The impact on valdez’s income from eliminating this business segment would be business $151600.
What is business?The term “business” refers to the primary goal of generating a profit. The company is taking a risk and profiting from it. The enterprises' functions are focused on the creation, distribution, and sale of concepts.
valdez company the eliminating of the business.
contribution margin = sales - variable costs
contribution margin = 1,240,000 - 924,000
contribution margin = 316,000
Current loss= contribution margin - fixed costs
Current loss= 316,000 - 379,000
Current loss= (63,000)
Net loss if division is discontinued = 379,000 - $227,400
Net loss if division is discontinued = $151600.
As a result, this business segment would be business $151600.
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bianca and hazel recently opened a candy store on main street. they view all candy eaters in their community as their market. which targeting strategy did they use in choosing a target market for their store?
The targeting strategy that Bianca and Hazel used for targeting the market for their store is an undifferentiated approach.
In the field of business, an undifferentiated approach can be described as a business targetting strategy in which the demands of all types of customers are concerned rather than targetting a set of customers.
In the scenario mentioned in the question, Bianca and Hazel were concerned about all candy eaters and did not specify when targeting a store in the market. Such a type of marketing target strategy that was used by them is referred to as an undifferentiated approach. The undifferentiated approach targets the whole market rather than specific kinds of customers.
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In relative terms, gold represented only 17% of the monetary flows of the US, UK, and France in 1848. By the year 1913, that percentage fell to 10%. True False
It is true that in 1848, the US, UK, and France's combined monetary flows consisted of barely 17% gold. By 1913, the proportion had decreased to 10%.
A loose definition of a monetary transaction is one in which a payment is made or received; this covers deposits, withdrawals, and exchanges. Electronic funds transfers, checks, money orders, gift cards, and bartering are specific types of monetary transactions.
In 1848, gold accounted for 17% of the money movements in the US, UK, and France. The number of additional financial transactions has grown over time. Therefore, in 1913, the relative amount of gold flows dropped to 10%. The assertion is accurate.
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when a company records a loss on purchase commitment and the inventory market price later recovers, what occurs? multiple choice question.
When a business registers a loss on a buy commitment and the inventory market price later increases, prices fall after the commitment was made.
Which method can be applied to record a loss since the value of the goods has decreased in price?The loss associated with the decrease in the value of inventory is recognized in the cost of goods sold account under the cost of goods sold method. Debiting the cost of goods sold account and crediting the inventory account reflect the drop.
What drives businesses to enter into purchase commitment contracts?Companies enter into purchase commitments to lock in a specific price and occasionally to lock in a supplier's manufacturing capacity, which can be used to as a defensive measure to prevent rivals from making use of the production capability.
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The lack of supply chain coordination on various measures of performance has costs associated with it. Which of the following is one of these costs?A) QualityB) ReliabilityC) ManufacturingD) Pricing
The lack of supply chain coordination on various measures of performance has costs associated with Manufacturing.
The correct option is C.
The supply chain's many phases may have competing aims, or information may move between them slowly and inaccurately, leading to a lack of coordination. If each step of a supply chain is owned by a different party, the goals of the various phases may clash.
An organization's productivity might suffer, manufacturing can become more difficult, and tasks can take longer to complete if there is a lack of coordination. An organisation has to systematically integrate a process that fosters accountability throughout the company in order to coordinate the actions of the whole organisation.
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the world bank’s threshold for "extreme" poverty is $1.90 per person per day. instructions: enter your responses as a whole number. a. how much annual income does this imply for a family of four? $ per family b. what portion of the official u.s. poverty threshold (roughly $26,000 for a family of four) is met by the world bank’s measure?
At 2011 international prices, the poverty headcount ratio is the percentage of the population that lives on less than $1.90 per day. Long explanation At 2011 international prices, the poverty headcount ratio is the percentage of the population that lives on less than $1.90 per day.
How much of the world's population survives on less than $1.90 per day?The World Bank estimates that 689 million people, or 9.2% of the population, live in extreme poverty on less than $1.90 per day.
What does "poverty for one dollar a day" mean?Fundamental Concepts and Definitions: The population is measured at less than $1 per day. poverty by an individual's level of consumption (or, in some cases, income). individual. If a person has a lower level of consumption or income, they are considered poor. below a certain minimum that is required to meet basic needs.
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the split-off point is the point at which individual products resulting from a joint process can be identified. group startstrue or false the split-off point is the point at which individual products resulting from a joint process can be identified. group startstrue or false
The point in a production process where jointly manufactured goods are now produced separately is known as a split-off point.
What is a Split-Off Point?A split-off point is the point in a production process where jointly made items are afterwards manufactured separately. After the split-off point, the costs of each product can be determined separately. Production costs are divided among jointly produced goods before the split-off point.
The same reasons behind all divestitures, in general, drive split-offs, a form of business reorganization strategy. The distribution of shares is the primary distinction between a split off and other divestiture strategies.
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For the last 20 years, terry has made regular quarterly payments in the amount of $308 into an account paying 1.5% compounded quarterly. if, at the end of the 20 year period, terry stops making deposits, transfers the balance to an account paying 5.5% interest compounded annually, and withdraws a annual salary from the account, determine the amount that he will receive every year for 10 years. round to the nearest cent.
Terry has been making consistent quarterly deposits of $308 into an account paying 1.5% compounded quarterly for the past 20 years.
Briefing:-Calculate Terry's yearly wage for the next 10 years if, at the end of the 20-year period, he stops making deposits, moves the balance to an account yielding 5.5% interest compounded annually, and withdraws an annual salary from the account. $3,803.97, rounded to the nearest cent.
Compound interest is determined in what manner?When calculating compound interest, the initial principal amount is multiplied by one along with the annual interest rate raised to the number of compound periods minus one. The resulting value is then reduced by the full initial loan amount. Ms. Katie Kernel Investopedia, 2019. "Copyright."
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the reason why the compound interest convention was utilized in our application of asset pricing is because it properly accounted for
The compound interest convention was utilized in our application of asset pricing because it properly accounted for the Opportunity cost of time.
The lost advantages of present consumption made attainable by simple interest constitute the opportunity cost of using a compound interest account.
Typically, the opportunity cost of time is calculated using wages, "Why? says, Hurst. "You forfeit potential money if you use an hour that would otherwise be spent working for something else.
The opportunity cost of time in your daily life is equally significant, if not more so than the opportunity cost of money. We don't always have to pay for what we chose to do, but we virtually always have to put at least a modest amount of our time into whatever we choose to do.
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analysis reveals that a company had a net increase in cash of $21,210 for the current year. net cash provided by operating activities was $19,100; net cash used in investing activities was $10,550 and net cash provided by financing activities was $12,660. if the year-end cash balance is $25,650, the beginning cash balance was:
The correct answer is a. $4,440.
Net cash provided from operating (+) 19,100
Net cash used in investing (-) (10,550)
Net cash provided from financing (+) 12,660
Total change in cash 21,210
Plus Beginning cash balance^ 4,440
Equals Ending cash balance 25,650
Beginning cash balance + Change in cash = Ending cash balance
In other words, Ending cash balance - Change in cash = Beginning cash balance: $25,650 - $21,210 = $4,440
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assuming that total available resources remain the same, what activities should the internal audit activity perform to best serve the organization? increase engagement time in service branches. increase engagement time in functions being centralized. continue the allocation of engagement time as before. decrease engagement time in systems development.
According to Chartered Institute of Internal Auditors, the role of internal audit is to grant independent assurance that an organisation's chance management, governance and internal control processes are working effectively.
What is interior audit process?Internal audit conducts assurance audits via a five-phase technique which includes selection, planning, conducting fieldwork, reporting results, and following up on corrective action plans
Who should operate an interior audit?The consulting firm's personnel have to be specialists in auditing protocols and procedures. Additionally, with enormous ride conducting inner audits for different companies, the consulting firm's experts be in a position to rapidly get up to pace on your company's policies, procedures, and operations.
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https://brainly.com/question/20713734#SPJ4woodville corp. reports 2019 and 2020 total revenues of $55 million and $77 million respectively. if we expect prior growth to persist, we would forecast a revenue growth rate of:
Woodville corp. reports 2019 and 2020 total revenues of $55 million and $77 million respectively. if we expect prior growth to persist, we would forecast a revenue growth rate of 40%
What does total revenue mean?The sum of your recurring (MRR) and non-recurring revenue sources is your total revenue, commonly referred to as gross revenue. In other words, it's the entire revenue generated by the sale of your company's goods and services.
Why is revenue significant?Your firm needs revenue to survive. Revenue is more than just a lifeline; it may also help you gain important business information. You must grow your revenue if you want to increase the profits of your business.
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what is corporate governance? in whose interest should corporations be governed? a. it is the process by which the government regulates large firms to protect consumers. b. corporate governance is the way in which a firm is structured to represent shareholder interests. c. it is the manner in which a firm's board of directors run the company for its top managers. d. corporate governance is the standard by which accountants audit large firms to provide information for investors.
The method used to direct and control corporations is known as corporate governance. For the governance of their enterprises, boards of directors are in charge. The shareholders' responsibility in governance is to choose the directors and auditors and to ensure that an effective governance framework is in place.
What is corporate governance, and whose interests should firms be governed in?The system of direction and control used by corporations is called corporate governance. The governance of companies is the responsibility of the board of directors. The shareholders' responsibility in governance is to select the directors and auditors and to ensure that a suitable governance framework is in place. The system of procedures and practices used to direct, control, and manage a business is known as corporate governance. The short- and long-term profitability of a firm depends on having high-quality procedures and procedures.
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question at position 18 some governments are investing in socially assistive robots with the hope that they will address the growing demand for care giving. this hope qualifies as what type of function?
Investing in socially helpful robots in the hopes that the government will use them to meet the rising need for caregiving is known as manifest function.
What is a manifest function example?Rain is the manifest effect of a war dance, which Merton used as an illustration in his 1957 text Economic Theory on Social Structure. Participants in the ritual intend and seek this result.
What does the psychological term "manifest function" mean?Secondary functions are those that are unknown and unplanned and are distinct from manifest functions, which are recognized and desired impacts of any social pattern. Any social institution's contribution to the persistence of a group, society, or society must be examined in order to assess its evident functions.
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which of the following statements is true? multiple choice question. debit entries increase asset account balances, but decrease liability account balances. credit entries decrease asset and liability account balances. credit entries increase asset account balances, but decrease liability account balances. debit entries increase asset and liability account balances. need help? review these concept resources.
In the following statements "credit entries increase asset account balances" is True.
Credit is the trust that permits one party to lend money or resources to another party, with the understanding that the second party will not immediately refund the first party but will instead repay it or return the resources at a later time. Credit is a strategy for formalizing reciprocity, making it enforceable by law, and extending it to a sizable number of unrelated parties.
The resources offered might be monetary or they could be in the form of products or services. Any postponed payment arrangement is considered credit. A debtor, also known as a borrower, is given credit by a creditor, also known as a lender.
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ultimate dissolution of the partnership may be necessary if the firms are able to successfully work through the critical steps of partnership formation or synergies can be recognized.
Dissolution of partnership refers to the procedure by which the partnership is ended and all of the partners' assets, shares, accounts, and liabilities are sold or settled.
Unless otherwise arranged, partnerships end at the death or insolvency of any partner. Partnerships should therefore have a written partnership agreement that contains clauses allowing the partnership to continue. In contrast to the dissolution of a firm, which also involves the dissolution of the relationship between partners, the dissolution of a partnership simply changes the nature of the business relationship between partners.
All of the assets and liabilities in this case have been resolved and properly disposed of.
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when dealing with a declining industry, which of the following strategies should be used if a company has distinctive strengths that allow it to capture market share or if the speed of decline and the intensity of competition is moderate?
Leadership should be used if a company has distinctive strengths that allow it to capture market share or if the speed of the decline and the intensity of competition is moderate.
The fundamentals of being able and ready to motivate others are captured by leadership. Ideas, both original and borrowed, that is effectively communicated to others in a way that engages them sufficiently to act as the leader wants them to perform are the foundation of effective leadership.
A leader directs others' actions while also inspiring people to take action. They must possess the interpersonal skills necessary for others to obey them and the critical thinking abilities to know how to make the greatest use of the resources available to a business.
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which major economic problem has been faced by many latin american nations throughout their histories?
Given that the increase in inflation has an uneven effect on the people, poverty and inequality continue to be major issues.
What elements had an impact on the economies of Latin American countries?Industrial growth and economic expansion were assisted by foreign capital investment, the building of infrastructure, such as railroads, growth in the labor market due to immigration from outside, the strengthening of institutions, and the expansion of education.
What are two issues Latin American cities are facing?Transportation Issues in Latin American Cities: Policy Experiences and Lessons. A lack of planning, poor public transportation options, traffic jams, and air and noise pollution are issues that most cities in Latin America and the Caribbean share.
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benson exchanged a van, used exclusively for business and with an adjusted basis of $100,000, for a new van with a fair market value of $120,000 and received $5,000 in cash. what amount of gain did benson recognize from the transaction?
$5,000 amount of gain did benson recognize from the transaction.
Realized gain is $25,000 ($125,000 FMV consideration received less $100,000 adjusted basis).
The realized gain is recognized up to boot received. T
The $5,000 cash received is boot.
Therefore, $5,000 gain is recognized.
A monetary transaction is an settlement, or communication, between a purchaser and seller to change goods, services, or assets for charge. Any transaction involves a exchange inside the status of the finances of two or more groups or individuals.
A transaction is a completed settlement among a customer and a supplier to alternate items, offerings, or financial belongings in return for cash. The time period is likewise normally used in corporate accounting.
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or a monopoly, the marginal revenues per unit fall ___ the price per unit when the price ___, the monopoly gives up some revenue or units it could have sold at higher prices
Or a monopoly, the marginal revenues per unit fall below the price per unit when the price decrease, the monopoly gives up some revenue or units it could have sold at higher prices.
In a monopoly, due to the fact the rate adjustments as the amount offered adjustments, marginal sales diminishes with every extra unit and could continually be identical to or much less than common sales.
The key distinction with a wonderfully aggressive company is that withinside the case of best competition, marginal sales is identical to rate (MR = P), even as for a monopolist, marginal sales isn't always identical to the rate, due to the fact adjustments in amount of output have an effect on the rate.
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if humans run out of the following resources, which resource would be most difficult to replace? a. coal b. rice c. cotton d. lumber
if humans run out of the following resources, coal resource would be most difficult to replace because it is non-renewable resources.
What would be the hardest resource to replace?Petroleum is a nonrenewable energy source like all fossil fuels. As a result, it is a resource that cannot be replenished as quickly as people consume up the available supply. There won't be enough gasoline to drive all the cars in the globe if petroleum stocks start to run out, which presents a challenge for humans.
In the course of a human lifetime, nonrenewable resources cannot be replenished. It takes a very long time for these resources to form. These resources can run out if we utilize them too rapidly because there isn't enough time to replenish them. Coal, oil, and natural gas are the three categories of nonrenewable resources.
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why do companies typically use operating income and assets as opposed to net income and total assets in calculating return on investment (roi)?
Companies use operating income and assets as opposed to net income and total assets in calculating return on investment because Managers usually have more control over operating income and assets.
What is return on investment?Return on investment (ROI) is a performance metric used to assess an investment's effectiveness or profitability or to compare the effectiveness of several investments.
ROI aims to quantify the amount of return on a specific investment in relation to the cost of the investment.
Therefore, ROI is calculated by dividing the benefit (or return) of an investment by the investment's cost. A percentage or ratio is used to represent the outcome.
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true or false: if adequately rehearsed, business presentations always go according to the speaker's plans.
If adequately rehearsed, business presentations always go according to the speaker's plans is a true statement.
What will you do as a speaker to keep the consideration of your crowd from the start up to the furthest limit of your discourse?
Begin with an inquiry or story and don't offer a response or peak of the story straight away, redirect from it and you will keep your crowd consideration for the rest of your discourse. Boris Johnson is an expert of this strategy.
Is it great to practice your show?
Practice is vital for giving a powerful show. Practicing expands your certainty, guarantees you are know about your material and permits you to clean your show abilities. It is essential to work on conveying your discussion, yet to work on utilizing your visual guides.
How frequently would it be a good idea for me to practice for a discourse?
An overall guideline of thumb is that you ought to rehearse for something like 30 hours. Thus, on the off chance that you've composed an hour long feature discourse you ought to mean to rehearse it something like multiple times. You ought to rehearse a 30-minute show something like multiple times, giving yourself 30 all out long periods of training.
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when a bond is purchased in the secondary bond market at a discount, the amount of discount treated as interest income when the bond is sold prior to maturity is the:
Answer:
Accrued market discount is the prior to sold the bond when income interest is treated as amount of discount when it is purchased from the Secondary bond market.
Explanation:
Bonds that have already been issued (in the primary market) can be bought and sold in the secondary bond market. The depth and liquidity of a secondary market are essential for a capital market to operate smoothly.
Accrued market discount A bond is said to be sold at a discount if it is sold for less than its face value. The bond's cost will progressively rise to par over time. The accrued market discount is the term used to describe the progressive rise in price over time. Any accrued market discount recognised since acquisition will be taxable if sold before maturity.
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the trent-harbor corporation is owned equally by hugh trent and cary harbor. they are considering a cross-purchase agreement. if the business is worth $500,000, how should the life insurance policy on hugh trent be written?
If the trent-harbor corporation is owned equally by hugh trent and cary harbor and the business is worth $500,000 then the life insurance policy on hugh trent should state $250,000 as face amount and Cary Harbour as owner and beneficiary.
A contract between an insurance policy holder and an insurance company in which the insurer agrees to pay a sum of money in exchange for a premium upon the demise of an insured person or after a specific amount of time is known as life insurance. This Life Cover ensures the future of your loved ones by providing a lump sum payment in the event of an unfortunate circumstance. At the conclusion of the policy term, you may receive a payment known as a Maturity Benefit.
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for wholesalers and retailers what approximate percentage of the cost of finished goods comes from purchased inventories?
For wholesalers and retailers 90% of the cost of finished goods comes from purchased inventories.
All of the products, services, goods, and materials that a business keeps on hand with the intention of reselling them for a profit are referred to as inventory. For instance, only the newspaper is regarded as inventory if a newspaper vendor uses a vehicle to deliver newspapers to customers.
The primary purpose of the inventory is to ensure that operations have an ongoing supply of materials. To perform this function effectively, your company should strive to find a happy medium between too much and too little stock, without ever running out.
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chandni owns a frozen yogurt shop. due to fluctuations in seasonal demand, her business has struggled. if chandni fails to repay her bank loan, what will the lending institution do to recover its loss?
The lending institution will sell the mortgage or claim the collateral in order to make up for its loss.
What is the short definition of a mortgage?When you and a bank enter into a mortgage, the lender is granted the power to seize your properties if you are unable to pay back the loan amount plus interest. To purchase a property or borrow more money against value of the home you currently own, you can use a mortgage loan.
What exactly is a mortgage?A mortgage payment with real estate as the security. Mortgages can be used to finance existing housing that the customer already owns, despite the fact that most people think of them being employed to pay for the purchase of either a property.
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assume that changes in aggregate demand through changes in consumer, business, and government spending are then multiplied, either positively or negatively, and if positive, can even help to increase the long term aggregate supply.
Keynesians assume that changes in aggregate demand through changes in consumer, business, and government spending are then multiplied
Keynes contended that lengthy periods of high unemployment could result from a lack of overall demand. Consumption, investment, government purchases, and net exports are the aggregate of four factors that determine an economy's output of goods and services (the difference between what a country sells to and buys from foreign countries). One of these four factors must be the source of any growth in demand. However, as expenditure decreases during a recession, powerful forces frequently depress demand. As an illustration, during economic downturns uncertainty frequently undermines consumer confidence, leading people to cut spending, particularly on luxuries like a home or a car. Businesses may spend less on investments as a result of customers spending less because there is less of a need for their products.
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at the 6:10 mark of the video, dr. bunzli compares two advertisements for tide laundry detergent. how are the two ads different? why, according to dr. bunzli, is the ad from the 1950s different from the ad from the 2000s? in other words, why have advertisers changed their strategies from the 1950s to the present?
Advertisers have greatly evolved their strategies related to marketing and advertising of a product because social media has become prevalent in today's age which was obsolete in 1950's.
Because of the social media, the content or the advertisement can now be shared again and again on different platforms to reach the masses. This way advertisers can better plan ot their strategies considering the 5 P's of marketing.
The advertisement can now be better targeted at the consumer in a limited time frame. Brand awareness is also a key factor in changed advertising strategies. In today's age, consumer loyalty and trust is deciphered and strategies are constructed accordingly.
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Due to the widespread usage of social media in today's world, which was unheard of in the 1950s, advertisers have significantly improved their marketing and advertising techniques.
Social media has made it possible to repeatedly post material or advertisements across a variety of channels in order to reach a large audience. Advertisers can better plan their campaigns by taking into account the 5 P's of marketing in this way.
The advertisement can now be better targeted at the consumer in a limited time frame. Changes in advertising tactics are also heavily influenced by brand recognition. Consumer loyalty and trust are now understood, and strategies are developed in accordance.
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gatto, incorporated, has declared a $6.00 per share dividend. suppose capital gains are not taxed, but dividends are taxed at 20 percent. new irs regulations require that taxes be withheld at the time the dividend is paid. the company's stock sells for $94.30 per share, and the stock is about to go ex dividend. what do you think the ex-dividend price will be? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
According to the Gatto, incorporated, the ex - dividend price will be $ 89.50. When a company's dividend allocations have been determined, it goes ex-dividend.
What do you mean by the ex-dividend price?A stock is referred to as being ex-dividend if it no longer carries the value of the upcoming dividend payment. The day the stock begins trading without the value of its upcoming dividend payment is known as the ex-dividend date or "ex-date."
The day on which a stock starts trading without the subsequent dividend value is known as the ex-dividend date.
Investors who bought the stock before the ex-dividend date are eligible for the upcoming dividend payment; however, investors who bought the stock on or after the ex-dividend date are not.
Here,
After-tax dividend = $6.00(1 - 0.20) = $4.80
Ex-dividend price = $94.30 - $4.80 = $89.50
Therefore, according to the Gatto, incorporated, the ex - dividend price will be $ 89.50. When a company's dividend allocations have been determined, it goes ex-dividend.
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EX 9-4 Capital and revenue expenditures OBJ. 1 Warner Freight
Lines Co. incurred the following costs related to trucks and vans
used in operating its delivery service:
1. Changed the oil and greased the joints of all the trucks and
vans.
2. Changed the radiator fluid on a truck that had been in
service for the past four years.
3. Installed a hydraulic lift to a van.
4. Installed security systems on four of the newer trucks.
5. Overhauled the engine on one of the trucks purchased three
years ago.
6. Rebuilt the transmission on one of the vans that had been
driven 40,000 miles. The van was no longer under warranty.
7. Removed a two-way radio from one of the trucks and installed
a new radio with a greater range of communication.
8. Repaired a flat tire on one of the vans.
9. Replaced a truck’s suspension system with a new suspension
system that allows for the delivery of heavier loads.
10. Tinted the back and side windows of one of the vans to
discourage theft of contents.Classify each of the costs as a
capital expenditure or a revenue expenditure.
Revenue is the entire amount of income generated through the sale of goods or offerings related to the employer's primary operations. revenue, also known as gross sales, is frequently known as the "top line" as it sits on the pinnacle of the profits announcement.
Capital is a wide term which can describe anything that confers value or gain to its owners, consisting of a manufacturing unit and its equipment, intellectual belongings like patents, or the financial belongings of a commercial enterprise or an person.
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