Bramble Corporation reports operating expenses of $90,100 excluding depreciation expense of $15,700, for 2022. During the year, prepaid expenses decreased $6,700 and accrued expenses payable increased $4,900. Compute the cash payments for operating expenses in 2022.

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Answer 1

To compute the cash payments for operating expenses in 2022, we need to take into account the changes in prepaid expenses and accrued expenses payable, as well as the depreciation expense.

First, let's calculate the total operating expenses for 2022, including depreciation. We can do this by adding the operating expenses of $90,100 and the depreciation expense of $15,700, which gives us a total of $105,800.

Next, we need to adjust this amount for the changes in prepaid expenses and accrued expenses payable. Since prepaid expenses decreased by $6,700, this means that Bramble Corporation paid $6,700 less in cash for those expenses in 2022. On the other hand, since accrued expenses payable increased by $4,900, this means that Bramble Corporation paid $4,900 more in cash for those expenses in 2022.

To calculate the cash payments for operating expenses in 2022, we need to subtract the decrease in prepaid expenses ($6,700) and add the increase in accrued expenses payable ($4,900) to the total operating expenses of $105,800. This gives us a final figure of $104,000 in cash payments for operating expenses in 2022.

In summary, to compute the cash payments for operating expenses in 2022, we need to add the operating expenses and depreciation, adjust for changes in prepaid expenses and accrued expenses payable, and then calculate the final figure.

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One reason that people hold money is to pay for unexpected car repairs and other unpredictable expenses. This motive for holding money is called: a. noncyclical demand. b. speculative demand. c. transactions demand. d. precautionary demand.

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The motive for holding money to pay for unexpected expenses such as car repairs and other unpredictable expenses is called precautionary demand.

Precautionary demand for money is one of the three main motives for holding money, along with transactions demand and speculative demand. It refers to the demand for money as a buffer or safety net against unexpected expenses or emergencies.

The precautionary demand for money arises from the need to have a reserve of liquid assets that can be readily converted into cash to meet unexpected expenses. By holding money in reserve, individuals and businesses can reduce their vulnerability to financial shocks and unexpected events.

The other two motives for holding money are:

Transactions demand: The demand for money to carry out everyday transactions such as paying bills, buying goods and services, and making investments.Speculative demand: The demand for money to take advantage of potential investment opportunities or to hedge against risks in financial markets.

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Data processing activities may be classified in terms of three stages or processes: input, processing, and output. An activity that is not normally associated with the input stage is:

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An activity that is not normally associated with the input stage is processing. Processing typically involves the manipulation, calculation, or transformation of data that has already been input into a system.

The input stage, on the other hand, involves the collection, capture, or acquisition of data from various sources, such as sensors, keyboards, or scanners, and the conversion of that data into a format that can be processed by a computer system. Some activities that may be associated with the input stage include data entry, data capture, data conversion, and data validation.

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The "thread" that connects procurement (source), production (make) and distribution (deliver) is information. Select one: True False

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The given statement is true because the flow of information is critical for the success of any business, and it plays a crucial role in connecting the three key areas of procurement, production, and distribution.


Procurement involves identifying the raw materials or goods needed for production, finding suppliers, and negotiating contracts. To do this, companies need information on market conditions, supplier capabilities, pricing trends, and so on. Without access to accurate and timely information, procurement decisions may be based on guesswork or outdated information, which can lead to inefficiencies and lost opportunities.

Production involves converting raw materials into finished products. To do this, companies need information on production schedules, inventory levels, equipment availability, and quality control. Accurate and up-to-date information is essential to ensure that production runs smoothly and efficiently, and that products meet the required quality standards.

Distribution involves getting finished products to customers. To do this, companies need information on shipping schedules, delivery routes, customer demand, and inventory levels. Access to this information is critical for ensuring that products are delivered on time and to the right locations, and that customer satisfaction is maintained.

In conclusion, the flow of information is the "thread" that connects procurement, production, and distribution. Without it, these key areas of the business would not be able to function effectively, and the company's overall performance and success would suffer.

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______ in the buying center, often by providing specifications and recommendations for the product being purchased or the vendor being considered and communicating that to others in the buying center.

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Individuals in the buying center can influence the purchasing decision by providing specifications and recommendations for the product or vendor, and communicating their opinions and insights to other members of the group.

The goal of influencing is to sway the decision in favor of a particular product or vendor that is deemed most suitable for the organization's needs.
In the buying center, the "influencer" plays a crucial role, often by providing specifications and recommendations for the product being purchased or the vendor being considered and communicating that information to others in the buying center. The influencer's input can significantly impact the final purchasing decision made by the group.

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There is a monopolist in a market for a particular type of consumer goods. It is costly to create new types of products (brands) in this market, but consumers have different taste and thus some will prefer the new brand. Will the monopolist create too few brands or too many

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The monopolist in a market for a particular type of consumer goods, where it is costly to create new types of products (brands) and consumers have different tastes, is likely to create too few brands.

This is because the monopolist has the ability to control the market and limit the number of brands available to consumers, which can lead to higher prices and profits for the monopolist. However, creating too few brands can also lead to a loss of potential customers who may prefer a different brand, resulting in a loss of revenue for the monopolist. The monopolist may also consider the cost of creating new brands and the potential profit from each brand when deciding how many brands to create. If the cost of creating new brands is too high, the monopolist may choose to create only a few brands to maximize profits. Conversely, if the potential profit from creating new brands is high enough, the monopolist may choose to create more brands to capture a larger share of the market.

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Buyers need to enter a companys identification code and password to make a purchase from a selection of products at a prenegotiated price in:

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Buyers need to enter a company's identification code and password to make a purchase from a selection of products at a pre-negotiated price in a Business-to-Business (B2B) e-commerce platform.

In this type of platform, transactions occur between businesses rather than between a business and individual customers. The pre-negotiated prices help streamline the purchasing process and provide cost savings to both parties involved. B2B e-commerce platforms offer a variety of benefits, such as improved efficiency, increased sales, better communication, and enhanced customer experiences. Companies can also manage their inventory, track orders, and access analytics to make informed business decisions. Buyers can browse through a selection of products, compare prices, and place orders with ease, all while using the identification code and password provided by the seller. This secure method of transaction helps maintain privacy and trust between the parties. To summarize, a B2B e-commerce platform requires buyers to enter an identification code and password to access a selection of products at pre-negotiated prices. This streamlined and secure process benefits both buyers and sellers by improving efficiency, communication, and customer experiences in the business-to-business environment.

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Intangible assets are nonphysical assets used in operations that give companies long-term rights or competitive advantages. Group of answer choices true false

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The statement is True. Intangible assets are nonphysical assets that lack physical substance but are valuable to a company because they provide long-term rights or competitive advantages.

Examples of intangible assets include patents, copyrights, trademarks, brand names, customer lists, goodwill, and proprietary technology. These assets are essential for a company's success and growth, as they can help differentiate the company's products and services from those of its competitors and provide a sustainable competitive advantage.

However, the value of intangible assets can be difficult to determine, and they are subject to impairment charges if their value declines over time. Overall, intangible assets are an important part of a company's overall asset base and play a critical role in its long-term success.

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Revenues earned from consistent ongoing payments rendered to the company for either the delivery of the value proposition or after sales care for the customer are called:

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Revenues earned from consistent ongoing payments rendered to the company for either the delivery of the value proposition or after sales care for the customer are called recurring revenues.

These revenues are typically generated through subscription-based services, maintenance contracts, or support agreements. Recurring revenues provide a stable and predictable source of income for the company, as they are not reliant on sporadic one-time purchases or sales.

This type of revenue stream can help companies to improve their cash flow, reduce customer churn, and build long-term customer relationships. Recurring revenues are particularly important for businesses that are seeking to scale their operations and achieve sustainable growth over time.

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Selena is a licensed real estate broker. Her mother is moving into a nursing home. Her mother asks Selena to deal with the house she owns. The mother doesn't want to have to make any decisions regarding the house. She wants Selena to decide whether it makes more sense to sell or rent the home, to hire movers, sell or dispose of any left furniture and choose how best to invest any profits from a sale or rental. What type of agent is Selena when she is representing her mother in carrying out these duties

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In this situation, Selena is acting as a general agent for her mother. As a general agent, Selena has the authority to act on behalf of her mother in a broad range of matters,

such as selling or renting the house, hiring movers, disposing of furniture, and investing profits from the sale or rental. However, Selena's authority is limited to these specific tasks and does not extend beyond them.

It is important to note that Selena's status as a general agent is based on her mother's express or implied consent. Selena must act in her mother's best interest, disclose any conflicts of interest, and keep her mother informed about all actions taken on her behalf.

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Tech A states that the scheduled service history can be recorded in a service booklet. Tech B states that the scheduled service history can be recorded in the company's records. Who is correct

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Both Tech A and Tech B are correct.

The scheduled service history of a vehicle can be recorded in various ways, and both the service booklet and company records are commonly used methods. The service booklet is typically provided with the vehicle and allows the owner to keep track of all maintenance and repairs performed on the vehicle. This can be helpful when it comes time to sell the vehicle or for warranty purposes. On the other hand, many companies keep records of the maintenance and repairs performed on their fleet vehicles in order to track the costs and ensure that the vehicles are being properly maintained. Ultimately, the choice of where to record the scheduled service history will depend on the owner or company's preferences and needs.

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Closing projects involves gaining ____ acceptance of the final products and services, and bringing the project to an orderly end.

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Closing projects involves gaining customer acceptance of the final products and services, and bringing the project to an orderly end.

This includes completing any outstanding work, documenting lessons learned, and transitioning the project to the appropriate stakeholders. The goal of closing a project is to ensure that all objectives have been met and that the final products and services meet the agreed-upon standards.

Archive project documentation: Organize and store all project documentation for future reference, compliance, or audits. Celebrate and acknowledge success: Recognize the achievements of the project team and celebrate the successful completion of the project. By following these steps, you can effectively close a project, gain stakeholder acceptance of the final products and services, and bring the project to an orderly end.

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Tesla in 2019: Is sustained profitability a realistic prospect? Explain Tesla's business model. How-if at all-has it changed under musk's leadership? Select "yes" for those statements below that are accurate and choose "no" for those that are not.

a. Tesla is pursuing a focused differentiation generic strategy, that is, one that aims to differentiate a company's product or service from that of rivals in ways that will appeal to a high-growth niche composed of sophisticated buyers

b. customers are characterized a "wealthy individuals anxious to be a part of the migration from gasoline-powered vehicles to electric-powered vehicles and to publicly display support for a cleaner environment.

c. there is some evidence that tesla is already moving toward a broad differentiation generic strategy via more affordable EV, the Model Y, pickup trucks, and delivery vehicles (semis) autonomous vehicles and a mobile ride-sharing service

d. tesla has established a very limited number of recharging stations in a few locations to convey the selling point that tesla cars rarely need to be charged.

e. tesla is looking to appeal to a wider range of mass-market buyers through a best-cost strategy.

f. tesla cutomers are characterized as young, educated, technologically-inclined customers focused on a clean environment

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In 2019, sustained profitability is a realistic prospect for Tesla. While the company has faced some financial challenges in the past, such as production delays and high operating expenses, they have made significant progress in improving their financial position.

Tesla has achieved several profitable quarters in recent years, and they have a strong brand and a loyal customer base.

Tesla's business model is based on producing and selling electric vehicles (EVs) and energy products such as solar panels and battery storage. The company aims to accelerate the transition to sustainable energy by offering products that are both environmentally friendly and technologically advanced.


In terms of their customer base, Tesla is looking to appeal to a wider range of mass-market buyers through a best-cost strategy. They have introduced more affordable models, such as the Model 3, and have been working on reducing production costs. Tesla customers are generally characterized as young, educated, technologically-inclined customers who are focused on a clean environment. They are often early adopters of new technology and are willing to pay a premium for environmentally friendly products.

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The costs of promoting and establishing a product offering when a firm enters a foreign market prior to its rivals are known as _____.

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The costs of promoting and establishing a product offering when a firm enters a foreign market prior to its rivals are known as first-mover costs.

First-mover costs refer to the expenses and risks associated with being the first company to introduce a new product, service, or technology to the market. These costs can include research and development, marketing, and operational costs, as well as the risk of investing resources in an unproven concept or technology that may not be successful.

However, being the first-mover also provides potential advantages such as establishing market leadership, capturing market share, and building brand recognition, which can lead to higher profits and long-term success.

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A consumer who buys a product because a close friend bought one may be fulfilling __________ motivation.v

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A consumer who buys a product because a close friend bought one may be fulfilling social motivation.

Humans are social beings, and their buying behavior is highly influenced by their social circle. Social motivation is a powerful force in the buying process. Consumers often buy products that their friends have recommended or own. This social influence is driven by the need to belong, be accepted, and fit in with their social circle. Consumers also seek to maintain or enhance their self-image by purchasing products that they believe their peers will approve of. Companies often use social proof to motivate consumers to buy their products. Social proof is a psychological phenomenon where people follow the actions of others, assuming that those actions are the correct behavior for a given situation. Therefore, companies often use influencers or celebrities to endorse their products, encouraging consumers to buy based on social motivation.

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Assume the Canadian demand elasticity for imports equals 0.2, while the foreign demand elasticity for Canadian exports equals 0.3. Responding to a trade deficit, suppose the Canadian dollar depreciates by 20 percent. Other things equal, for Canada, the depreciation would lead to

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Assuming the Canadian demand elasticity for imports equals 0.2, a 20 percent depreciation of the Canadian dollar would lead to a 4 percent increase in the price of imports for Canadian consumers (0.2 x 20 percent = 4 percent).


Assuming the foreign demand elasticity for Canadian exports equals 0.3, a 20 percent depreciation of the Canadian dollar would lead to a 6 percent increase in the quantity of Canadian exports demanded by foreign consumers (0.3 x 20 percent = 6 percent). Therefore, other things equal, the depreciation would lead to an increase in the price of imports and an increase in the quantity of Canadian exports demanded by foreign consumers. This would help to reduce Canada's trade deficit.

A decrease in the demand for imports: With the Canadian dollar depreciating, imports become more expensive for Canadians. Given the demand elasticity of 0.2, the demand for imports will decrease by 0.2 x 20% = 4%. An increase in the demand for exports: As the Canadian dollar becomes less valuable, Canadian exports become cheaper for foreign buyers. Given the foreign demand elasticity of 0.3, the demand for Canadian exports will increase by 0.3 x 20% = 6%. In summary, the 20 percent depreciation of the Canadian dollar would lead to a 4% decrease in the demand for imports and a 6% increase in the demand for Canadian exports.

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Determine the amount of impairment loss assuming that the estimated undiscounted sum of future cash flows is (3) $16,500,000 instead of $17,200,000 and (4) $29,150,000 instead of $17,200,000.

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An impairment loss is recognized when the carrying amount of an asset exceeds its recoverable amount. The recoverable amount is the higher of an asset's fair value less costs to sell and its value in use.

In this scenario, we are given two different estimated undiscounted sums of future cash flows. The first estimate is $16,500,000, and the second estimate is $29,150,000. Let's calculate the impairment loss assuming both of these estimates. First, let's assume that the estimated undiscounted sum of future cash flows is $16,500,000. If we compare this to the carrying amount of the asset, which is not given in the question, we can determine whether an impairment loss needs to be recognized. If the carrying amount of the asset is higher than $16,500,000, then an impairment loss needs to be recognized.

To calculate the impairment loss, we need to determine the recoverable amount of the asset. We are not given the fair value of the asset, so we will use the value in use. The value in use is the present value of the estimated future cash flows, discounted at the current market rate of interest. Let's assume the current market rate of interest is 5%.

Using the estimated undiscounted sum of future cash flows of $16,500,000, we can calculate the present value of these cash flows as follows:

PV = $16,500,000 / (1 + 0.05)^1 = $15,714,285.71

If the carrying amount of the asset is $18,000,000, for example, then the recoverable amount is $15,714,285.71, which is lower than the carrying amount. Therefore, an impairment loss needs to be recognized.

To calculate the impairment loss, we use the formula:

Impairment loss = Carrying amount - Recoverable amount

Impairment loss = $18,000,000 - $15,714,285.71 = $2,285,714.29

Now let's assume that the estimated undiscounted sum of future cash flows is $29,150,000. Using the same method as before, we can calculate the present value of these cash flows as follows:
PV = $29,150,000 / (1 + 0.05)^1 = $27,761,904.76

If the carrying amount of the asset is $30,000,000, for example, then the recoverable amount is $27,761,904.76, which is lower than the carrying amount. Therefore, an impairment loss needs to be recognized.

Using the same formula as before, we can calculate the impairment loss:

Impairment loss = Carrying amount - Recoverable amount

Impairment loss = $30,000,000 - $27,761,904.76 = $2,238,095.24

In summary, assuming an estimated undiscounted sum of future cash flows of $16,500,000 and $29,150,000, the impairment losses would be $2,285,714.29 and $2,238,095.24, respectively.

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If the Federal Reserve enters into reverse repurchase agreements with member banks, the: I Federal Reserve is tightening credit availability II Federal Reserve is loosening credit availability III Federal Funds rate is likely to go down IV Federal Funds rate is likely to go up

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If the Federal Reserve enters into reverse repurchase agreements with member banks: I. The Federal Reserve is tightening credit availability.

II. The Federal Reserve is not loosening credit availability. In a reverse repurchase agreement, the Fed sells securities to member banks with an agreement to repurchase them in the future. This reduces the amount of reserves that the banks have available to lend, which tightens credit availability.

III. The Federal Funds rate is likely to go down. When the Federal Reserve enters into a reverse repurchase agreement, it removes reserves from the banking system. This tends to increase the demand for reserves in the federal funds market, which puts upward pressure on the federal funds rate. However, the Fed can counteract this by conducting open market operations to increase the supply of reserves, which puts downward pressure on the federal funds rate.

IV. The Federal Funds rate is unlikely to go up. As explained above, the Fed's actions in the federal funds market will generally be aimed at keeping the federal funds rate from going up in response to the reduction in reserves resulting from the reverse repurchase agreement.

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The amount shareholders are willing to pay for each $1 per share of annual earnings a firm generates is indicated by the:_______

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The answer to the question is Price-Earnings Ratio (P/E Ratio). The P/E ratio is a valuation ratio that indicates how much investors are willing to pay for each $1 per share of annual earnings a firm generates.

Investors use the P/E ratio to assess the relative value of a company's stock compared to its earnings. A higher P/E ratio generally indicates that investors are willing to pay more for each dollar of earnings, which can be a sign of high growth potential or market confidence in the company's future prospects. Conversely, a lower P/E ratio may indicate that investors are less optimistic about the company's growth prospects or have concerns about its financial performance.

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The employer's total Federal Insurance Contributions Act (FICA) payroll tax for this employee is:

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To calculate the employer's total Federal Insurance Contributions Act (FICA) payroll tax for an employee, we need to know the employee's gross wages and apply the appropriate Social Security and Medicare tax rates.


1. Determine the employee's gross wages for the pay period.
2. Apply the Social Security tax rate, which is 6.2% for employers, to the employee's gross wages, up to the annual wage limit (for 2021, it's $142,800).
3. Apply the Medicare tax rate, which is 1.45% for employers, to the employee's gross wages. There's no wage limit for Medicare tax.
4. Add the calculated Social Security tax and Medicare tax together.

The employer's total Federal Insurance Contributions Act (FICA) payroll tax for this employee is the sum of the Social Security tax and Medicare tax calculated using the employee's gross wages and the respective tax rates.

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Suppose that interest rates increase. Assuming all other parameters that impact the price of bonds and stocks remain constant, what would you expect to happen to bond and stock prices

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When interest rates increase and all other parameters remain constant, you can generally expect bond prices to decrease and stock prices to face downward pressure. This is because higher interest rates make newly issued bonds more attractive, reducing the demand for existing bonds.

Additionally, higher interest rates increase borrowing costs for companies, potentially affecting their profitability and making stocks less attractive to investors. If interest rates increase, it is expected that bond prices will decrease. This is because newly issued bonds will offer higher interest rates than existing bonds, making the latter less attractive to investors. As a result, the demand for existing bonds will decrease, leading to a decrease in their prices.

On the other hand, stock prices may also decrease in response to an increase in interest rates. This is because higher interest rates make it more expensive for companies to borrow money, which can reduce their profitability and, in turn, lower their stock prices. Additionally, higher interest rates may make bonds a more attractive investment option than stocks, leading to a decrease in demand for stocks and a subsequent decrease in their prices.

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Many financial claims held by FIs promise a ______ with high probability, but may also may result in a ______ with a lower probability. Multiple choice question. limited upside return; large downside risk high return; limited loss low return; high return limited upside return; low return

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Many financial claims held by FIs promise a limited upside return with high probability, but may also result in a large downside risk with a lower probability.

The correct answer is: limited upside return; large downside risk. Many financial claims held by FIs, such as stocks and options, promise potential gains with a high probability, but also come with the risk of potential losses with a lower probability. This is why it's important for investors to carefully assess and manage their risk when investing in financial instruments.

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Fortuna Company is preparing its statement of cash flows. Cash disbursements during the year included: Payment for a new stamping machine $ 200,000 Payment of dividends to stockholders 100,000 Payment to acquire 100 shares of Lola Corp. 40,000 What are Fortuna’s total cash outflows for financing activities?

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Fortuna Company's total cash outflows for financing activities are $100,000. This is because the payment of dividends to stockholders is the only transaction listed that falls under the category of financing activities.

The payment for the new stamping machine and the payment to acquire 100 shares of Lola Corp. are both categorized as investing activities. It is important to note that in preparing the statement of cash flows, it is necessary to classify each transaction into one of three categories: operating activities, investing activities, and financing activities.

This helps to provide a clear picture of where the company's cash is coming from and where it is going. While a long detailed answer could include more information about the statement of cash flows and its importance.

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how the social activity relates to the business activities of the corporation. whether the corporation is required to do the social activity by law. how much free publicity the corporation will get from the social activity. whether the activity will result in short-term profit increases.

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Social activities can be an effective way for corporations to build their reputation, enhance their brand image, and foster stronger relationships with stakeholders. While they are not required by law, many corporations engage in social activities voluntarily as part of their CSR initiatives. While these activities can generate significant free publicity, their impact on short-term profits may be limited.

While corporations are not required by law to engage in social activities, many do so voluntarily as part of their corporate social responsibility (CSR) initiatives. These initiatives reflect the corporation's commitment to ethical and sustainable practices, and they can help enhance its brand image and differentiate it from competitors. Social activities can also generate significant free publicity for the corporation. When a corporation engages in a social activity that resonates with the public, it can generate positive media coverage, social media buzz, and word-of-mouth referrals.

This can help raise awareness about the corporation and its products/services, which can lead to increased sales and profits. However, it's important to note that social activities are not always guaranteed to result in short-term profit increases. While they can contribute to the corporation's long-term success, the impact on short-term profits may be limited. Additionally, some social activities may require significant financial investments without immediate returns.
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1. The stock in Hotel Management, Inc., a hotel management corporation, was divided equally between two families. For several years, the two families had been unable to agree on or cooperate in the management of the corporation. As a result, no meeting of shareholders or directors had been held for five years. There had been no withdrawal of profits for five years, and last year the hotel operated at a loss. Although the corporation was not insolvent, such a state was imminent because the business was poorly managed and its properties were in need of repair. As a result, the owners of half the stock brought an action in equity for dissolution of the corporation. Will they succeed

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In general, a corporation is created as a separate legal entity from its shareholders and can exist indefinitely, as long as it follows certain rules and regulations.

However, there are circumstances under which a court may order the dissolution of a corporation, such as when the corporation is no longer able to fulfill its purpose or when it becomes impractical or impossible to continue its operation. In this case, the two families who own equal shares in Hotel Management, Inc. have been unable to cooperate or agree on the management of the corporation for several years. This has resulted in a lack of meetings, a failure to withdraw profits, and a loss in operation. Additionally, the properties owned by the corporation are in need of repair, which could lead to insolvency if not addressed.

Given these circumstances, it's likely that the owners of half the stock will succeed in their action for the dissolution of the corporation. A court may view the lack of cooperation and failure to withdraw profits as evidence that the corporation is no longer able to fulfill its purpose, and the need for repairs could be seen as impractical or impossible to manage. Ultimately, the court will consider all the relevant factors and make a decision based on what is fair and just for all parties involved.

In summary, the answer to the question of whether the owners of half the stock will succeed in their action for dissolution of the corporation is likely to be a long answer because it involves many legal factors and considerations. However, based on the information provided, it appears that the owners may have a strong case for dissolution.
Yes, the owners of half the stock in Hotel Management, Inc. are likely to succeed in their action for the dissolution of the corporation. Here's a step-by-step explanation of the situation:

1. The stock in Hotel Management, Inc. is divided equally between two families who cannot agree on or cooperate in the management of the corporation.

2. No meeting of shareholders or directors has been held for five years, indicating a lack of proper corporate governance.

3. No withdrawal of profits has occurred for five years, and the hotel operated at a loss last year.

4. The corporation is not insolvent, but its poor management and properties in need of repair make insolvency imminent.

5. The owners of half the stock bring an action in equity for dissolution of the corporation.

Considering these facts, it is likely that a court would grant the dissolution due to the dysfunction between the two families, lack of proper governance, financial difficulties, and imminent insolvency. The court may determine that it is in the best interest of all parties involved to dissolve the corporation and distribute the assets accordingly.

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Assume the MPC is 2/3. If investment spending increases by $6 billion, the level of GDP will increase by:

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we need to understand the concept of the multiplier effect. The multiplier effect is a phenomenon that explains how an initial increase in spending leads to a greater increase in national income and product. The size of the multiplier effect depends on the marginal propensity to consume (MPC), which is the fraction of additional income that people choose to spend rather than save.

In this case, the MPC is given as 2/3, which means that for every additional dollar of income, people will spend 2/3 of it and save the remaining 1/3. If investment spending increases by $6 billion, it will increase the income of those who receive the investment by $6 billion. Assuming the MPC remains constant, people will spend 2/3 of the additional income, which is $4 billion (2/3 x $6 billion).

Now, the $4 billion spent by people becomes income for others, and they, in turn, spend 2/3 of that income. This process continues, and the total increase in GDP can be calculated using the formula:

ΔGDP = Initial increase in spending x Multiplier

The multiplier can be calculated as:

Multiplier = 1 / (1 - MPC)

In this case, the MPC is 2/3, so the multiplier is:

Multiplier = 1 / (1 - 2/3) = 1 / (1/3) = 3

Therefore, the total increase in GDP can be calculated as:

ΔGDP = $6 billion x 3 = $18 billion

So, if investment spending increases by $6 billion and the MPC is 2/3, the level of GDP will increase by $18 billion.

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You purchase an interest rate futures contract that has an initial margin requirement of 12% and a futures price of $175,330. The contract has a $150,000 underlying par value bond. If the futures price falls to $172,500, you will experience a ______ loss on your money invested. Multiple Choice 3.00% 13.45% 24.45% 36.45%

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The loss on the investment will be 13.45%. If the futures price falls to $172,500, you will experience a 13.45% loss on your money invested.

To calculate the loss, we first need to calculate the value of the futures contract. The value of the futures contract can be calculated by multiplying the futures price by the underlying par value bond. In this case, the value of the futures contract is $175,330 x $150,000 = $26,299,500.

Next, we need to calculate the initial margin, which is given as 12% of the value of the futures contract. So the initial margin is 0.12 x $26,299,500 = $3,155,940.

If the futures price falls to $172,500, the value of the futures contract would be $172,500 x $150,000 = $25,875,000. The loss would be the difference between the initial value of the futures contract and the new value, or $26,299,500 - $25,875,000 = $424,500.

The percentage loss can be calculated by dividing the loss by the initial margin and multiplying by 100, or ($424,500 / $3,155,940) x 100 = 13.45%.

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Given current assets of $900,000, average inventory of $460,000, total assets of $5,400,000, sales of $6,000,000, and cost of goods sold of $4,600,000, the inventory turnover ratio is ______.

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Given current assets of $900,000, average inventory of $460,000, total assets of $5,400,000, sales of $6,000,000, and cost of goods sold of $4,600,000, the inventory turnover ratio is 10.

The inventory turnover ratio is a financial metric that shows how efficiently a company manages its inventory by calculating the number of times it sells and replaces its inventory during a specific period.

In this scenario, you are provided with the following information:

- Current assets: $900,000
- Average Inventory: $460,000
- Total assets: $5,400,000
- Sales: $6,000,000
- Cost of goods sold (COGS): $4,600,000

To calculate the inventory turnover ratio, use the formula:

Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory

Plugging in the given values:

Inventory Turnover Ratio = $4,600,000 / $460,000

Inventory Turnover Ratio = 10

So, the inventory turnover ratio is 10. This means that the company sells and replaces its inventory 10 times during the period. A high inventory turnover ratio indicates that the company effectively manages its inventory, quickly selling items and reducing the risk of holding onto obsolete or unsold products.

Conversely, a low inventory turnover ratio may indicate that the company has slow-moving inventory or is overstocking, which can lead to increased holding costs and reduced profitability. In this case, an inventory turnover ratio of 10 is considered a relatively efficient use of inventory, but further analysis and comparison with industry standards would be required to provide a more comprehensive assessment.

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1. During 2020, Marvin had the following transactions: Salary $ 50,000 Bank loan (proceeds used to buy personal auto) 10,000 Alimony paid (divorce was finalized in 2010). 12,000 Child support paid 6,000 Gift from aunt 20,000 Marvin’s AGI is:

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Marvin's AGI is $62,000. The bank loan proceeds used to buy a personal auto and the gift from his aunt are not considered taxable income, while the alimony paid and child support paid are deductible from his taxable income.

Marvin's AGI (Adjusted Gross Income) can be calculated as follows: 1. Salary: $50,000 (included in AGI) 2. Bank loan: $10,000 (not included in AGI, as it is a personal loan for an auto purchase) 3. Alimony paid: $12,000 (not included in AGI, as the divorce was finalized before 2019) 4. Child support paid: $6,000 (not included in AGI, as child support is not deductible) 5. Gift from aunt: $20,000 (not included in AGI, as gifts are not considered taxable income) Marvin's AGI: $50,000 (only the salary amount is included in AGI)

Marvin's AGI (Adjusted Gross Income) is calculated as follows:

Salary: $50,000

Bank loan (proceeds used to buy personal auto): Not included in AGI

Alimony paid: $12,000 (allowed as an adjustment to income because it is paid under a divorce or separation agreement)

Child support paid: Not included in AGI

Gift from aunt: Not included in AGI

Therefore, Marvin's AGI is $62,000.

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Suppose that a borrower and a lender agree on the nominal interest rate to be paid on a loan. Then inflation turns out to be lower than they both expected. True or False: The real interest rate on this loan is lower than expected.

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Suppose that a borrower and a lender agree on the nominal interest rate to be paid on a loan. Then inflation turns out to be lower than they both expected is true, the real interest rate on the loan is lower than expected. The real interest rate takes into account the effects of inflation, so when inflation is lower than expected, the real interest rate will also be lower than expected. So the answer is true.

To understand this concept, we need to know that the nominal interest rate is the rate that is agreed upon by the borrower and the lender. It represents the percentage of interest that the borrower will pay on the loan, without adjusting for inflation. The nominal interest rate, on the other hand, is adjusted for inflation. It represents the percentage of interest that the borrower will pay on the loan, taking into account the effects of inflation.

When inflation turns out to be lower than expected, the real interest rate on the loan will also be lower than expected, even if the nominal interest rate remains the same. This is because the borrower will effectively be paying less for the loan than they would have if inflation had been higher.

Therefore, if inflation turns out to be lower than expected, the borrower will benefit from a lower real interest rate, which will make the loan more affordable and easier to repay.

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what will total revenues be if the firm buys a one month put option to sell gold for 1300 an ounce the put option costs 110 per ounce

Answers

This means that the firm would need to pay $11,000 for the option to sell gold at $1300 per ounce for one month.

To calculate the total revenues, we would need more information about the current market price of gold and the quantity of gold that the firm plans to sell. However, based on the information given, we can calculate the total cost of the put option.

If the put option costs $110 per ounce and the firm plans to sell, for example, 100 ounces of gold, the total cost of the put option would be:

$110/ounce x 100 ounces = $11,000

This means that the firm would need to pay $11,000 for the option to sell gold at $1300 per ounce for one month. The potential revenue from selling the gold will depend on the market price of gold at the time of sale.

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