Answer:
financial statements prepared in accordance with generally accepted accounting principles.
Explanation:
Managerial accounting also known as cost accounting is an accounting technique focused on identification, measurement, analyzing, interpretation, and communication of financial information to managers for better decisions making and pursuit of the organization's goals.
Managerial accounting information includes all of the following performance evaluations, for example budget-to-actual reports, cost reports and budgets except financial statements prepared in accordance with generally accepted accounting principles.
Hence, managerial accounting information is normally provided to managers whenever they need or require it because they are a part of the internal decision makers. Managerial accounting typically comprises of both non-monetary and monetary informations about an organization.
Basically, financial statements prepared in accordance with generally accepted accounting principles are referred to as financial accounting.
Managerial accounting is typic of accounting that creates the reports and documents. It helps the management in making the decision relate to the business.
It is mainly used for internal purposes. It also focus on making future projections. Hence the cost reports. budgets is correct.Learn more about the Managerial accounting information
brainly.com/question/21123343.
A female employee brings effective insight into how the clients have been involved in the change process previously. How do men and women differ in their leadership styles?
Answer:
This question is incomplete, the options are missing. The options are the following:
a) Women use more participative leadership.
b) Men have higher emotional intelligence.
c) None of these answers are correct.
d) Men are less harsh when they punish their subordinates.
e) Men make fewer decisions on their own.
And the correct answer is the option A: Women use more participative leadership.
Explanation:
To begin with, there is a scientific study that proves that when it comes to terms of leadership the female participants tend to be more participative regarding subjects of decision making process and taking ideas from others and work as a team, like it should be. Meanwhile the male participants tend to be in their majority more centralized when it comes to decide every aspect of what it has to be done. And that is in part because of the personality of each one due to the fact that male tend to be more dominant because of biology reasons then they make decisions without consulting with other while women take the right way and involves every member in order to take the final decision.
Zacher Co.'s stock has a beta of 1.48, the risk-free rate is 4.25%, and the market risk premium is 5.50%. What is the firm's required rate of return
Answer:
11.95
Explanation:
The firm required rate of return can be calculated by multiplication of the risk-free rate with the addition of BETE VALUE OF THE STOCK and MARKET RISK PREMIUM which is done Bellow
the risk-free rate =4.25%,
beta = 1.48,
market risk premium =5.50%
The firm required rate of return= 4.25%+[(1.4×5.5)]
=11.95%
A facility that serves the role of being a low-cost supply source for markets located outside the country where the facility is located is:_______a. an offshore facility. b. a source facility. c. an outpost facility. d. a server facility.
Answer: a. an offshore facility.
Explanation:
Offshore in this scenario refers to activities in another country therefore an offshore facility would be one that supplies markets located in countries outside the country the facility is located.
These facilities are able to supply other countries with materials because they do it at such a low enough cost that the countries they supply to buy from them instead of their own countries. This is how most Newly Industrialized Countries came to be.
Fuseina has GH¢40,000.00 to invest. She decided to put part of the money in an account paying 4% interest and the remainder into a stock paying 6%interest. Her financial advisor tells her that the total annual income from these investments should be GH¢2040.00. How much should she invest at each rate?
Answer:
GH¢18,000 in the account that pays 4%
GH¢22,000 in stock
Explanation:
Let X represents the account that pays a 4% interest rate
Let Y represent the stock that pays a 6% interest rate
Total amount invested=40,000
X+Y=40,000 equation 1
Interest earned on X=X*4%=0.04X
Interest earned on Y=Y*6%=0.06Y
Total interest =2040
0.04X+0.06Y=2040 equation 2
Multiply equation 1 by 0.04
0.04X+0.04Y=(40,000*0.04)
0.04X+0.04Y=1600 equation 3
equation 2- equation 3
0.04X+0.06Y=2040
0.04X+0.04Y=1600
0.02Y=440
Y=440/0.02=22000
substitute 22000 for Y in equation 1
X+22000=40000
X=40000-22000=18000
Hilltop Paving has a levered equity cost of capital of 14.92 percent. The debt-to-value ratio is 0.4, the tax rate is 34 percent, and the pretax cost of debt is 7.2 percent. What is the estimated unlevered cost of equity?
a. 12.08%
b. 13.06%
c. 12.56%
d. 10.97%
Answer:
c. 12.56%
Explanation:
Debt-to-value=D/(D+E) =0.4=> D=0.4D + 0.4E => 0.6D = 0.4E => D/E=4/6=2/3
According to M&M proposition II with taxes,
re=r0+(D/E)(r0-rd)(1-Tax rate) . Where re= levered cost of equity(or cost of equity when the firm is levered)=.1492, r0 = unlevered cost of equity,Tax rate=34%=.34, rd=pretax cost of debt=7.2%=0.072,D/E=2/3
re = r0+(2/3) * (r0 - 0.072)*(1-.34)
=> 0.1492=r0(1+(2/3)*(1-.34)) -(2/3)*(.072)*(1-.34)
=> 0.1492 = r0(1+0.44) -0.03168
=> 0.1492 = 1.44*r0 -0.03168
r0 = (.1492+0.03168)/1.44
r0 =0.1256
r0 =12.56%
Thus, r0=unlevered cost of equity=12.56%
The estimated unlevered cost of equity is option c 12.56%.
The calculation is as follows:Debt-to-value = D ÷ (D+E) = 0
D = 0.4D + 0.4E
0.6D = 0.4E
D ÷ E = 4 ÷ 6 = 2 ÷ 3
Now
Levered cost of equity = unlevered cost of equity + (D ÷ E)(unlevered cost of equity - pretax cost of debt )(1-Tax rate)
Levered cost of equity = unlevered cost of equity+(2 ÷ 3) × ( unlevered cost of equity - 0.072) ×(1-.34)
0.1492 = unlevered cost of equity (1+(2 ÷ 3) × (1 -.34)) - (2 ÷ 3) × (.072) ×(1-.34)
0.1492 = unlevered cost of equity (1+0.44) -0.03168
0.1492 = 1.44 ×unlevered cost of equity -0.03168
unlevered cost of equity = (.1492+0.03168) ÷ 1.44
=0.1256
=12.56%
Thus, we can conclude that the correct option is c.
Learn more: brainly.com/question/6201432
Limiting the immigration of highly educated professionals hurts U.S. economic growth because:________. A. it restricts the supply of high human capital workers and the new ideas they could potentially generate. B. it restricts the knowledge base of the workforce. C. immigrants always cost less to hire than native workers do. D. both A and B.
Answer:
D
Explanation:
Both A and B are correct, because without new people you are limited to the amount of people you have originally. It can also restrict the amount of knowledge in the workforce. So, D.
Explain why employers are becoming increasingly aware and sensitive to acts of intolerance in the workplace. List measures employers are taking to improve tolerance.
Answer:
They are more aware due to an increase in exposure and knowledge of people reporting such incidents and also an increase in the channels and avenue available for the receipt of such complaint.
The measures employers are taking to improve tolerance include creating a United environment with a set common goal. Another measure is ensuring that the workplace consists of a high amount and degree of diversity of individuals.
Answer:
Racial diversity is improving as a result of laws protecting minority populations in the United States.
Explanation: The guy above me answered it
Have you ever tried to pretend to be something your Not cause I have anyway here's the question so it dosent' get reported
Match the association type with the person that best fits the description: opportunistic association
a.
your favorite teacher
b.
the president of your gardening club
c.
your best friend
d.
the man you met while walking your dog
Answer:
c...
Explanation:
Ivanhoe Corporation has fixed costs of $412,800. It has a unit selling price of $4, unit variable cost of $2.40, and a target net income of $1,290,000. Compute the required sales in units to achieve its target net income.
Answer:
Break-even point in units= 1,064,250
Explanation:
Giving the following information:
Fixed costs= $412,800
Unitary variable cost= $2.4
Selling price= $4
Desired income= $1,290,000
To calculate the sales in units required, we need to use the following formula:
Break-even point in units= (fixed costs + desired profit) / contribution margin per unit
Break-even point in units= (412,800 + 1,290,000) / (4 - 2.4)
Break-even point in units= 1,064,250
Luby Corporation has maintained an office in a leased building for several years. The corporation has decided to make some significant improve-ments to enhance the property. How should Luby Corporation depreciate these improvements
Answer:
When a lessee spends money improving leased assets, e.g. offices or warehouses, it must capitalize this expenses and amortize them during the lease term. E.g. if Luby Corporation spent $100,000 remodeling the offices, and the lease expires in 4 years, it must capitalize the expenses as a leasehold improvement and then amortize $25,000 per year.
Cushion Sports accepted a credit card account receivable in exchange for $5,000 of services provided to a customer. The credit card company charges a 5% service charge. Recording the transaction in the company's accounting records will have what effect on the accounting equation?
a. Increase assets and equity by $4,750.
b. Increase equity by $5,000.
c. Increase assets by $5,000.
d. Decrease assets and equity by $250.
Answer:
increase assets and equity by $4,750
Explanation:
Based on the information given we were told that they accepted an account of a credit card account receivable for the exchange of the amount of $5,000 of the services that was provided to a customer in which the credit card company charges 5% service charge, Based on this if we are to Record the transaction in the company's accounting records the effect on the accounting equation will be:
Increase assets and equity by $4,750
Calculated as :
$5,000-($5,000*5% Service charge)
$5,000-$250
=$4,750
Holt Enterprises recently paid a dividend, D0, of $3.50. It expects to have nonconstant growth of 12% for 2 years followed by a constant rate of 6% thereafter. The firm's required return is 18%. How far away is the horizon date
Answer:
At the end of the year 2
Explanation:
In order to compute the share of Holt enterprises, we require dividends in years 1 and 2 dividends which are shown thus:
Year 1 dividend=$3.50*(1+12%)^1=$ 3.92
Year 2 dividend=$3.50*(1+12%)^2=$4.3904
Horizon value at the end of year 2=year 2 dividend *(1+constant dividend growth rate)/(required return-constant dividend growth rate)
Horizon value is computed at the end of year 2 since it needs to follow the last dividend paid immediately
Your economics professor assigns a group project for the course. To combat the free-rider problem to which such an assignment might lead, the instructor asks you to evaluate the contributions of your peers in a confidential report. Will this evaluation have the desired effects?
Answer:
The overview according to another procedure outlined would be defined in the following portion.
Explanation:
Whenever there's no participant evaluation, colleagues may lose when the increase dependence the scores based on either the mission as a whole as well never overall achievements, thereby eventually leading to the complimentary, so the teammates prefer to not even succeed. The colleagues' appraisal report might encourage free passengers to succeed because these complimentary will indeed be uncovered throughout the secret document as well as obtain lower scores or grades to solve the unrestricted dilemma.If you interact with people in a culture that respects its elders, you may hesitate to question the views of an older person or senior official. Which observation about how effective communicators accommodate one another is represented by your hesitation?
a. Communication similarities and differences exist in all conversations.
b. The manner in which we perceive the communication of others will determine how we evaluate our interaction with others.
c. Language and behavior convey information about social status and group membership.
d. Accommodation varies in its degree of appropriateness, and norms guide the accommodation process.
e. Conversations are always adapted to others when interacting with those who are culturally unalike yourself.
Answer:
d. Accommodation varies in its degree of appropriateness, and norms guide the accommodation process.
Explanation:
When effective communicators interact in a new environment they will try to understand the norms and expectations of the community in different situations.
In this instance the culture respects it's elders so questioning an older person or senior official may not be an acceptable action.
The communicator will need to estimate how accommodating the community is on appropriate behaviour.
A very accommodating community may tolerate certain degree of variance from their norms.
D. J. Masson Inc. recently issued noncallable bonds that mature in 10 years. They have a par value of $1,000 and an annual coupon of 5.5%. If the current market interest rate is 7.0%, at what price should the bonds sell?a. $829.21b. $850.47c. $872.28d. $894.65e. $917.01
Answer:
Bond Price= $894.65
Explanation:
Giving the following information:
Face value= $1,000
Number of periods= 10
Cupon= 0.055*1,000= $55
YTM= 0.07
To calculate the price of the bond, we need to use the following formula:
Bond Price= cupon*{[1 - (1+i)^-n] / i} + [face value/(1+i)^n]
Bond Price= 55*{[1 - (1.07^-10)] / 0.07 + [1,000/(1.07^10)
Bond Price= 386.30 + 508.35
Bond Price= $894.65
The corporate practice of acquiring or producing quality goods or services at a lower cost abroad thereby eliminating domestic production is called _____.
a. outsourcing
b. importing
c. foreign investment
d. exporting
e. trading
Answer:
a. outsourcing
Explanation:
Outsourcing can be regarded as a cost cutting measures in an organization, it involves the hiring of other party from another organization to perform some services or production in ones organization. The instances of outsourcing are Hiring human resource management as well as facilities management. Another one is hiring a
supply chain management,
It should be noted that The corporate practice of acquiring or producing quality goods or services at a lower cost abroad thereby eliminating domestic production is called outsourcing
XYZ Company makes 400 widgets. The variable costs are $38.00 per unit and fixed costs are $32.40 per unit; however, $23.80 in fixed costs per unit is unavoidable. What is the effect on net income if the company instead buys the widgets from an outside supplier for $50.00 per unit?
Answer:
Decrease in net income by $1,360
Explanation:
First, we need to prepare analysis of costs and savings if the company buys outside.
Please note that the fixed costs per unit are unavoidable and are irrelevant hence ignored in making this decision.
Analysis of costs and savings
Purchase price (400 widgets × $50 per unit) = ($20,000)
Savings:
Variable costs (400 widgets × $38 per unit) = $15,200
Fixed costs (400 widgets × $8.60 per unit) = $3,440
Net income effect
($1,360)
The effect of on net income if the company buys widget from outside is a decrease in net income by $1,360
Susan wants to have $200,000 when she retires. She can afford to invest $400 monthly into an ordinary annuity which pays 7.6% compounded monthly. How many years will it take for her to achieve her goal
Answer:
It will take Susan approximately 76.02 years to achieve her goal.
Explanation:
This can be calculated using the formula for calculating the Future Value (FV) of an Ordinary Annuity is used as follows:
FV = M * (((1 + r)^n - 1) / r) ................................. (1)
Where,
FV = Future value or the amount Susan wants to have when she retires = $200,000
M = Monthly payment = $400
r = Monthly interest rate = 7.6% / 12 = 0.076 / 12 = 0.00633333333333333
n = number of months = ?
Substituting the values into equation (1) and solve for n, we have
200,000 = 400 * (((1 + 0.00633333333333333)^n - 1) / 0.00633333333333333)
200,000 / 400 = (1.00633333333333333^n - 1) / 0.00633333333333333
50,000 = (1.00633333333333333^n - 1) / 0.00633333333333333
50,000 * 0.00633333333333333 = 1.00633333333333333^n - 1
316.666666666666 = 1.00633333333333333^n - 1
316.666666666666 + 1 = 1.00633333333333333^n
317.666666666666 = 1.00633333333333333^n
Loglinearise both sides, we have:
log(317.666666666666) = n * log(1.00633333333333333)
2.50197164591866 = n * 0.00274185830343385
n = 2.50197164591866 / 0.00274185830343385
n = 912.509462208621
Since n is in months, we divide it by 12 to get the number of years as follows:
Number of years = 912.509462208621 / 12
Number of years = 76.02
Therefore, it will take Susan approximately 76.02 years to achieve her goal.
Select the correct answer.
Which strategy will help Jude sustain a competitive advantage by strengthening product distribution?
A. following the differentiation strategy
B. following the cost focus strategy
C.following the cost leadership strategy
D. maintaining customer loyalty
E.maintaining strong vendor relationship
Answer:
C.....................
According to the video, short-run projected wealth levels calculated using geometric averages are probably ______________.
Answer: A. pessimistic
Explanation:
Geometric mean takes into account the compounding effect that the wealth would go through in the short run and this makes it more accurate which generally means lower.
Compared to other averages therefore, it will give lower figures which would tend to make it result in wealth levels that are more pessimistic than wealth levels calculated using other types of averages.
Vern's makes all sales on account, subject to the following collection pattern: 20% are collected in the month of sale; 70% are collected in the first month after sale; and 10% are collected in the second month after sale. If sales for October, November, and December were $70,000, $60,000, and $50,000, respectively, what was the budgeted receivables balance on December 31?
A. $40,000.
B. $46,000.
C. $49,000.
D. $59,000.
E. Some other amount
Answer:
B. $46,000.
Explanation:
The computation of the budgeted receivables balance on December 31 is shown below:
Particulars Sale October NOvember December Balance
October $70,000 $14,000 $49,000 $7,000 $0
($70,000 × 20%) ($70,000 × 70%) ($70,000 × 10%)
NOvemeber $60,000 $12,000 $42,000 $6,000
($60,000 × 20%) ($60,000 × 70%)
December $50,000 $10,000 $40,000
($50,000 × 20%)
Total it would be
= $6,000 + $40,000
= $46,000
In the supply-and-demand schedule shown above, at the prices of _____ and _____, there is excess supply because quantity supplied is greater than quantity demanded.
$200, $250
$50, $250
$50, $100
Answer:
I think it is 200,250 but I can’t see what is above so I don’t know for sure send a link so I can see the picture above.
Explanation:
A project has a 0.88 chance of doubling your investment in a year and a 0.12 chance of halving your investment in a year. What is the standard deviation of the rate of return on this investment?
Answer:
Probability Value
0.48 $2 00
0.52 $50
Expected value or E(x) = probability * ( value)
Expected value or E(x) = 0.88*200 + 0.12*50 = $182
Variance of (x) = E(x^2) - (E(x))^2
= (0.88 * 200^2 + 0.12 * 50^2) - (182)^2
= (35,200 + 300) - 33124
= 35500-33124
= 2376
Standard deviation = sqrt (variance)
= sqrt(2376)
= 48.74%
Fixed costs are $1300000 and the variable costs are 80% of the unit selling price. What is the break-even point in dollars?
Answer:
the break-even point in dollars is $6,500,000
Explanation:
The computation of the break even point in dollars is shown below;
As we know that
Break even point in dollars is
= Fixed cost ÷ contribution margin ratio
Since the variable cost is 80%, so the contrbibution margin is 20% so that the total selling price would be 100%
now
= $1,300,000 ÷ 20%
= $6,500,000
Hence, the break-even point in dollars is $6,500,000
Did Dan stay on budget? Why or why not? Yes, Dan spent as much as he earned. No, Dan should move to a new apartment. Yes, Dan uses his savings to cover extra expenses. No, Dan should reduce his discretionary spending.
Hi, you've asked an incomplete question. However, I added missing the part of the question as an attachment below:
Answer:
No, Dan should reduce his discretionary spending.
Explanation:
Note, the term discretionary spending often refers to spending on unimportant/necessary things. In other words, things that one can do without but they still spend on.
Noteworthy among his expenses were his Cruise trip to Mexico which took about $3,500 (excluding other entertainment expenses). This shows that Dan didn't stay on his budget since some avoidable expenses were eating out of his total income; leaving him with zero savings.
Answer:
the answer is d
Explanation:
Harry, Hermione, and Ron formed an S corporation called Bumblebore. Harry and Hermione both contributed cash of $29,500 to get things started. Ron was a bit short on cash but had a parcel of land valued at $71,600 (basis of $59,000) that he decided to contribute. The land was encumbered by a $42,100 mortgage. What tax bases will each of the three have in his or her stock of Bumblebore
Answer:
The tax bases of Harry = $29,500, Hermoine = $29,500 and Ron = $16,900
Explanation:
Harry and Hermoine will have equal tax basis of $29,500. Ron tax basis shall be $59,000 basis in land contributed as deducted by $42,100 mortgage that the Ron is relieved of. Hence Ron's tax basis is $59,000 - $42,100 = $16,900
Strategic planning can be defined as:
a. how each functional area will achieve its spectifc goals and objectives.
b. a procedure for allocating resources to appropriate functions in the organization.
c. taking big risks to maximize current period benefits.
d. an action plan to achieve specific long-term goals and objectives.
e. an acion plan to achieve spectific operational and tactical goals.
Answer:
d. an action plan to achieve specific long-term goals and objectives.
Explanation:
Strategic planning is an essential tool for any business, regardless of the branch or size of the company.
Through this tool it is possible for the organization to define what are its essential goals and objectives for its future and what are the ideal action plans for them to be reached.
Strategic planning will understand all organizational systems and integrate them in order to better understand the organizational identity to define the mission, vision and values that will lead the company to operate in the market in a way aligned with its purposes, to achieve advantage competitive, reduce costs and have a detailed action plan focused on the essential objectives and goals to achieve organizational success.
An employee has year-to-date earnings of . The employee's gross pay for the next pay period is . If the FICAOASDI is % and the wage base is , how much FICAOASDI tax will be withheld from the employee's pay? (Answer is rounded to whole dollar.)
Answer:
$192
Explanation:
Calculation for how much FICA-OASDI tax will be withheld from the employee's pay?
FICA-OASDI tax=($117,000-$113,900)*6.2%
FICA-OASDI tax=$3,100*6.2%
FICA-OASDI tax=$192
Therefore how much FICA-OASDI tax will be withheld from the employee's pay is $192
Barbara Jones is interested in buying a five-year zero coupon bond with a face value of $1,000. She understands that the market interest rate for similar investments is 10.3 percent. Assume annual coupon payments. What is the current value of this bond? (Round answer to 2 decimal places, e.g. 15.25.)
Answer:
Zero-cupon bond= $612.52
Explanation:
Giving the following information:
Face value= $1,000
Number of periods= 5 years
Interest rate= 10.3% = 0.103
To calculate the price of the bond, we need to use the following formula:
Zero-cupon bond= [face value/(1+i)^n]
Zero-cupon bond= [1,000 / (1.103^5)]
Zero-cupon bond= $612.52
Dawn Swift discovered that twenty years ago, the average tuition for one year at an Ivy League school was $4,500. Today, the average cost is $29,000. What is the growth rate in tuition cost over this 20-year period
Answer: 9.76%
Explanation:
The cost today of $29,000 is the future value of the cost 20 years ago with the growth rate in question. It can therefore be solved by the future value formula;
29,000 = 4,500 * ( 1 + r/100)²⁰
( 1 + r/100)²⁰ = 29,000/4,500
1 + r/100 = ²⁰√29,000/4,500
1 + r/100 = 1.0976
r = 9.76%