of 60 retail stores, anchored by a free-standing home depot on one end and a free-standing costco on the other end. what type of shopping center is this an example of?

Answers

The shopping center described in the question is an example of a strip mall.

A strip mall is a type of shopping center that typically features a long strip of retail stores, anchored by one or more larger stores at either end. In the case of the shopping center described in the question, the free-standing Home Depot and Costco stores serve as the anchor stores. Strip malls are usually located along major roads or highways, making them easily accessible to both pedestrians and motorists.

The advantage of a strip mall is that it allows for easy navigation and accessibility for customers. Each store has its own entrance and parking, which is convenient for shoppers who want to make quick stops at individual stores. Moreover, the anchor stores serve as a draw for customers, bringing in foot traffic that can benefit the smaller retail stores located in the strip. Another advantage of a strip mall is that it provides flexibility in leasing arrangements. Since each store is independently owned and operated, tenants can negotiate their leases based on their specific needs and requirements. Overall, the strip mall model is a popular and effective way to organize retail spaces in a cost-efficient manner.

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you buy 100 shares of stock for $50 per share. the stock pays a dividend of $2 per share per year. after 5 years, if you sell your shares for $50 per share, what is the annual percentage return that you earned?

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To calculate the annual percentage return earned from buying 100 shares of stock for $50 per share, we need to consider the dividends paid and the selling price after 5 years. Over the 5 year period, the total dividends earned will be:

$2 per share x 100 shares x 5 years = $1,000 At the end of 5 years, if the shares are sold for $50 per share, the total selling price will be: $50 per share x 100 shares = $5,000 The total return from buying and selling the shares will be the sum of the dividends earned and the difference between the selling price and the initial purchase price: Total return = Dividends earned + (Selling price - Purchase price) Total return = $1,000 + ($5,000 - $5,000) Total return = $1,000

The annual percentage return can be calculated using the following formula: Annual percentage return = (Total return / Initial investment) / Number of years invested x 100% In this case, the initial investment is: 100 shares x $50 per share = $5,000 Therefore, the annual percentage return earned from buying 100 shares of stock for $50 per share and selling them after 5 years for the same price is: Annual percentage return = ($1,000 / $5,000) / 5 years x 100% Annual percentage return = 4%

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margot leases equipment with an estimated useful life of five years, for a term of four years. margot should classify this lease as a (n)

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Margot should classify this lease as an operating lease.

An operating lease is a lease agreement in which the lessee uses the equipment for a limited period of time that is less than the total estimated useful life of the asset. In this case, the lease term is only four years, which is less than the estimated useful life of five years. As per the Generally Accepted Accounting Principles (GAAP), Margot should classify this lease as an operating lease, where the lease payments are recorded as an expense in the income statement over the lease term, rather than as an asset on the balance sheet.

Operating leases are typically used for short-term leases of equipment or property. They are advantageous to lessees because they provide flexibility in terms of the period of use, and the lessee does not have to record the leased asset on its balance sheet. However, the lessor maintains ownership of the leased asset, and at the end of the lease term, the lessee must return the asset to the lessor or renew the lease.

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in regards to the supervise step of orm which is not an aspect

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The supervision step in Object-Role Modeling (ORM) is not an aspect related to generating the model. It involves the process of verifying and validating the model to ensure its accuracy and consistency with the real-world system being represented.

The supervision step in ORM is an important part of the modeling process that focuses on the verification and validation of the conceptual model created. It aims to ensure that the model accurately represents the real-world system it is intended to describe. This step involves various activities such as reviewing the model's structure, verifying its completeness, validating its semantics, and ensuring that it aligns with the intended requirements and constraints.

Supervision also includes validating the model against real-world instances and scenarios to identify any inconsistencies or errors. The goal is to refine and improve the model based on feedback and make necessary adjustments to achieve a reliable and accurate representation of the system. The supervision step is crucial for ensuring the quality and effectiveness of the ORM model, but it is distinct from the generation aspect, which focuses on creating the initial model.

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The treasurer is the financial executive primarily responsible for both managing accounting and financial accounting.
True
False

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False. The treasurer is primarily responsible for managing financial activities, including cash management, financial planning, investment management, and risk management. The role of managing accounting and financial accounting typically falls under the responsibility of the Chief Financial Officer (CFO) or the controller.

A treasurer is an individual who holds a key financial position within an organization or institution. The treasurer is responsible for overseeing and managing the financial resources, transactions, and policies of the entity. Their primary role is to ensure the effective and efficient management of funds, investments, and financial risk. Treasurers are involved in tasks such as cash flow management, budgeting, financial planning, and financial reporting. They may also be responsible for maintaining banking relationships, negotiating financial agreements, and implementing financial controls and policies. Treasurers play a critical role in safeguarding the financial health and stability of an organization and making strategic financial decisions to support its objectives.

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what effect do minor deviations from the eoq have on total inventory cost?

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Minor deviations from the economic order quantity (EOQ) can have a significant impact on total inventory cost.

The total inventory cost is the sum of the ordering cost and the carrying cost. The ordering cost is the cost of placing an order. The carrying cost is the cost of storing inventory. The EOQ is the order quantity that minimizes the total inventory cost.

The total inventory cost can be calculated as follows:

Total inventory cost = Ordering cost + Carrying cost

The ordering cost is calculated as follows:

Ordering cost = Fixed cost per order / Order quantity

The carrying cost is calculated as follows:

Carrying cost = Annual holding cost per unit * Average inventory

The average inventory is calculated as follows:

Average inventory = (2 * Order quantity) / (2 + Lead time)

It is important to carefully consider the impact of minor deviations from the EOQ when making inventory ordering decisions. By understanding the potential costs, businesses can make more informed decisions that will help to minimize total inventory cost.

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you're building an ad campaign for a photography supply store, and they've prepared many different creatives for their campaign.which product should you select to help you easily integrate creatives while working with campaign manager 360?select 1 correct responsesdisplay

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The best product to select in this scenario would be creative apps available online. There are many applications which allows for easy integration of creatives while working with Campaigns.

This platform enables users to create responsive designs and ads with ease, making it the perfect tool for creating and integrating creatives for an ad campaign. With its drag-and-drop interface, users can quickly create and edit creatives, and its seamless integration with Campaigns allows for easy tracking and reporting. Additionally, many apps supports multiple ad formats, including display and video, ensuring that the photography supply store's creatives are seen across a range of platforms.
As the campaign manager, you can utilize this tool to ensure all creatives are properly integrated, and it will help you monitor the overall performance of the campaign.

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