2: Company B also uses the Analysis of Receivables method. However, Management has asked us to take a look at the Income Statement Impact if we change the Uncollectible Percentages for Each Budget of Aging. The aging schedule looks like the following: Customer Total Due Curent 1-60 Past Due 61 Past Due A 1,000 1,000 B 1,500 1,500 C 800 800 2,000 2,000 E 500 500 Total: 5,800 2,800 1,000 2,000 Aging Category Current (Not past due) As Is Proposed 3% 2% 1- 60 past due 61 days past due 5% 4% 9% 8% The balances in the accounts before any adjustments are as follows: current Sales are $400,000, Allowance for Doubtful Accounts has a Credit balance of $250, and bad debt expense has a debit balance of $2,000. If the Company changes from the As Is percentages to the Proposed Percentages, what happens to Net Income on the Income Statement

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Answer 1

If Company B changes the uncollectible percentages for each budget of aging from the As Is percentages to the Proposed Percentages, there will be an impact on the Income Statement.

The Analysis of Receivables method helps in estimating the bad debt expense and the allowance for doubtful accounts, which are essential for accurate financial reporting.

The current sales of $400,000 and the credit balance of $250 in the Allowance for Doubtful Accounts account indicate that the current uncollectible percentage is 0.0625 or 6.25%. If Company B changes the uncollectible percentages to the Proposed Percentages, the uncollectible percentage for the Current category would decrease from 3% to 2%, and for the 1-60 past due category, it would decrease from 5% to 4%.

As a result, the bad debt expense would decrease, and the allowance for doubtful accounts would increase. The net income on the Income Statement would increase as well since the decrease in bad debt expense would offset the increase in the allowance for doubtful accounts. Therefore, changing the uncollectible percentages to the Proposed Percentages would have a positive impact on the Income Statement.

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Related Questions

If Leslie expects her marginal tax rate to be 24 percent this year and 35 percent next year, calculate the after-tax net present value of this contract to Leslie, using a 6 percent discount rate.

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Leslie's contract has an after-tax net present value of $13,111.51 if the annual payment is $10,000 and the discount rate is 6%.

To calculate the after-tax net present value of this contract for Leslie, we need to consider the difference in her marginal tax rates over the two years. Since she expects to have a higher marginal tax rate next year, it would be beneficial for her to receive more of the payments this year to minimize the amount of income subject to the higher tax rate. Assuming the contract payments are equal each year, we can use the formula for present value of an annuity to calculate the total value of the payments over the two-year period:
PV = C * [(1 - (1 + r)^-n) / r] where PV is the present value, C is the annual payment, r is the discount rate (6%), and n is the number of years (2). Using this formula with C = $10,000 (for example), we get: PV = $10,000 * [(1 - (1 + 0.06)^-2) / 0.06] = $18,867.87  Next, we need to calculate the after-tax value of the payments for each year. Since Leslie's marginal tax rate is different each year, we need to calculate the amount of taxes she will owe on the payments and subtract that from the payment amount to get the after-tax value.
In the first year, Leslie's marginal tax rate is 24 percent. Assuming she has no other income or deductions, she will owe $2,400 in taxes on the $10,000 payment. Subtracting that from the payment, we get an after-tax value of $7,600. In the second year, Leslie's marginal tax rate is 35 percent. Assuming the payment is still $10,000, she will owe $3,500 in taxes on the payment. Subtracting that from the payment, we get an after-tax value of $6,500. To calculate the after-tax net present value of the contract, we need to add up the after-tax values of each payment and discount them to present value using a 6 percent discount rate. The formula for present value of a single payment is:
PV = FV / (1 + r)^n where FV is the future value, r is the discount rate, and n is the number of years. For the first payment, we have: PV1 = $7,600 / (1 + 0.06)^1 = $7,169.81 For the second payment, we have: PV2 = $6,500 / (1 + 0.06)^2 = $5,941.70 Adding up the present values of the two payments, we get: After-tax NPV = $7,169.81 + $5,941.70 = $13,111.51 So the after-tax net present value of the contract for Leslie is $13,111.51, assuming a $10,000 payment each year and a 6 percent discount rate.

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As customization of services increases, _____ become(s) a bigger factor in the ability to provide high quality service to the customers.

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As customization of services increases, flexibility becomes a bigger factor in the ability to provide high quality service to the customers. This is because customization involves tailoring services to the specific needs and preferences of each individual customer.

To achieve this, service providers must be flexible and willing to adapt their processes and procedures to meet the unique demands of each customer. For example, a restaurant that offers customized dishes may need to be flexible with its ingredients, cooking methods, and presentation to satisfy the varied tastes and preferences of its customers. Similarly, a financial advisor who offers personalized investment strategies may need to be flexible with their recommendations based on each client's unique financial situation and goals. Being flexible also requires service providers to be responsive and adaptive to changes in customer needs and preferences over time. This may involve regularly gathering feedback from customers and using that information to make improvements and adjustments to the services being offered. Ultimately, the ability to be flexible and responsive to customer needs is crucial in providing high quality customized services that meet and exceed customer expectations.

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Lisa Richter made a one time deposit of $5,000 at 4% compounded semiannually for 5 years. What would her balance be at the end of five years assuming she is still earning 4% compounded semiannually

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Lisa Richter made a one-time deposit of $5,000 at 4% compounded semiannually for 5 years. Lisa's balance at the end of five years assuming she is still earning 4% compounded semiannually would be $6,107.00.

To calculate Lisa Richter's balance at the end of five years, we need to use the formula for compound interest:

[tex]A = P(1 + r/n)^{(nt)}[/tex]

Where:

A = the ending balance

P = the initial deposit

r = the interest rate

n = the number of times the interest is compounded per year

t = the number of years

In this case, Lisa made a one-time deposit of $5,000, and the interest rate is 4% compounded semiannually, which means n = 2. Therefore, we have:

[tex]A = 5000(1 + 0.04/2)^{(2\times5)}[/tex]

[tex]A = 5000(1.02)^{10}[/tex]

A = 5000(1.2214)

A = $6,107.00

Therefore, Lisa's balance at the end of five years assuming she is still earning 4% compounded semiannually would be $6,107.00.

In summary, to calculate the ending balance for Lisa Richter's one-time deposit of $5,000 at 4% compounded semiannually for 5 years, we use the formula for compound interest. The resulting balance at the end of five years is $6,107.00.

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Given bank reserves are $1000, currency in circulation is $500, and the reserve ratio is 10%, what is the dollar amount of deposits in the banking system

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Given bank reserves are $1000, currency in circulation is $500, and the reserve ratio is 10%, The reserve ratio is 10%, therefore the bank is required to retain monetary base reserves equal to 10% of all acceptable cheque deposits.

Given that there are $100,000 in checkable deposits, the necessary reserves are:

10% x $100,000 = $10,000

This indicates that the bank has satisfied its reserve requirement prior to the deposit because it already has reserves of $10,000.

The bank now adds the $20,000 in currency that the households deposit to its reserves, thus its current total reserves are:

Original reserves of $10,000 plus freshly deposited funds of $20,000 equal $30,000

The amount of reserves that the bank holds in excess of its required reserve amount are known as eXCess reserves. The excess reserves in this instance are determined as follows:

$30,000 (total reserves) - $10,000

(necessary reserves) = $20,000.

Complete question:

Given bank reserves are $1000, currency in circulation is $500, and the reserve ratio is 10%, what is the dollar amount of deposits in the banking system of monetary base.

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Thomas and Yolanda received $24,000 in Social Security benefits. The amount of their adjusted gross income for the year was $2,000 and they received no tax-exempt interest income. Calculate the amount of the Social Security benefits that Thomas and Yolanda must include in their gross income for the year.

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The amount of Social Security benefits that Thomas and Yolanda must include in their gross income for the year is $0.

The amount of Social Security benefits that Thomas and Yolanda must include in their gross income for the year is calculated using the Social Security Benefits Worksheet.

First, we need to calculate the combined income of Thomas and Yolanda, which is the sum of their adjusted gross income, any tax-exempt interest income, and half of their Social Security benefits. Since they received no tax-exempt interest income, their combined income is:

Combined Income = Adjusted Gross Income + 0 + (1/2) x Social Security Benefits

Combined Income = $2,000 + 0 + (1/2) x $24,000

Combined Income = $14,000

Next, we need to determine if any of their Social Security benefits are taxable. To do this, we compare their combined income to the base amount for their filing status. The base amount for married taxpayers filing jointly is $32,000. Since their combined income is less than the base amount, none of their Social Security benefits are taxable.

Therefore, the amount of Social Security benefits that Thomas and Yolanda must include in their gross income for the year is $0.

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Cash flows related to futures margin least likely include: interest on the margin loan. deposits to meet margin calls. interest received on collateral

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Cash flows related to futures margin least likely include c: interest received on collateral.

In futures trading, margin refers to the initial deposit required to enter into a futures contract. It is a form of collateral that ensures the trader's ability to fulfill their obligations. While cash flows related to futures margin typically include interest on the margin loan (which is the cost of borrowing funds to meet the margin requirement) and deposits to meet margin calls (additional funds deposited to maintain the required margin level), interest received on collateral is least likely to be a cash flow related to futures margin.

This is because interest received on collateral refers to the interest earned on the funds that are provided as collateral, which is typically not relevant to the cash flows associated with maintaining the margin requirement.

Option c is answer.

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The expected value of _________ is the increase in expected payoff possible if improved information can be obtained.

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The expected value of information (EVI) is the increase in expected payoff possible if improved information can be obtained.

The concept of expected value of information (EVI) is a measure used in decision theory to evaluate the potential value of acquiring additional information. It quantifies the increase in expected payoff that can be achieved by having access to more accurate or complete information.

The expected value of information is calculated by comparing the expected payoffs under two scenarios: one where the decision is made without any additional information, and another where the decision is made with the improved information. The difference between the expected payoffs in these two scenarios represents the expected value of information.

By calculating the expected value of information, decision-makers can assess the potential benefit of gathering more data, conducting research, or investing in better information sources before making a decision. It helps in determining whether the cost of obtaining additional information is justified by the potential increase in expected payoff or value.

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Though it is not easy for many companies to achieve, ________ monitors online shopping behavior and applies statistical methods to measure the extent to which online advertising leads to store purchases.

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Though it is not easy for many companies to achieve, Attribution modeling monitors online shopping behavior and applies statistical methods to measure the extent to which online advertising leads to store purchases.

Attribution modeling is a marketing analytics technique that helps businesses understand the impact of different marketing channels and touchpoints on customer behavior and conversions. In other words, it is a way to attribute credit to various marketing efforts for a specific outcome, such as a sale or a conversion.

By analyzing customer behavior and interactions across multiple touchpoints, attribution modeling helps businesses determine which channels and tactics are most effective at driving conversions, and how they work together to influence customer decisions. Attribution modeling can help companies optimize their marketing spend by reallocating resources to the most effective channels and tactics, and improving the customer journey.

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A television production company fully delegates authority to those working on each production project. What is the likely effect on the organization

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Delegating authority to those working on each television production project can have both positive and negative effects on the organization.

On the positive side, delegating authority can lead to increased efficiency, as decisions can be made more quickly by those closest to the production process. It can also foster a sense of ownership and responsibility among the team, as they are given the autonomy to make important decisions.

However, there are also potential drawbacks to delegating authority. Without clear communication and oversight, there may be inconsistencies in decision-making or quality across different projects. Additionally, if individuals are given too much autonomy, there is a risk that they may make decisions that are not in the best interest of the organization as a whole.

Therefore, it is important for the television production company to establish clear guidelines and expectations for those working on each project, and to provide ongoing support and communication to ensure that everyone is aligned and working towards the same goals.

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The political environment in India has proven to be critical to company performance for both PepsiCo and Coca-Cola India. What specific aspects of the political environment have played key roles? Could these effects have been anticipated prior to market entry? If not, could developments in the political arena have been handled better by each company?

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The political environment in India has played a critical role in the performance of both PepsiCo and Coca-Cola India. One key aspect of the political environment that has impacted these companies is the government's regulations and policies related to the manufacturing and sale of soft drinks.

Another aspect of the political environment that has affected these companies is the role of local governments and political groups in influencing consumer perceptions and preferences towards soft drinks, particularly in relation to health and environmental concerns.

These effects could have been anticipated to some extent prior to market entry, through careful analysis and assessment of the political environment in India. However, some developments in the political arena, such as changes in regulations or unexpected public backlash, may have been difficult to predict or anticipate.

In order to handle developments in the political arena better, both PepsiCo and Coca-Cola India could have engaged in more proactive stakeholder engagement and risk management strategies. This could have included building stronger relationships with local governments and communities, as well as investing in sustainable and socially responsible practices to address concerns related to water usage and environmental impact.

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Work in process inventory on May 30 contains $3,804 of direct labor cost. Raw materials consist solely of items that are classified as direct materials. The balance in the raw materials inventory account on May 30 was:

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To determine the balance in the raw materials inventory account on May 30, we need to know the total amount of direct materials used in production during the month.

Since the work in process inventory on May 30 contains $3,804 of direct labor cost, we can assume that this is the total amount of direct labor used in production up to that point.

To calculate the amount of direct materials used, we need to know the total cost of goods completed during the month. This information is not provided in the question, so we cannot determine the exact balance in the raw materials inventory account on May 30.

However, we can make an educated guess based on the information given. If the company is using a just-in-time inventory system, they may only keep enough raw materials on hand to complete production for a short period of time. In this case, the balance in the raw materials inventory account on May 30 may be relatively low.

Alternatively, if the company is maintaining a larger inventory of raw materials, the balance in the raw materials inventory account on May 30 may be higher.

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Phoenix Agency leases office space. On January 3, Phoenix incurs $35,100 to improve the leased office space. These improvements are expected to yield benefits for 5 years. Phoenix has 3 years remaining on its lease. Compute the amount of amortization expense that should be recorded the first year related to the improvements.

Answers

The amount of amortization expense that should be recorded the first year related to the improvements is $4,212.

To compute the amount of amortization expense that should be recorded the first year related to the improvements, we need to determine the total cost of the improvements and the useful life of the improvements. In this case, Phoenix Agency incurs $35,100 to improve the leased office space, and these improvements are expected to yield benefits for 5 years. Therefore, the total cost of the improvements is $35,100, and the useful life of the improvements is 5 years.

However, Phoenix Agency has 3 years remaining on its lease. This means that the improvements will only provide benefits for the remaining 3 years of the lease. The amount of amortization expense that should be recorded in the first year, we need to divide the total cost of the improvements by the useful life of the improvements.

This gives us an annual amortization expense of $7,020 ($35,100 / 5 years).
Since Phoenix Agency has 3 years remaining on its lease, the amount of amortization expense that should be recorded in the first year related to the improvements is $7,020 x 3/5 = $4,212.
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arah is a full-time student who is not looking for work. What kind of unemployment is Sarah experiencing

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Sarah is not experiencing any type of unemployment as she is not considered part of the labor force. She is a full-time student and not actively seeking employment.

Therefore, she is not included in the calculation of the unemployment rate. Frictional unemployment occurs when people are between jobs or temporarily out of work while they search for new employment opportunities. It is not applicable to Sarah's situation as she is not part of the labor force.

Sarah's situation can be viewed as a personal choice to focus on education rather than seeking employment, and therefore does not fit into any of the categories of unemployment.

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Sheila inherited 300 shares of stock, 100 shares of Magenta and 200 shares of Purple. She has a stockbroker sell the shares for her, uses the proceeds for personal expenses, and thinks nothing further about the transactions. What issues does she face when she prepares her federal income tax return

Answers

Sheila will need to report the sale of her 300 shares of stock on her federal income tax return.

The amount of taxes owed on the sale will depend on the difference between the price she sold the shares for and their original purchase price. Since she used the proceeds from the sale of the 100 shares of Magenta and 200 shares of Purple for personal expenses, she will need to report the capital gains or losses on her income tax return. The difference between the sale price and the inherited cost basis of the stocks will determine her capital gains or losses, which will be subject to tax depending on her specific tax situation.

Additionally, since she used the proceeds from the sale for personal expenses, she will not be able to claim any tax deductions or credits related to the sale. It's important for Sheila to keep track of all documentation related to the sale in case she is audited by the IRS.

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City National Bank of New Jersey was closed 11/01/19. What did the winning bidder have to pay for the bank

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The methods for data collection in conducting a community assessment include surveys, focus groups, interviews, observation, secondary data analysis, community forums, key informant interviews, community mapping, photovoice, and social media analysis.

Surveys: Surveys are a common method of data collection that involve asking a large number of people to complete a standardized set of questions. Surveys can be administered in person, over the phone, via mail, or online.

Focus groups: Focus groups involve bringing together a small group of people to discuss a particular topic in depth. Participants are encouraged to share their thoughts and experiences with the group, and the facilitator encourages conversation and interaction between participants.

Interviews: Interviews involve one-on-one conversations between a researcher and a participant. Interviews can be structured (with pre-set questions), semi-structured (with some flexibility to explore topics in more depth), or unstructured (with no set questions).

Observation: Observation involves watching and recording what people do in a particular setting. Observers may take notes, record conversations, or use video cameras to capture what is happening.

Secondary data analysis: Secondary data analysis involves analyzing data that has already been collected by other researchers or organizations. Examples of secondary data sources include government reports, academic research papers, and community surveys.

Community forums: Community forums involve bringing together members of a community to discuss a particular issue or topic. These events are often organized by community-based organizations, local government, or other stakeholders.

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A ______ agreement is a contract entered into by two parties before marriage that clearly states the ownership rights each party enjoys in the other party's property.

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A prenuptial agreement is a contract entered into by two parties before marriage that clearly states the ownership rights each party enjoys in the other party's property.

A contract that commits two or more parties to carrying out or refraining from performing an action now or in the future. a contract that is enforceable by law. Section 2(e) of the Indian Contract Act of 1872 (the Act) defines an agreement.

Every promise and every collection of promises that serve as reciprocal consideration constitute an agreement, according to this statement. As a result, a legitimate agreement turns into a contract quite frequently. According to a legal principle known as the statute of frauds, certain kinds of transactions must be in writing.

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The own-price elasticity for cherries at the farm level is -0.60. Because of the recent freeze in Washington, cherry production will fall by 12%. What will most likely happen to cherry prices

Answers

We can predict that the cherry prices: will most likely increase by 20% due to the decrease in production caused by the freeze in Washington and the given own-price elasticity for cherries at the farm level.

The own-price elasticity of demand measures the responsiveness of the quantity demanded of a good to a change in its price. In this case, the own-price elasticity for cherries at the farm level is -0.60, which indicates that for every 1% increase in the price of cherries, the quantity demanded decreases by 0.60%.

Since cherry production will fall by 12% due to the recent freeze in Washington, we can expect the supply of cherries to decrease. When supply decreases, and assuming the demand remains the same, the price usually increases as a result of the reduced availability of the product.

To estimate the percentage change in price, we can use the following formula:

Percentage change in price = (Percentage change in quantity demanded) / Own-price elasticity

In this case:

Percentage change in price = (-12%) / (-0.60) = 20%

Thus, we can predict that the cherry prices will most likely increase by 20% due to the decrease in production caused by the freeze in Washington and the given own-price elasticity for cherries at the farm level.

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Complete question:

The own-price elasticity for cherries at the farm level is -0.60. Because of the recent freeze in Washington, cherry production will fall by 12%. What will most likely happen to cherry prices

You are considering investing in a bank account that pays a nominal annual rate of 7%, compounded monthly. If you invest $3,000 at the end of each month, how many months will it take for your account to grow to $280,000? a) 87 months b) 67 months c) 70 months d) 75 months e) 61 months

Answers

It will take approximately 75 months, or 75/12 = 6.25 years, for the account to grow to $280,000. The closest answer choice is d) 75 months.

Using the formula for future value of an annuity:

FV = [tex]PMT x [(1 + r/n)^(n*t) - 1] / (r/n)[/tex]

where PMT is the monthly payment, r is the annual interest rate, n is the number of compounding periods per year, and t is the time in years.

We can solve for t, given the other variables:

$280,000 = [tex]$3,000 x [(1 + 0.07/12)^(12t) - 1] / (0.07/12)[/tex]

Simplifying this equation, we get:

[tex](1 + 0.07/12)^(12t)[/tex] = [tex](280000 x 0.07/12 + 3000) / 3000(1 + 0.00583333)^12t[/tex] = 1.10416667

Taking the logarithm of both sides, we get:

12t x log(1.00583333) = log(1.10416667)

t = log(1.10416667) / (12 x log(1.00583333))

t ≈ 75.08 months

Therefore, it will take approximately 75 months, or 75/12 = 6.25 years, for the account to grow to $280,000. The closest answer choice is d) 75 months.

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Nathanial Drummond has three different insurance policies. He has been injured in an accident and has incurred $30,000 in medical bills. There is a clause in all of his insurance contracts the makes sure that he receives no more than $30,000 in payments from his insurance companies. This clause is called:

Answers

The clause that limits the amount of payment from insurance companies to no more than the amount of medical bills incurred is called the coordination of benefits clause.

This clause is common in situations where an individual has multiple insurance policies, such as in Nathanial's case, where he has three different insurance policies. The coordination of benefits clause ensures that the individual does not receive more than the actual cost of medical treatment, which prevents the individual from profiting from the insurance policies. The clause also helps to prevent fraud and abuse of insurance policies. In the case of Nathanial, the three insurance companies will coordinate their payment to ensure that he receives a total of $30,000, which is the actual cost of his medical bills. This means that each insurance company will pay a portion of the total cost, depending on their policy limits and coverage. Overall, the coordination of benefits clause plays an essential role in ensuring fairness and preventing abuse of insurance policies.

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A provision of an insurance policy that is purchased separately from the basic policy and that provides additional benefits at additional costs called a(n)

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The provision of an insurance policy that is purchased separately from the basic policy and that provides additional benefits at additional costs is called a rider.

A rider can be added to a basic policy to customize the coverage to fit the policyholder's specific needs. For example, a person who owns a high-value piece of jewelry may add a jewelry rider to their homeowner's insurance policy to provide additional coverage for loss or theft of the jewelry. Similarly, a person who travels frequently may add a travel insurance rider to their health insurance policy to cover emergency medical expenses while traveling outside of their home country.

Riders can be added to various types of insurance policies, including health insurance, life insurance, auto insurance, and home insurance. They are typically designed to provide extra protection or coverage for specific risks that are not covered by the basic policy. The cost of a rider varies depending on the type of coverage and the insurer.

It is important to review all available riders when purchasing insurance to ensure that you are getting the coverage you need. Adding a rider can provide additional protection and peace of mind in the event of an unexpected loss or accident. However, it is also important to consider the cost of the rider and whether it is worth the additional expense.

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Darden Company has cash of $23,000, accounts receivable of $33,000, inventory of $17,500, and equipment of $53,000. Assuming current liabilities of $25,500, this company's working capital is:

Answers

Darden Company's working capital is $48,000. This indicates the amount of liquid resources available to the company to fund its day-to-day operations

To calculate the working capital of Darden Company, we first need to calculate its current assets, which include cash, accounts receivable, inventory, and any other assets that are expected to be converted to cash within one year.

Current assets = cash + accounts receivable + inventory

Current assets = $23,000 + $33,000 + $17,500

Current assets = $73,500

Next, we can calculate the working capital by subtracting the current liabilities from the current assets:

Working capital = current assets - current liabilities

Working capital = $73,500 - $25,500

Working capital = $48,000

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What is the relationship between a company's international market and its production location decisions

Answers

A company's production location is influenced by its international market, including factors such as customer base, production costs, infrastructure, and government policies.

How does a company's international market impact its production location decisions?

A company's international market and production location decisions are closely linked as the former can significantly impact the latter. A company may choose to produce in a country where it has a large customer base to minimize transportation costs, reduce delivery times and enhance customer satisfaction. Additionally, production may be located in countries where raw materials or labor are cheaper to lower costs and increase profit margins.

Other factors that influence production location decisions include the availability of infrastructure, logistics, and government policies. Companies must carefully evaluate the risks and benefits of various locations to ensure that their production strategy aligns with their business objectives and customer needs.

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The effect of a price change on total sales of the product is considered an empirical relationship because :_________

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The effect of a price change on total sales of the product is considered an empirical relationship because it is based on observable and measurable data collected through real-world experiences and experiments, rather than theoretical assumptions or models.

It is a relationship that can be tested and verified through systematic observations and analysis of data, making it a reliable and evidence-based way to understand the behavior of consumers and markets  because it is based on observed data and real-world experiences. This relationship can be quantified using various statistical methods, such as regression analysis, to establish a connection between price changes and sales performance. As a result, businesses can make informed pricing decisions and predict the impact of price adjustments on their total sales.

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the automatic premium loan provision authorizes an insurer to withdraw from a policy's cash value the amount of

Answers

The automatic premium loan provision is a feature in a life insurance policy that allows the insurer to automatically withdraw from the policy's cash value the amount of any premiums that are due but have not been paid by the policyholder.

This provision ensures that the policy remains in force even if the policyholder forgets to make a premium payment, as the unpaid amount is borrowed from the policy's cash value. However, it's important to note that any unpaid premiums plus interest will be deducted from the death benefit when the policyholder passes away.

the premium due if the policyholder fails to pay it on time. This helps ensure that the policy remains in force and that the policyholder does not lose coverage. The automatic premium loan provision is typically included in whole life insurance policies and is designed to provide an automatic loan against the policy's cash value, which is used to pay the premium. The policyholder is responsible for paying back the loan with interest, or the loan amount will be deducted from the policy's death benefit if it is not repaid.

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Final answer:

Automatic Premium Loan provision allows an insurer to deduct the amount of unpaid premiums from a policy's cash value to prevent it from lapsing, should the policyholder fail to make timely payments.

Explanation:

The Automatic Premium Loan provision is a feature in some life insurance policies that permits the insurer to deduct the amount of any unpaid premium from the cash value of the policy after a certain period, typically 30 days after the premium due date. This is done to keep the insurance policy valid even when the policyholder fails to make a premium payment on time.

For instance, if a policyholder is unable to pay a premium of $200 for his/her life insurance, and the policy has an automatic premium loan provision, the insurer retains the right to pull that $200 from the policy's cash value, henceforth ensuring the policy does not lapse.

This mechanism is generally considered a safety net and should be used responsibly since reducing the cash value may lead to a reduction in the death benefit.

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You have an opportunity to buy a business that will earn $10,000 per year continuously over the next 9 years. If you could earn 7% interest compounded continuously, how much would this business be worth now based on the next 9 years of income

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The company's present value would be roughly $51,476.27 based on the projected income for the following nine years and an ongoing compound interest rate of 7%.

To calculate the present value of the business based on the next 9 years of income, we need to use the continuous compounding formula: PV = FV / e^(rt) Where PV is the present value, FV is the future value, r is the interest rate, and t is the time period. In this case, the future value is $10,000 per year for 9 years, which equals $90,000. The interest rate is 7% and the time period is 9 years.
Using the formula, we get: PV = $90,000 / e^(0.07 x 9) PV = $90,000 / e^0.63 PV = $51,476.27 Therefore, based on the next 9 years of income and a continuous compounding interest rate of 7%, the business would be worth approximately $51,476.27 now.

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According to a video in 11.5 of the textbook, the most dangerous type of false and misleading information that social media companies are trying to address is:

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According to the video in 11.5 of the textbook, the most dangerous type of false and misleading information that social media companies are trying to address is misinformation about health and science. This includes fake news and conspiracy theories about vaccines, treatments for diseases, and medical advice.

The spread of false information in this area can have serious consequences, as it can lead people to make harmful decisions or avoid necessary medical treatment. Social media companies have been facing increasing pressure to address this issue, as the spread of false information can be amplified through their platforms. Some of the steps that these companies have taken to address this issue include partnering with fact-checking organizations, introducing warning labels on posts containing false information, and removing content that violates their policies. However, there is still much work to be done to combat the spread of false information on social media. It is important for individuals to also take responsibility for verifying information before sharing it and to rely on credible sources for health and science information.

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Net sales are $8,000,000, beginning total assets are $2,500,000, and the asset turnover is 4.0 times. What is the ending total asset balance

Answers

The ending total asset balance is $1,500,000.

To find the ending total asset balance, we can use the asset turnover ratio formula:

Asset turnover = Net sales / Average total assets

We are given the net sales and the asset turnover, but we need to find the average total assets. We can use the following formula to find the average total assets:

Average total assets = (Beginning total assets + Ending total assets) / 2

We are given the beginning total assets and we can find the ending total assets using the asset turnover ratio:

4.0 = $8,000,000 / Average total assets

Average total assets = $8,000,000 / 4.0 = $2,000,000

Now we can use the average total assets and beginning total assets to find the ending total assets:

$2,000,000 = ($2,500,000 + Ending total assets) / 2

$4,000,000 = $2,500,000 + Ending total assets

Ending total assets = $4,000,000 - $2,500,000 = $1,500,000

Therefore, the ending total asset balance is $1,500,000.

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River City Bank needs to cut back on lending. For several months, the bank has seen more withdrawals from customers than deposits. This has led to a decrease in deposits typically used for lending. What term can be used to describe what the bank has experienced

Answers

River City Bank needs to cut back on lending due to experiencing more withdrawals from customers than deposits for several months. This situation has led to a decrease in deposits typically used for lending. The term that can be used to describe what the bank has experienced is liquidity crisis.

A liquidity crisis occurs when a financial institution, such as River City Bank, struggles to meet its short-term obligations due to a shortage of cash or other liquid assets. In this case, the bank has witnessed an imbalance between withdrawals and deposits, leading to reduced funds available for lending.

To address this issue, the bank may need to implement strategies like raising interest rates to attract more deposits, offering incentives to customers to keep their money in the bank, or even seeking external sources of funding to boost its liquidity.

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In the market for a given product, when a price floor is set above the equilibrium price the result will be

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When a price floor is set above the equilibrium price in the market for a given product, it will result in a surplus of that product. This is because, at the higher price floor, the quantity supplied will exceed the quantity demanded.

Suppliers will be willing to produce and sell more of the product at a higher price, but consumers will be less willing to purchase it due to the increased cost. As a result, there will be excess supply in the market which will lead to an accumulation of unsold products. This surplus may also lead to a decrease in prices as suppliers try to clear their excess inventory. Therefore, setting a price floor above the equilibrium price can be counterproductive and result in negative outcomes for both consumers and producers.
When a price floor is set above the equilibrium price in the market for a given product, the result will be a surplus.

To provide a detailed, step-by-step explanation:

1. The equilibrium price is the point where the quantity demanded by consumers equals the quantity supplied by producers. At this price, the market is in balance.

2. A price floor is a government-imposed minimum price that must be charged for a product or service. When a price floor is set above the equilibrium price, producers are required to charge a higher price than the market would naturally dictate.

3. When the price floor is above the equilibrium price, the quantity supplied by producers will be greater than the quantity demanded by consumers. This is because producers are more willing to supply the product at a higher price, while consumers are less willing to purchase the product at an increased price.

4. The result of this imbalance between supply and demand is a surplus. A surplus occurs when there is an excess supply of a product in the market, meaning that there are more goods available than consumers are willing to purchase at the price floor.

In summary, when a price floor is set above the equilibrium price in the market for a given product, the result is a surplus, as producers supply more of the product than consumers demand at the higher price.

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For example, an increase in the money supply, anominal variable, will cause the price level, anominal variable, to increase but will have no long-run effect on the quantity of goods and services the economy can produce, areal variable. The distinction between real variables and nominal variables is known as .

Answers

An increase in the money supply, anominal variable, will cause the price level, anominal variable, to increase but will have no long-run nominal variable is one with non-numeric values, such as gender. It is determined using pricing from the current year.

In other words, real value is measured in terms of commodities or services, whereas nominal value is evaluated in monetary terms. A real variable is one with numerical values. It is calculated using the base year's currency.

The nominal, real, and the classical dichotomy describes the division between real and nominal variables. The underlying presumption of the classical dichotomy is that the nominal economy and the real economy are ultimately wholly distinct from one another. Nominal prices have no long-term effects on actual variables.The difference between nominal variables (such as the amount of money that is available: a high or low money supply) and real variables (such as an increase or reduction in prices/price level of products or services) is the inflation rate.Real variables are nominal variables that have been corrected for inflation and are impacted by nominal variables.

Complete question:

For example, an increase in the money supply, anominal variable, will cause the price level, anominal variable, to increase but will have no long-run effect on the quantity of goods and services the economy can produce, areal variable. The distinction between real variables and nominal variables is known as ?

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