According to the FASB ASC regarding the testing procedures for Goodwill Impairment, the proper procedure for conducting impairment testing is:

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Answer 1

According to FASB ASC 350, goodwill impairment testing should be performed at least annually, or more frequently if certain events occur, such as a significant change in business conditions.

The first step in the impairment testing process is to identify the reporting unit or units that represent the lowest level at which goodwill is monitored for internal management purposes. The fair value of each reporting unit is then compared to its carrying value, including any goodwill. If the fair value is less than the carrying value, goodwill impairment is indicated, and the impairment loss is calculated as the excess of the carrying amount of goodwill over its implied fair value. The implied fair value is determined by allocating the fair value of the reporting unit to all of its assets and liabilities, including any unrecognized intangible assets. It is important to follow these procedures carefully to ensure that goodwill is properly tested for impairment and any necessary write-downs are accurately reported in the financial statements.

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The project will be developing a decision analysis model. The project will involve specifying the decision problem to be analyzed (framing etc.), structuring different parts of the analysis (deterministic model, utility function if applicable, uncertainties), building a spreadsheet model, populating it with data, obtaining and analyzing results and reporting on them. There will be interim deliverables and a lot of class time spent workshopping the projects (discussing them as a class) and working within the group.

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To achieve this, various steps will be taken, starting with specifying the decision problem. This involves framing the issue and identifying the objectives, alternatives, and criteria for evaluation.

Next, the project will focus on structuring different components of the analysis, such as the deterministic model, which represents relationships between decision variables and outcomes. If applicable, a utility function will be incorporated to quantify preferences and risk attitudes. Additionally, uncertainties will be considered to account for variability and unpredictability in the decision-making process.

A key aspect of the project is building a spreadsheet model, which will be populated with relevant data to facilitate decision-making. This model will enable the team to evaluate different alternatives and determine the best course of action based on the specified criteria.

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What is the delta on a $30 strike put? Assume S = $32.00, sigma = 0.30, r = 0.05, the stock pays a 1.0% continuous dividend and the option expires in 5 months? Group of answer choices

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To calculate the delta of a $30 strike put option, we'll use the Black-Scholes model. Here are the given parameters:

S = $32.00 (stock price)
K = $30.00 (strike price)
σ = 0.30 (volatility)
r = 0.05 (interest rate)
q = 0.01 (continuous dividend yield)
T = 5/12 (time to expiration in years)

First, we'll calculate d1 and d2:

d1 = (ln(S/K) + (r - q + (σ^2)/2) * T) / (σ * √T)
d2 = d1 - σ * √T

Next, we'll calculate N(d1) and N(d2) using the cumulative standard normal distribution function:

N(d1) = cumulative standard normal distribution of d1
N(d2) = cumulative standard normal distribution of d2

Finally, we'll find the delta of the put option:

Put Delta = -e^(-q * T) * (1 - N(d1))

Now, let's plug in the values:

d1 = (ln(32/30) + (0.05 - 0.01 + (0.3^2)/2) * (5/12)) / (0.3 * √(5/12))
d2 = d1 - 0.3 * √(5/12)

N(d1) = N()
N(d2) = N()

Put Delta = -e^(-0.01 * (5/12)) * (1 - N())

After calculating the values, you'll get the delta for the $30 strike put option.

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uppose there is a decrease in both the supply and demand of iPads. In the market for iPads, we would expect: Group of answer choices

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A decrease in both the supply and demand of iPads will result in a decrease in the quantity demanded, an increase in price, a decrease in the quantity supplied, and an increase in scarcity.

If there is a decrease in both the supply and demand of iPads, we would expect a detailed answer:

Decrease in quantity demanded: As both supply and demand decrease, the quantity demanded of iPads will also decrease. This is because there are fewer units available in the market, and consumers are less willing to purchase them due to the higher price.Increase in price: Since there is a decrease in both supply and demand, the equilibrium price of iPads will increase. This is because the scarcity of iPads will make them more valuable in the market, and consumers will have to pay a higher price to acquire them.Decrease in quantity supplied: As the demand for iPads decreases, producers will be less willing to produce them. This is because they will not be able to sell as many units at a higher price, and it will be less profitable for them to produce them.Increase in scarcity: The decrease in both supply and demand will make iPads more scarce in the market. This means that consumers will have a harder time finding them, and they will be less available for purchase.

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the airlines utilize technology to offer faster and more efficient service for their customers. one application of technology, developed by the airlines, is a paperless system called the fast flow program. what is the fast flow program designed to do

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The Fast Flow program is a paperless system developed by airlines that is designed to offer faster and more efficient service for their customers.

Here are some points to explain what the Fast Flow program is designed to do:

1. Streamline passenger processing: The Fast Flow program is designed to streamline the process of passenger processing at airports. It uses advanced technology to automate many of the tasks that are traditionally performed manually by airline staff.

2. Paperless system: The Fast Flow program is a paperless system, which means that it eliminates the need for passengers to present physical documents such as boarding passes, passports, or visas.

Instead, passengers can use electronic documents such as mobile boarding passes or electronic passports.

3. Enhance security: The Fast Flow program is designed to enhance security by using advanced biometric technology such as facial recognition, fingerprints, and iris scans to verify the identity of passengers.

4. Speed up boarding: The Fast Flow program is designed to speed up the boarding process by eliminating the need for passengers to present physical documents, which can cause delays and long queues.

5. Reduce costs: The Fast Flow program is designed to reduce the costs associated with passenger processing by eliminating the need for paper documents, reducing the need for airline staff, and improving efficiency. This can result in significant cost savings for airlines.

6. Improve customer experience: The Fast Flow program is designed to improve the customer experience by reducing the time and hassle associated with traditional passenger processing.

Passengers can enjoy a faster and more efficient service, which can enhance their overall travel experience.

Overall, the Fast Flow program is designed to leverage technology to automate and streamline the passenger processing process, which can improve efficiency, enhance security, reduce costs, and improve the customer experience.

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Census data are ________ and ________ data for marketing researchers. Group of answer choices external; secondary external; primary internal; secondary internal; primary

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The correct option is A, Census data are external and secondary data for marketing researchers.

Marketing researchers are professionals who conduct research to gather information about customers, markets, and competitors in order to help businesses make informed decisions about their marketing strategies. Their primary goal is to identify and understand consumer needs and preferences, as well as the factors that influence their purchasing decisions.

Marketing researchers use a variety of research techniques, such as surveys, focus groups, and data analysis, to gather and analyze data on consumer behavior, market trends, and competitive landscape. They then use this information to develop marketing strategies that can help businesses better target their customers and improve their bottom line.

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Insurers offering group or individual health insurance coverage are prohibited from imposing lifetime or annual limits on the dollar value of the mandatory __________ health benefits.

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Insurers offering group or individual health insurance coverage are prohibited from imposing lifetime or annual limits on the dollar value of the mandatory essential health benefits.

These essential health benefits are a set of ten categories of services that must be covered by health insurance plans offered in the individual and small group markets, as well as in Medicaid Alternative Benefit Plans. The ten essential health benefits include:  Ambulatory patient services, Emergency services, Hospitalization, Maternity and newborn care, Mental health and substance use disorder services, including behavioral health treatment, Prescription drugs, Rehabilitative and habilitative services and devices, Laboratory services, Preventive and wellness services and chronic disease management, Pediatric services, including oral and vision care

The prohibition on lifetime or annual limits ensures that individuals and families have access to necessary healthcare services without facing financial ruin due to medical expenses. Before the Affordable Care Act, many insurance plans would impose annual or lifetime limits on essential health benefits, which could result in individuals reaching their coverage limits and being left without insurance coverage for necessary medical care. This could be especially devastating for individuals with chronic conditions or those who required expensive treatments.

By prohibiting these limits, the Affordable Care Act has helped ensure that individuals have access to necessary healthcare services and can receive the care they need without worrying about the financial impact.

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Brown Field BluesFarmer Brown owns Brown Field Farm, a 400 acre farm that has been in the Brown family for five generations. Farmer Brown recently had the farm appraised, which determined its fair market value to be $2 million dollars.One day, while Farmer Brown is sitting on his front porch contemplating the meaning of life, he sees a black Cadillac drive up his driveway. The car parks and out from the driver’s seat steps a man dressed in a white cowboy hat, black suit, and boots. He introduces himself to Farmer Brown as Tex Austin, a wealthy businessman. "Farmer Brown, I’d like to buy your farm. What do you want for it?""It’s not for sale," replies Farmer Brown. "Name your price," says Tex. "It’s perfect.""Why do you want it?" Farmer Brown inquires."Well, I’m a cattleman myself. I’ve got 1,000 head down in Texas. This farm is perfect.""Well, you’re right, it is perfect," says Farmer Brown. "So perfect, that I don’t think I could take less than $4 million for it." "Deal!" says Tex. "My people will be by tomorrow with the paperwork."The next day, two lawyers arrive with a deed for the farm, under the terms of which Farmer Brownwill transfer to Tex Austin fee simple title. The deed states that the purchase price is $4 million. Farmer Brown informs the lawyers that, upon further contemplation of the meaning of life, he won’t take less than $8 million for the farm. The lawyers ask Farmer Brown to go ahead and sign the deed so they can process the payment. He does, and the lawyers leave.Two days later, as Farmer Brown is moving out, the lawyers return…followed by oil drilling equipment owned by the Austin Oil Corporation.The lawyers hand Farmer Brown a check for $4 million, explaining that Tex Austin, who does in fact own 1,000 head of cattle in Texas, also owns an oil exploration company. After the original deed was recorded, Austin signed a new deed to his company, which will drill for oil.Farmer Brown refuses to accept the check, arguing that he only agreed to sell the farm to Austin, not the corporation. He says Austin lied to him about the use of the farm—he never would have sold it if he knew the farm would be destroyed by oil equipment. He retrieves his grandfather’s shotgun from the farmhouse, and threatens to shoot any oil company worker that steps foot on the farm again.Geological tests show $100 million of oil reserves under Brown Field Farm. The Austin OilCompany sues Farmer Brown for $100 million. Farmer Brown countersues for $100 million and an injunction against further efforts to drill on the farm.

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Farmer Brown had entered into a contract with Tex Austin to sell his 400-acre farm.

Why is this?

Though Farmer Brown had claimed a consideration of $8 million, he had signed a deed that stated the purchase price of $4 million. So the farms were sold to Tex Austin for $4 million.

Moreover there was no sale restriction placed by Farmer Brown on the property that Austin will use the farm for a specific purpose only. If he had placed a restriction, then Tex Austin would be limited to use the farm just for farming purposes.

However as there were no restrictions, Tex had full rights to sell the farm which he bought, to anyone. In this case, Farmer Brown is wrong. He cannot put restrictions on the buyer after the sale deed has been finalized. Hence the lawsuit of Farmer Brown is invalid.


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Assume you are risk-averse and have the following three choices. Expected Value Standard Deviation A $ 2,200 $ 1,440 B 2,730 1,960 C 2,250 1,490 a. Compute the coefficient of variation for each. (Round your answers to 3 decimal places.) b. Which project will you select

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As a risk-averse individual, you would select the project with the lowest CV since it represents the lowest relative risk. In this case, Project A has the lowest CV at 0.654. This means that while the expected value of Project A may be lower than Projects B and C, the risk associated with Project A is also lower about its expected value. Therefore, you would select Project A.

The coefficient of variation (CV) is a measure of relative risk and can be calculated by dividing the standard deviation by the expected value. Using this formula, we can compute the CV for each project:

Project A:
Expected Value: $2,200
Standard Deviation: $1,440
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1440 / 2200 = 0.654 (rounded to 3 decimal places)

Project B:
Expected Value: $2,730
Standard Deviation: $1,960
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1960 / 2730 = 0.718 (rounded to 3 decimal places)

Project C:
Expected Value: $2,250
Standard Deviation: $1,490
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1490 / 2250 = 0.662 (rounded to 3 decimal places)

Coefficient of Variation:
A: 0.654
B: 0.718
C: 0.662

As a risk-averse individual, you would select the project with the lowest CV since it represents the lowest relative risk. In this case, Project A has the lowest CV at 0.654. This means that while the expected value of Project A may be lower than Projects B and C, the risk associated with Project A is also lower in relation to its expected value. Therefore, you would select Project A.

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In October 2008, Congress passed the ________, under which the Treasury provided funds to banks in exchange for stock.

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In October 2008, Congress passed the Troubled Asset Relief Program (TARP), which was a government initiative designed to stabilize the financial system during the height of the global financial crisis.

TARP authorized the Treasury to purchase up to $700 billion in troubled assets, including mortgage-backed securities, from financial institutions that were struggling due to the subprime mortgage meltdown. However, the Treasury eventually opted to use the funds to inject capital into banks instead, in exchange for preferred stock and warrants. The purpose of this injection was to help these banks improve their liquidity and solvency, and to restore confidence in the financial system. The Treasury's investments in the banks ultimately generated a profit for taxpayers, as most of the banks repaid their TARP funds with interest. However, TARP was a controversial program that was criticized by many for bailing out large financial institutions that were seen as responsible for the crisis, while doing little to help ordinary Americans who were struggling with foreclosures and job losses. Despite these criticisms, TARP is widely regarded as having played a significant role in preventing a total collapse of the financial system.

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As price rises, people buy only slightly less of a product. Economists would describe the good as having

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As price rises, people buy only slightly less of a product. Economists would describe the good as having inelastic demand.

Inelastic demand occurs when the percentage change in quantity demanded is smaller than the percentage change in price. This means that the change in quantity demanded is not significant in response to changes in price.  As the demand for the product is not very sensitive to price changes, and consumers will continue to buy it even if the price increases.

Inelastic goods are typically necessities or products with limited substitutes, where consumers are willing to pay a higher price to maintain their level of consumption. Examples of inelastic goods include gasoline, prescription medications, and basic food items.

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If people's real assets increase, then the: a. consumption function will shift down. b. economy will move to the right along the existing consumption function. c. economy will move to the left along the existing consumption function. d. consumption function will shift up.

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If people's real assets increase, then the consumption function will shift up. The consumption function represents the relationship between people's disposable income and their consumption spending.

When people's real assets increase, their disposable income increases as well, leading to an increase in their consumption spending. As a result, the consumption function shifts up. Real assets refer to physical assets such as houses, land, and equipment that have intrinsic value. When people's real assets increase, it can be due to several reasons such as a rise in property prices or an increase in the value of their investments. In either case, it leads to an increase in their net worth, which in turn increases their disposable income. Consumption spending is a major component of the gross domestic product (GDP) and is a key driver of economic growth. An increase in consumption spending leads to an increase in demand for goods and services, which can result in higher production levels and employment. In summary, if people's real assets increase, it will lead to an increase in their disposable income and consumption spending, causing the consumption function to shift up. This increase in consumption spending can lead to higher economic growth and a boost in the overall economy.

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

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

What is hierarchical organization structure?

A hierarchical organizational structure is a type of organizational design characterized by various levels of authority and responsibility,with a linear chain of command stemming from the top administration down to the lower-level personnel.

This structure incorporates distinct categorizations of duties as well as allotment of control that flows exclusively from the seniormost management all the way to their subordinates.

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A main difference between a critic and a reviewer is that a reviewer Group of answer choices is restricted by time and space. has more historical knowledge. does not usually make a personal judgment about the production. All these answers are correct.

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The correct answer is "A reviewer is restricted by time and space." However, to give a long answer, it is important to understand the difference between a critic and a reviewer. A critic is someone who analyzes and critiques a piece of art, literature, or performance with the goal of providing insight and commentary on its quality, meaning, and significance.

A reviewer, on the other hand, is someone who evaluates a work for a specific audience, such as readers of a newspaper or magazine. Reviewers are often constrained by time and space limitations, which means that they must provide a brief, concise assessment of the work in question. While they may have some historical knowledge or context, their primary focus is on the present moment and how the work relates to contemporary culture and society. In contrast, a critic may have more latitude to explore the historical, cultural, and artistic contexts of a work, and to provide a more in-depth analysis of its strengths and weaknesses.

The main difference between a critic and a reviewer is that a reviewer is restricted by time and space. While both critics and reviewers evaluate and analyze productions, reviewers often have limitations in terms of word count and publication deadlines, which can impact the depth and breadth of their evaluations. Critics, on the other hand, may have more freedom to provide detailed analysis and historical context.

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e What name is given to the distance between an output level that is below potential GDP (that is, full employment GDP) and the level of potential GDP

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The term used to describe the distance between an output level that is below potential GDP and the level of potential GDP is known as the output gap. The output gap represents the difference between the actual level of economic output in an economy and its potential level of output. It is calculated by subtracting the actual level of output from the potential level of output and is expressed as a percentage of potential GDP.

The output gap is a critical concept in macroeconomics as it provides policymakers with insight into the state of the economy and the need for economic stimulus or contractionary policies to achieve full employment and stable inflation.

A negative output gap indicates that the economy is operating below potential, while a positive output gap indicates that the economy is operating above its potential. A detailed understanding of the output gap is vital for policymakers to manage economic performance effectively.

The distance between an output level below potential GDP (full employment GDP) and the level of potential GDP is called the "output gap" or "GDP gap." This gap represents the difference between the economy's actual output and its potential output when resources are fully employed.

A negative output gap indicates that the economy is underperforming and not utilizing its resources efficiently, leading to unemployment and lower production levels. Conversely, a positive output gap signifies over-utilization of resources, causing inflationary pressures. Policymakers use the output gap to identify and address macroeconomic imbalances and implement appropriate monetary and fiscal policies to promote economic stability and growth.

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If a government is using fiscal policy, this means that it is using _____ and _____ to attempt to stabilize the economy. g

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If a government is using fiscal policy, this means that it is using government spending and taxation to attempt to stabilize the economy.

Fiscal policy involves adjusting government revenue (through taxes) and expenditures (through spending) to influence the overall demand, output, and employment levels in an economy. This helps to promote economic growth, manage inflation, and reduce unemployment.

Government spending can increase during times of economic recession to stimulate economic growth, while taxation may decrease to put more money into the hands of consumers and businesses. On the other hand, during times of inflation, the government may decrease spending and increase taxes to slow down economic activity and reduce inflation.

Overall, fiscal policy is a tool that governments can use to influence the economy and achieve macroeconomic goals such as full employment, price stability, and economic growth.

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Banks make loans to: Group of answer choices Businesses for new plant and equipment. Consumers for new homes and cars. The government for its projects. All of the above.

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Banks make loans to all of the above: businesses for new plant and equipment, consumers for new homes and cars, and the government for its projects. The correct option is  all the above.

Lending to businesses is a critical function of banks, as it enables businesses to expand their operations, invest in new equipment, and create jobs. Banks also lend to consumers for major purchases, such as homes and cars. These loans can help consumers achieve important goals and milestones in their lives, such as owning a home or commuting to work. In addition to lending to businesses and consumers, banks also lend to the government for its projects.

This can include financing for infrastructure projects, such as highways and airports, as well as funding for social programs and public services. Overall, the ability of banks to make loans to businesses, consumers, and the government is a critical component of the economy. These loans enable businesses to grow, consumers to make important purchases, and governments to invest in important projects that benefit society as a whole.

As such, it is important for banks to continue to support lending activities in order to foster economic growth and prosperity. The correct option is  all the above.

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The government has decided to stimulate the economy by spending money to update the fleet of vehicles owned by the government. The government will spend $30 billion on these new vehicles and will borrow to pay for this purchase. The economy is currently in a short-run equilibrium at $700 billion. Savings by consumers will increase by $20 billion. How will the economy change? Consumption will change by -$10 billion -$20 billion -$10 billion Government spending will chan b billion +$30 billion +$20 billion Net investment will change by +$20 billion

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Consumption will change by -$10 billion. Government spending will change by +$30 billion. Net investment will change by +$20 billion.

The government's decision to spend $30 billion on updating its fleet of vehicles will increase government spending by $30 billion, which will shift the aggregate demand (AD) curve to the right. Additionally, the increase in savings by consumers by $20 billion will decrease consumption spending, which will shift the AD curve to the left. The overall effect on the economy will depend on the relative magnitudes of these two shifts.

If the increase in government spending is greater than the decrease in consumption spending, then the economy will see an increase in both real GDP and the price level. This is because the shift in the AD curve to the right will increase both the price level and real GDP. Net investment will also increase by $20 billion as a result of the government's spending.

On the other hand, if the decrease in consumption spending is greater than the increase in government spending, then the economy will see a decrease in real GDP and a decrease in the price level. This is because the shift in the AD curve to the left will decrease both the price level and real GDP. Net investment will increase by $20 billion as a result of the increase in savings by consumers.

It is also possible that the two shifts will offset each other, in which case the short-run equilibrium level of real GDP and the price level will remain unchanged.

Therefore, without knowing the magnitude of the shifts, it is difficult to determine exactly how the economy will change in response to the government's decision to update its fleet of vehicles and the increase in savings by consumers.

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You want to start a new business in the simplest, cheapest and fastest way possible. You should establish your business as an:

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If you want to start a new business in the simplest, cheapest, and fastest way possible, you should establish your business as a sole proprietorship.

A sole proprietorship is the simplest and least expensive form of business entity to set up. In this type of business, you are the sole owner, and there is no legal distinction between you and the business. To establish a sole proprietorship, you typically need to register your business with your state or local government and obtain any necessary business licenses or permits. However, the registration process is typically straightforward and can often be completed online.

One of the advantages of a sole proprietorship is that it allows you to have complete control over your business. You are not required to share profits or decision-making with anyone else. Additionally, the profits of the business are treated as personal income, so you do not need to file a separate business tax return.

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You want to start a new business in the simplest, cheapest and fastest way possible. You should establish your business as an: ______

A document typically encountered in the revenue cycle that is both an output document and a source document is the

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A document that is typically encountered in the revenue cycle and serves as both an output and source document is an invoice.

An invoice is an output document as it is created by the seller and sent to the buyer as a request for payment. It is also a source document as it contains information such as the buyer's name, quantity and type of products or services sold, and the price that are used to record the transaction in the seller's accounting system.

Invoices play a crucial role in the revenue cycle as they help to ensure that sales are accurately recorded and that payments are received on time.

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During the year 2018, Torino Corporation suffered a $1,200,000 loss when its factory was severely damaged in an earthquake. Assuming the corporate income tax rate is 30%, what amount will Torino report as anon-recurring loss on its income statement for 2018

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The amount of the non-recurring loss that Torino Corporation will report on its income statement for 2018 is $1,714,285.71.

If Torino Corporation suffered a $1,200,000 loss in 2018 and the corporate income tax rate is 30%, the amount of the non-recurring loss on its income statement for 2018 will be the loss before taxes.

The loss before taxes can be calculated as follows:

Loss before taxes = Loss after taxes / (1 - Tax rate)

Loss before taxes = $1,200,000 / (1 - 0.30)

Loss before taxes = $1,200,000 / 0.70

Loss before taxes = $1,714,285.71

Therefore, the amount of the non-recurring loss that Torino Corporation will report on its income statement for 2018 is $1,714,285.71.

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What percentage of midsize and large companies use personality and ability assessments to help ensure the right fit between the job candidate and the job

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According to a survey conducted by the Society for Human Resource Management (SHRM), about 18% of midsize and large companies use personality and ability assessments during their hiring process. These assessments can provide valuable insights into a candidate's strengths, weaknesses, and overall fit for a particular job.

They can also help to identify potential red flags or areas of concern, such as a candidate's lack of communication skills or ability to work well in a team. While not every company uses these assessments, they can be a useful tool for ensuring that the right person is hired for the job and that they will be able to succeed and thrive within the organization.

approximately 57% of midsize and large companies use personality and ability assessments to help ensure the right fit between the job candidate and the job. These assessments are valuable tools for companies to evaluate potential employees' traits, skills, and compatibility with the company culture. By using these assessments, employers can make more informed hiring decisions, increase employee retention, and ultimately, improve overall company performance.

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Intentional acts of influence to enhance or protect the self-interest of individuals or groups that are not endorsed or aligned with those of the organization are known as: Multiple choice question. organizational politics the informal organization the grapevine organizational structure Need help

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The intentional acts of influence to enhance or protect self-interest of individuals or groups that are not aligned with the organization's objectives are known as organizational politics.

Organizational politics refer to the use of power and influence within an organization to achieve individual or group goals that are not in line with the organization's stated mission or values. These actions can include creating alliances, making deals, withholding information, and engaging in other forms of manipulation or influence. Organizational politics can have both positive and negative effects on an organization, with some arguing that it can promote creativity and innovation, while others suggest it can lead to a toxic work environment and hinder productivity. Effective leaders should be aware of the political landscape within their organization and take steps to manage it in a way that supports the organization's goals and values.

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The following information is available for a company's utility cost for operating its machines over the last four months. Month Machine hours Utility cost January 900 $ 5,450 February 1,800 $ 6,900 March 2,400 $ 8,100 April 600 $ 3,600 Using the high-low method, the estimated total fixed cost for utilities is:

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Thus, the estimated total fixed cost for utilities using the high-low method is $3,950.

The high-low method involves finding the highest and lowest levels of activity and their corresponding costs, and using the difference between the two to calculate the variable cost per unit of activity. In this case, the highest level of activity is in March with 2,400 machine hours and a utility cost of $8,100, while the lowest level of activity is in April with 600 machine hours and a utility cost of $3,600.

To calculate the variable cost per unit of activity, we subtract the lowest cost from the highest cost, and divide the result by the difference in activity levels:

($8,100 - $3,600) / (2,400 - 600) = $1.50 per machine hour

We can then use this variable cost per unit of activity to estimate the total fixed cost for utilities. To do this, we can use any of the given data points and solve for the fixed cost component. For example, using the data from January:

$5,450 = Fixed cost + ($1.50 x 900 machine hours)

Fixed cost = $3,950

Therefore, the estimated total fixed cost for utilities using the high-low method is $3,950.

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You bought one share of stock for $100 and received a $2 dividend. If the price of the stock rose to $103, then your total dollar return would be ___.

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In this case, the capital gain is $3 ($103 - $100), and the dividend received is $2. Therefore, your total dollar return would be $5 ($3 + $2).

The total dollar return would be $5. This is calculated by adding the capital gain of $3 (the increase in stock price from $100 to $103) to the dividend received of $2.

Therefore, the long answer is that the total dollar return is calculated by adding the capital gain and any dividends received from owning the stock. In this scenario, the capital gain was $3 and the dividend was $2, resulting in a total dollar return of $5.

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The ratio of a bank's interest income from its loans and security investments less interest expenses on debt issued, divided by total earning assets measures a bank's:

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The ratio of a bank's interest income from its loans and security investments less interest expenses on debt issued divided by total earning assets measures a bank's: Net interest margin, option C.

A measure of the relationship between the quantity of their (interest-earning) assets and the difference between the interest revenue earned by banks or other financial institutions and the amount of interest paid out to their lenders (for example, deposits), is called net interest margin (NIM). It is comparable to non-financial firms' gross margins (or gross profit margins).

It is often represented as a percentage of the average amount of the assets that generated revenue for the financial institution during that time period (the average earning assets), divided by the amount of loans and other assets the institution earned during that time period, less the interest paid on borrowed money.

Similar in concept to net interest spread, net interest margin does not account for the possibility that the earning assets and the borrowed funds may be different instruments with different volumes. Instead, net interest spread measures the nominal average difference between borrowing and lending rates.

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Complete question:

The ratio of a bank's interest income from its loans and security investments less interest expenses on debt issued divided by total earning assets measures a bank's:

A) Net operating margin

B) Net return before special transactions

C) Net interest margin

D) Return on assets

E) None of the above

Under the U.S. method of translation procedures, if the financial statements of the foreign subsidiary of a U.S. company are maintained in U.S. dollars:

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Under the U.S. method of translation procedures, if the financial statements of the foreign subsidiary of a U.S. company are maintained in U.S. dollars, then no translation is necessary.


However, if the financial statements of the foreign subsidiary are maintained in a foreign currency, then the U.S. company must translate those financial statements into U.S. dollars in order to consolidate them with its own financial statements.

This is done using the current rate method, where the financial statements of the foreign subsidiary are translated using the exchange rate at the date of the balance sheet. Any gains or losses resulting from this translation are recorded in the income statement.

It is important to note that the U.S. method of translation procedures is different from the International Financial Reporting Standards (IFRS) method, which allows for the use of both the current rate method and the temporal method, depending on the circumstances.

The U.S. Securities and Exchange Commission (SEC) requires U.S. companies to use the current rate method for translation purposes, unless they can demonstrate that another method would be more appropriate.

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. Using the city bicycle example, suppose the cycling store uses the FIFO cost flow assumption. The cost of goods sold is

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If the cycling store uses the FIFO cost flow assumption, it means that they are valuing their inventory based on the assumption that the first items purchased are also the first items sold.

In the case of city bicycles, this would mean that the cost of goods sold would be based on the cost of the most recent purchases, rather than the older ones. This would have an impact on the store's financial statements, as it would result in a higher cost of goods sold and lower gross profit.

Additionally, it could also impact the store's tax liability, as higher costs would result in lower taxable income. It is important for businesses to carefully consider their inventory valuation methods and the impact they can have on their financial statements and tax obligations.

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Social consequences of business activities, including pollution, energy loss, and dangerous accidents, are known as ___.

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Social consequences of business activities, including pollution, energy loss, and dangerous accidents, are known as externalities. As a result, it's critical that companies think about the effects on society.

Externalities are the social and environmental impacts that businesses have that are not accounted for in their financial accounts or considered when making business decisions. They can be beneficial, as when a company generates jobs and boosts.

The local economy, or harmful, like when a company pollutes the environment or damages people or property. Negative externalities may result in social unrest, health issues, and environmental deterioration, all of which may be detrimental to the long-term viability of the company and the areas where it conducts business.Negative externalities may result in social unrest, health issues, and environmental deterioration, all of which may be detrimental to the long-term viability of the company and the areas where it conducts business.

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The rate used to discount project cash flows is known as the ______. Multiple select question. required return cost of capital market rate discount rate

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The rate used to discount project cash flows is known as the discount rate. A measure of an investment of net present value project's profitability that accounts for time value of money is called net present value (NPV).

The three primary characteristics of NPV are as follows:utilises all project financial flows:The net present value (NPV) of an investment project takes into account all cash flows, including the initial investment, ongoing operating expenses, and cash inflows over the course of the project. The NPV provides a complete view of the project's profitability by taking into account all cash flows.Correctly discounts the cash flows: NPV uses an appropriate discount rate to reduce future cash flows to their present value. This makes it possible to compare cash flows that happen at various times fairly and helps account for the time value of money.employs cash flows Based on NPV

Complete question:

The rate used to discount project cash flows is known as the ______. Multiple select question.

a. required

b. return cost of capital

c. market rate

d. discount rate

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If RST Soft Design, a software design company, has self-contained divisions in each of the regions of the countries in which it operates, then the company is using a ______ structure.

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RST Soft Design, a software design company, has self-contained divisions in each of the regions of the countries in which it operates. In this case, the company is using a geographic organizational structure.

This structure allows the company to better address regional differences and adapt to the specific needs of each market.If RST Soft Design has self-contained divisions in each of the regions of the countries in which it operates, then the company is using a decentralized or multi-divisional structure.

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