What major dimension sets apart international finance from domestic finance?a) Foreign exchange and political risksb) Market imperfectionsc) Expanded opportunity setd) All of the above

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Answer 1

The major dimension sets apart international finance from domestic finance is a Foreign exchange and political risks. So the correct answer is A.

In the term of financial economics, The international macroeconomics or sometimes also known as the International finance generally can be defined as the study of monetary interactions between two or more countries. The international macroeconomics or sometimes also known as the International finance has a function to focusing on areas such as foreign direct investment and currency exchange rates. There are several aspects that can affect through the international finance, such as political factor, social factor, legal factor, environmental factor, technical factor, and economic factor.

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Related Questions

what is the relationship between income and demand?

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The income and demand are directly related to each other the both depend upon each other.

The relationship between income and demand is that  income and demand are directly related, meaning that an increase in income will cause demand to rise and a decrease in income causes demand to fall.

There is a positive (direct) relationship between income of the consumer and the demand of normal good. With the increase in income of the consumer, consumer starts demanding more of normal good. For example with the increase in income, consumer demands for normal good (Colour TV).

The formula for calculating income elasticity of demand is the percent change in quantity demanded divided by the percent change in income.

If the good is a normal good, higher income levels lead to an outward shift of the demand curve while lower income levels lead to an inward shift. When income is increased, the demand for normal goods or services will increase.

You can quickly determine your net income by using this simple formula: Net Income = Total Revenues – Total Expenses.

Three of the main types of income are earned, passive and portfolio. Earned income includes wages, salary, tips and commissions. Passive or unearned income could come from rental properties, royalties and limited partnerships. Portfolio or investment income includes interest, dividends and capital gains on investments.

There are four types of factor incomes in the form of wages, interest, rent and profits.

These theories are classified into one of the five following categories: (1) individual choice, (2) inheritance, (3) chance, (4) market imperfections, and (5) public income redistribution.

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the following table contains information about an economy that produces only pens and books. the base year is 2017. use this information to answer question
What is the value of real GDP for 2018? a. $800 b. $1,060 c. $1,200 d. $1,460 e. none of the above

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Real GDP is calculated by taking into account both the amount and price from the base year. The answer is $1060 option (b).

What is Real GDP?

Real GDP measures the value of the goods and services produced by an economy over a specific time period while taking inflation into account. In essence, it calculates a nation's overall economic production after accounting for price changes.

GDP is significant since it provides information on the size and health of an economy. Growth in real GDP is frequently employed as a proxy for the state of the economy as a whole. In general, a growth in real GDP is seen as a positive indicator of the health of the economy.

Real gdp for 2018 = 3*120 + 10*70

                              = 360+700

                              = $1060

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fancy foods incorporated had an ending balance in accounts payable of $6,000. the company incurred $72,000 of operating expenses on account and paid $90,000 cash to settle accounts payable. determine the beginning balance in accounts payable.

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the beginning balance in accounts payable is 24,000.

Year 2 Changes in Accounts Payable are calculated as follows:

Beginning Accounts Payable Balance + Increases from Account Expenses - Decreases from Accounts Payable Payment = Ending Accounts Payable Balance.

X +$72,000 - $90,000 = $6,000.

X= $24,000.

What are accounts payable?

Money owed by a corporation to its suppliers and listed as a liability on the balance sheet is known as accounts payable. It differs from liabilities for notes payable, which are obligations made by formal legal instrument documents. Accounts Payable is the term used when a business acquires products on credit that must be repaid within a short period of time. It is categorized under the category of "current liabilities" and is handled as a liability. A short-term debt payment called accounts payable must be made in order to stay in good standing.

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jonathan mendez is deciding whether to study for his economics exam at a café down the street or go to a concert a few cities over. the time spent commuting to the concert is ____ in his opportunity cost calculations and represents a _____ cost.
a. Not included, sunk
b. Included, financial
c. Not included, financial
d. Included, nonfinancial

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Jonathan mendez is deciding whether to study for his economics exam at a café down the street or go to a concert a few cities over. the time spent commuting to the concert is not included in his opportunity cost calculations and represents a sunk cost. Option a

This is because opportunity cost calculation

s take into account the value of the best alternative foregone, and the time spent commuting to the concert cannot be recovered.

This means that the time spent commuting is a sunk cost and is not included in the opportunity cost calculations.

Sunk costs refer to costs that have already been incurred and cannot be recovered. They are not taken into account when making decisions, as it does not make sense to consider costs that cannot be recovered or reversed.

Financial costs, on the other hand, are costs that have not yet been incurred and are taken into account when making decisions, as they can be avoided if the decision is changed.

Nonfinancial costs are costs that do not involve a monetary exchange and are also taken into account when making decisions.

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personal financial planners often encourage their clients to write down every single penny they spend each day. the main purpose of this is to question 20 options: a) focus attention on the spending levels for each item. b) eliminate the need for accountants. c) do a better job of tax planning. d) accumulate data needed to prepare a personal balance sheet.

Answers

The main purpose of this is focus attention on the spending levels for each item.

What role does personal financial planning play in society?Personal financial planning is making plans to spend, save, and invest money so that you may live comfortably, feel secure, and accomplish your goals. Each person has unique financial objectives. Your objectives are the things you wish to achieve. Goals include things like starting a business, buying a car, and going to college.Personal finance is defined by Investopedia as "all financial decisions and actions of a person or family, including budgeting, insurance, mortgage planning, savings, and retirement planning." You may better manage your money and get ready for future financial success by comprehending these phrases.

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The 2020 balance sheet of Osaka’s Tennis Shop, Incorporated, showed long-term debt of $2.25 million, and the 2021 balance sheet showed long-term debt of $2.66 million. The 2021 income statement showed an interest expense of $305,000. During 2021, Osaka’s Tennis Shop, Incorporated, realized the following:Cash flow to creditors –$ 105,000Cash flow to stockholders $ 209,000

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Osaka’s Tennis Shop, Incorporated, realized the following: Cash flow to creditors –$ 105,000Cash flow to stockholders $ 209,000.

Hence, the operating cash flow is $ 1,549,000.

What does cash flow mean?

Cash flow is a metric for how much money a company earned or spent overall during a given period of time. On the statement of cash flows, a common financial statement, cash flow is often divided into cash flow from operating operations, cash flow from investing activities, and cash flow from financing activities.

What makes a positive cash flow?

Investors, creditors, and analysts prefer a larger ratio - greater than 1.0 - as it indicates that a business can cover its present short-term liabilities and yet have earnings remaining. Operating cash flow that is high or on the rise is a sign of a healthy financial situation for a company.

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you started a project on 9/29/2019. the project ended on 08/01/2022. how many working days did you have for the entire project? group of answer choices 832 1037 741 1287

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The correct answer is 832 (a). This is due to the 832 working days between  9/29/2019 and 08/01/2022.

The days of the week that workers are required to be at their place of employment are known as working days. Normally, this covers Monday through Friday, however it may differ according on the business and its policies.

When compared to vacations and weekends, when individuals are not expected to be at work, working days are typically thought of as the reverse. Working days can also be any day set aside for a particular activity, like a meeting or a schedule.

Weekends and holidays are not included in the total number of days because working days are defined as any day that is not one of them.

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your team has created a new feature for your product that required a rework how several components interact. during a daily stand-up just prior to launch, your qa team express concerns that due to the extent of the changes that the new feature may introduce several bugs into other key features of your product. you are on a tight release window, and customers are expecting the new feature with the next release. what should you do? answers a. cancel the release and conduct further qa b. release the product and accept that bugs may be introduce c. consult with your stakeholders and garner feedback on the options for managing risk for the upcoming release d. purchase insurance for the release

Answers

Consult with your stakeholders and garner feedback on the options for managing risk for the upcoming release .

Who is a Stakeholder?

A stakeholder is a person, group, or organisation with a direct or indirect financial interest in a project, business, or organisation. Stakeholders may be affiliated with the organisation in which they have a stake or they may not. Stakeholders may have a direct or indirect impact on a company's operations or projects. For businesses and projects to succeed, their backing is frequently necessary.

Stakeholder first appeared in horse racing. A stake race is one in which the winnings are funded by the entrance fees that jockeys must pay to compete. The term "stake" for the entry fee is another word for risk.

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a contracted fee schedule has been agreed to by a provider with an insurance company. in this example, a service is $250 per the provider's fee schedule. the contracted amount is $200. can the provider recover the $50 difference?

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No, the supplier is not entitled to the $50 difference because they agreed to accept the $200 agreed upon payment for the service.

The insurance company and the provider are legally bound by the contractual fee schedule, and the provider is obligated to pay the agreed-upon amount.

When a service provider bills you for the discrepancy between their fee and the permitted sum. The supplier might contracted fee you for the remaining $30 if the price is $100 and the authorized amount is $70. You cannot be balance billed by a preferred provider for covered services. According to CPT billing codes, a charge schedule is a list of the highest prices a health plan would cover for various services.

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identify and explain one challenge landlocked african countries face in developing viable economies.

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Access to international markets is one problem faced by landlocked African nations in creating robust economies.

Landlocked nations in Africa are those that lack direct access to international ports and waterways because they are encircled by other nations.

These nations' potential for economic progress is diminished since they are unable to export their goods and services due to lack of access to global markets.

Additionally, the price of shipping goods and services to and from these nations is frequently significantly greater due to the necessity of using land-based transportation, which raises prices.

This makes it even more difficult for these nations to build strong economies. A country is considered to be landlocked if its coastlines are located on endorheic basins or if its territory is not connected to an ocean.

There are now 44 landlocked nations, along with 4 de facto landlocked states. Ethiopia is the most populated landlocked country in the world, whereas Kazakhstan is the largest landlocked nation.

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Think about the motivators and hygiene factors discussed in Herzberg's theory. Do the factors that motivate you reflect what Herzberg found? Has motivation changed since Herzberg's research? If so, how? Has what motivates you changed over time?

Answers

Establishing associations is a fundamental concept in business analytics. This technique helps to identify relationships between different variables and understand the impact of one variable on another. By establishing associations, businesses can gain a better understanding of their data and make informed decisions.

In business analytics, establishing associations involves identifying the relationship between two or more variables. This relationship can be positive, negative, or neutral, depending on the direction and strength of the association.

For example, if a business wants to understand the impact of marketing efforts on sales, they can establish an association between these two variables. A positive association would mean that marketing efforts are positively impacting sales, while a negative association would indicate that marketing efforts are having a negative impact on sales.

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what do information is based on actual costs incurred in transactions?

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Actual cost information is based on actual costs incurred in transactions. In a transaction, the actual cost is a basis of a cost information.

Actual cost information refers to the monetary amount a company incurs in carrying out its operations, purchasing goods, or providing services. It is based on the actual transactions that took place, as opposed to budgeted or estimated costs. Actual cost information is used to determine the true cost of a product, service or business activity and is an important factor in making sound business decisions. Actual costing is a cost measurement method that uses the actual costs of direct materials, direct labor, and overhead to calculate the unit cost of a product.

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a public service announcement (psa) encouraging people to wear masks during a pandemic outbreak represents what kind of marketed entity? group of answer choices social good ideas experiences information services

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The encouragement given by Public Service Announcement (PSA) is an example of information marketed entity.

Public Service Announcement (PSA) is a short, community-oriented message with no cost and send with aim to fulfill a broadcaster's obligation to serve the public interest. PSA aims to raise public awareness and change public attitutes, perspective, and behavior towards an issue.

An effective PSA should be authentic and simple. A good PSA has a great formal and delivery. Don't forget to follow up and track the distributin of your PSA. Lastly, measuting the PSA success is important to evaluate whether the published PSA receive good response or not from the public.

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what is the producer consumer problem? give an example of its occurrence in operating systems

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The producer-consumer problem is a classic concurrency problem that arises when multiple processes try to access the same shared resource.The problem is to ensure that the producer doesn't produce more data than the consumer can consume, and vice versa, without using any synchronization mechanism.

An example of the producer-consumer problem in operating systems is the buffer management system. A buffer is a shared memory area that holds data temporarily. A producer process writes data to the buffer, and the consumer process reads the data from the buffer.

To ensure that the producer and consumer processes work efficiently, the operating system must ensure that the buffer doesn't overflow (producer producing more data than the consumer can consume) or underflow (consumer consuming more data than the producer can produce).

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Suppose Mike and John are two brothers who are given $110 to split. Given this information, (1) which of the following is not an example of Pareto efficiency?and (2) Which allocation is an example of a fair or equitable allocation?(a) Mike and John each take $55.(b) Mike is older, so they decide Mike should get a bigger share. Mike gets $70 while John gets $40.(c) Mike takes the whole $110 and John gets nothing.(e) Mike takes $40 and John takes $30, leaving $40 leftover.please explain your answers.

Answers

The condition established when maximal improvement is attained and the condition of one individual cannot be improved without deteriorating that of another is defined as Pareto efficiency.

The position obtained when the available resources in a certain environment are optimized in such a way that improvement of one party is impossible without deteriorating that of another is referred to as Pareto optimality.

1) option a and d is not the example of Pareto efficiency.

2) option a is an example of a fair or equitable allocation.

It is obtained when administering more Pareto efficiency adjustments is impossible. Pareto efficiency is a business term and notion that does not always imply fairness and equality.

As a result, the criteria for resource allocation are unimportant as long as individual marginal utilities are met. Each can accept $55. If the money is divided and there is a surplus, Pareto efficiency cannot be achieved.

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running gear has operating cash flow of $151,168, net capital spending of $36,400 and a decrease in net working capital of $14,300 (in other words, the change of nwc is -$14,300). what is the cash flow from assets (cffa) for the year? che

Answers

$129,068 is the cash flow from assets (cffa) for the year.

Given:

Cost = $148,200

Tax = $16,632

Net capital spending = $36,400

Decrease in net working capital = - $14,300

Then the Operating Cash Flow = $316,000 - 148,200 - 16,632

Operating Cash Flow = $151,168

Hence, the Cash Flow from Assets = $151,168 - 36,400 - (-$14,300)

Cash Flow from Assets = $129,068

Cash Flow from Assets:

The total sum of all cash flows involving a company's assets is known as cash flow from assets. This data is used to calculate the net amount of cash being generated by or utilized for company operations.

The complete question is:

Running gear has sales of $316,000, depreciation of $47,200, interest expense of $41,400, cost of $148,200, and taxes of $16,632. The firm has net capital spending of $36,400 and a decrease in net working capital of $14,300. What is the cash flow from assets for the year?

A. $145,985

B. $129,068

C. $119,655

D. $120,810

E. $ 134,585

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The Finance Department can use which of the following methods to acquire capital for company activities?
Question 15 options:
a)Current Debt, Stock Issues, Bond Issuesb)Profits, Current Debt, Withholding Pensions and Stock Issuesc)Liquidating Inventory, Stock Issues, Bond Issues and Profitsd)Credit Lines, Bond issues, Stock Issues and Profitse)Current Debt, Stock Issues, Bond Issues and cooking the books

Answers

The finance department can use current debt, stock issues or bond issues in order to acquire capital required.

Financial capital, also referred to as capital or equity in the fields of finance, accounting, and economics, is any economic resource measured in terms of money used by business owners and entrepreneurs to purchase the materials they need to produce their goods or to provide their services to the industry in which they are engaged, such as retail, corporate, investment banking, etc. In other words, financial capital is internal retained earnings produced by the entity or money given to businesses by lenders (and investors) for the purpose of purchasing real capital items or services for the creation of new commodities and/or services.

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as a would-be inventor or entrepreneur, how would you go about ascertaining whether or not a new technology is likely to find a receptive market? (2) a person with a heart problem needs a pacemaker but is unable to pay for it. what, then, is the source of effective demand for this technology? who ultimately pays for it, and why? (3) if you were the leader of a developing country, what sort of changes would you try to institute in order to accelerate the pace of technological innovation?

Answers

As a would-be inventor or entrepreneur, to ascertain the likelihood of a new technology finding a receptive market, one could Conduct market research to identify potential customer segments and their needs and preferences.

Evaluate the potential revenue and profitability of the new technology. Seek advice and feedback from experts and industry professionals.

For a person with a heart problem who needs a pacemaker but is unable to pay for it, the source of effective demand for this technology is the healthcare system, which is typically funded through a combination of private and public sources, such as insurance providers and government programs.

If I were the leader of a developing country, I would try to institute the following changes to accelerate the pace of technological innovation: Increase investment in education and research and development, to create a pool of talented and skilled individuals who can drive technological progress.

Promote entrepreneurship and innovation by providing financial support, mentorship, and infrastructure to new and emerging businesses. Foster collaboration and partnerships between industry, academia, and government to facilitate the transfer of technology and knowledge.

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Edith is the owner and manager of a small coffee shop that employs three workers who use the shop’s one coffee machine to make and serve coffee to paying customers. Business has begun to pick up; lines are getting longer every day in her shop. On a busy morning, she sees her baristas scrambling to take orders, get cups, fill coffee from the coffee machine, add cream and sugar, and serve customers in a timely manner. She figures if she hires three more baristas she’ll be able to sell twice as much coffee.Adding more and more workers does not constantly increase production because of _______

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Adding more and more workers does not constantly increase production because of diminishing marginal product of labor. It is because if the variable factor is added increase in production reduces will affect through decrease in production.

In the economic and business, The marginal product of an input also known as say labor generally can be described  as the extra output that results from adding one unit of the input to the existing combination of productive factors. From the statement above, if edith as an owner Adding more and more workers, it may yield lower productivity per unit of employee added.

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at what price is the quantity supplied equal to 48,000? formula

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The correct answer is At a cost of 180, the quantity given is 48000.One requires the values of the quantity required - Qv and the price (P) of the individual unit I in order to calculate the quantity provided - Qs.

To get the amount supply, utilise the supply formula Qs=Qv+iP, which uses all of these values. The price at which the amount provided and requested are equal is referred to as the equilibrium price. It is established by where the demand and supply curves cross. You may find the supply line algebraically or on a graph by using the supply formula, Qs = x + yP. In this equation, Qs stands for the quantity delivered, x for the amount, and P for the cost of the hats in dollars.One requires the values of the quantity required - Qv and the price (P) of the individual unit I in order to calculate the quantity provided - Qs. To get the amount supply, utilise the supply formula Qs=Qv+iP, which uses all of these values. The price at which the amount provided and requested are equal is referred to as the equilibrium price. It is established by where the demand and supply curves cross. You may find the supply line algebraically or on a graph by using the supply formula, Qs = x + yP. In this equation, Qs stands for the quantity delivered, x for the amount, and P for the cost of the hats in dollars.

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felix needs to know how many people will be attending the company's lunch seminar so he can order enough food. he sends an e-mail to his coworkers asking them to let him know if they will be coming and whether or not they have any dietary restrictions. this is an example of

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Felix sends an e-mail to his coworkers asking them to let him know if they will be coming and whether or not they have any dietary restrictions. This is an example of identity management.

What do you mean by identity management?

Authenticating users and deciding whether they have access to a system are both included in identity management.

Your company can manage staff apps with the help of identity management and access systems without having to log in as an administrator to every app.

It aids in preventing the usage of readily cracked passwords and compromised user credentials, which are frequent ports of entry for malicious hackers who seek to install ransomware or steal data.

Therefore, Felix needs to know how many people will be attending the company's lunch seminar so he can order enough food. he sends an e-mail to his coworkers asking them to let him know if they will be coming and whether or not they have any dietary restrictions. This is an example of identity management.

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A situation in which goods are not fairly distributed.

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A situation in which goods are not fairly distributed is known as unequal distribution of goods.

Unequal distribution of goods refers to a situation where the distribution of resources and assets is not equal among individuals or groups in a society. This can occur for various reasons, such as differences in income, wealth, education, and access to opportunities. When resources and assets are not distributed equally, some individuals or groups may have more resources and opportunities than others, leading to unequal outcomes such as poverty, limited access to basic needs such as healthcare and education, and reduced quality of life. This unequal distribution can also result in social and economic problems, such as increased crime and political instability, and can perpetuate cycles of poverty and inequality.

Addressing unequal distribution of goods requires implementing policies and programs aimed at promoting fairness, equal access to resources and opportunities, and reducing poverty and inequality.

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Complete question

A situation in which goods are not fairly distributed is known as ______ .

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the producer price index (ppi) contains measures of all of the following excepta.) exported goods b.) final goodsc.) intermediate goodsd.) crude goods

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All of the following, with the exception of imported items, are measured in the price index for producers (ppi). Is the best choice, or (a).

The PPI stands for producer price index.

The producer price index (PPI) is a collection of indices that calculates and depicts actual average fluctuation in retail prices from home consumption across time. The Bureau of Labor Statistics is the source of the PPI (BLS). The PPI gauges price changes from the perspective of the seller.

PPIs in manufacturing: what are they?

PPIs offer measurements of the typical changes in prices that various commodity producers get. Those who are frequently regarded as early warning signs of changes in price in all aspects of the economy, particularly those affecting the costs of household goods and services. Development of minimally processed commodities is included in industry.

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how can ais add value to an organization

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Artificial Intelligence (AI) has become an increasingly important tool for organizations looking to gain a competitive advantage in today's fast-paced and ever-changing business environment. AI systems can analyze vast amounts of data and identify patterns and insights that would be difficult or time-consuming for humans to uncover.

There are several ways in which AI can add value to an organization:

Improved Decision Making: AI can help organizations make better decisions by providing real-time insights and recommendations based on data analysis. For example, AI systems can help managers make informed decisions about product development, marketing strategies, and resource allocation.Increased Productivity: AI can automate routine and repetitive tasks, freeing up employees to focus on more valuable and creative work. This can lead to increased productivity and efficiency for the organization.Better Customer Experience: AI can be used to personalize customer interactions, helping organizations to better understand their customers' needs and preferences. This can lead to improved customer satisfaction and loyalty.Enhanced Business Intelligence: AI can analyze large amounts of data from various sources, providing organizations with a more comprehensive view of their business operations. This can help organizations identify new opportunities for growth and improvement.Cost Savings: By automating routine tasks and reducing the need for manual data entry, AI can help organizations reduce costs and improve their bottom line.

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Cheyenne Company has been operating for several years, and on December 31, 2020, presented the following balance sheet. CHEYENNE COMPANY BALANCE SHEET DECEMBER 31, 2020 Cash $43,500 Accounts payable $82,800 Receivables 70,300 Mortgage payable 136,200 Inventory 103,400 Common stock ($1 par) 145,300 Plant assets (net) 227,900 Retained earnings 80,800 $445,100 $445,100The net income for 2017 was $25,000. Assume that total assets are the same in 2016 and 2017. Compute each of the following ratios. For each of the four, indicate the manner in which it is computed and its significance as tool in the analysis of the financial soundness of the company a) Current ratio b) Acid-test ratio c) Debt to assets ratio d) Return on asset

Answers

a. Current ratio = 2.63 : 1

b. Acid-test ratio =  1.37:1

c. Debt to assets ratio = 49.20%

d. Return on assets = 5.62%

Investors and managers can assess the company's financial health using profitability ratios. These ratios, which are based on data from a company's financial accounts, demonstrate the viability of the company's strategy for turning a profit through its operations. These ratios divide one of two important financial metrics by the other.

1) The difference between current assets and current liabilities is represented by the current ratio.

(i) First, determine the total value of current assets:

Cash (a)                                        43,500

Receivables (b)                        70,300

Inventory (c)                                 103,400

Total Current Assets (d = a+b+c) 217,200

(ii) Computation of current liabilities:

Accounts payable (a)                 82,800

Total Current Liabilities (b = a) 82,800

(iii) Computation of current ratio:

Total Current Assets (a)             217,200

Total Current Liabilities (b)       82,800

Current Ratio (c = a/b)               2.63 : 1

We anticipate that the amount due on the mortgage will be paid over a longer period of time, thus we do not list the mortgage payable as a current responsibility. i.e., lasting longer than a year.

2) The fast ratio is another name for the acid test ratio. Compared to the current ratio, it is a more trustworthy indicator of liquidity.

(i) Computation of quick assets:

Cash (a)                                  43,500

Receivables (b)                  70,300

Total Quick Assets (d=a+b)  113,800

(ii) Computation of total current liabilities:

Accounts payable (a)                 82,800

Total Current Liabilities (b=a) 82,800

(iii) Computation of current ratio:

Total Quick Assets (a)                  113,800

Total Current Liabilities (b)           82,800

Quick Ratio (c=a/b)                     1.37:1

3) Divide total liabilities by total assets to get the debt-to-assets ratio.

(i) Computation of total assets:

Cash (a)                                   43,500

Receivables (b)                   70,300

Inventory (c)                          103,400

Plant assets (net) (d)         227,900

Total Assets (e=a+b+c+d)      445,100

(ii) Computation of total liabilities:

Accounts payable (a)       82,800

Mortgage payable (b)      136,200

Total Liabilities (c=a+b)     219,000

(iii)  Computation of current ratio:

Total Liabilities (a)                       219,000

Total Assets (b)                       445,100

Debt to Assets Ratio (c=a/b)       49.20%

4) Divide net income by the average assets to calculate return on assets. We won't compute the average assets any longer because the problem assumes that the total assets in 2019 and 2020 will be equal.

Net Income (a)               25,000

Total Assets (b)             445,100

Return on Assets (c=a/b) 5.62%

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Is the yen depreciating against the dollar?

Answers

n the middle of global inflation, the Japanese yen has been weakening all through the year. At the beginning of 2021, the yen used to be 104 to the U.S. dollar.

In March 2022, the yen was once a hundred and fifteen to the dollar, and the depreciation persisted down to one hundred thirty towards the dollar in April.

Why is yen depreciating in opposition to dollar?

The core coverage issue underlying this year's depreciation comes from the hole between interest prices in the United States and Japan. Lower interest charges motivate borrowing, which stimulates the economy, whereas greater interest costs restrain borrowing but assist curb inflation.

Is the yen getting superior or weaker?

The Japanese yen will be better in 2023, says strategist

John Vail of Nikko Asset Management discusses the outlook for the foreign money and for U.S. and European markets.

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The scenarios below each illustrate a principle of economics. Match each with the label that best fits it. On Black Friday, there are huge sales for electronics at many retail stores. David must decide between buying a camera at one store or a flat screen TV at another store, and buying one means losing out on the ability to purchase the other An educational software company wants to expand the number of economics questions that it offers and is considering hiring another economist. It compares how much adding another worker will improve the product to the additional cost Ava finds that there is not enough time after work to have dinner, exercise, and watch TV, and she must make choices about how to use her limited timeT

Answers

Each of the following examples demonstrates an economics principle: Opportunity Costs are an excellent illustration about an economic principle. Give each the best possible description.

What of the preceding best sums up the opportunity costs associated with a decision?

benefits given up by not choosing a different course of action. Opportunity costs are the potential future earnings or costs that would have been incurred if this option had been taken.

What offers guidelines as to how the economy should operate in keeping with a human's arbitrary values and convictions?

traditional financing. involves recommendations or arguments for what should be. offers suggestions on how the society may look based on individuals' values and beliefs. is interested in a variety of topics relating to how morality and moral difficulties should be handled.

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what is the price elasticity of demand at point a and point b?

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Thus, 40%/(13.33%) = 3.00 represents the price elasticity of demand between places A and B. Arc elasticity is the name given to this elasticity measurement.

Which is based on percentage changes in relation to the average value of each variable between two points. Demand price elasticity at a single location on the demand curve as opposed to over a range is known as point elasticity. is the gradient of the demand curve, which relates to the precise location on the curve at which a measurement is made. It is the ratio of the change in quantity to the change in price.

Therefore, the correct answer is option (c)

The given question is incomplete., the complete question is:

what is the price elasticity of demand at point a and point b?

a) 2

b) 5

c) 3

d) 9

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which statements about the expected return of a two-asset portfolio are correct? define the expected return of asset d as e(rd), the weight on asset d as wd, the expected return of asset e as e(re), and the weight on asset e as we.

Answers

The correct statements about the variance of a two-asset portfolio are A, B, C, and D.

The weight on asset D (wD) is the proportion of the portfolio that is invested in asset D, and the weight on asset E (wE) is the proportion of the portfolio that is invested in asset E.

The variance of asset D (σD2) is the measure of the expected return variability of asset D, and the variance of asset E (σE2) is the measure of the expected return variability of asset E.

The covariance of the asset returns (Cov(rD,rE)) is a measure of the degree to which the returns of the two assets move together, and is calculated by multiplying the standard deviation of asset D by the standard deviation of asset E, and then subtracting the product from the expected return of asset D multiplied by the expected return of asset E.

The variance of a two-asset portfolio is calculated by taking the sum of the product of the weight on asset D multiplied by the variance of asset D, and the weight on asset E multiplied by the variance of asset E, and adding to it the product of the weight on asset D multiplied by the weight on asset E multiplied by the covariance of the asset returns.

Complete Question:

Which statements about the variance of a two-asset portfolio are correct?

Define the variance of asset D as σD2

A. the weight on asset D as wD

B. the variance of asset E as σE2

C. the weight on asset E as wE

D. the covariance of the asset returns as Cov(rD,rE)

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Depreciation is always considered a product cost for external financial reporting purposes in a manufacturing firm.
False
true or false

Answers

This statement is False, depreciation is not always considered a product cost for external financial reporting purposes in a manufacturing firm.

While depreciation is a cost incurred by a manufacturing firm, it is not considered a direct cost of the product, as it is a non-cash expense that is allocated over the useful life of an asset.

Depreciation is an accounting technique used to allocate the value of a tangible asset over its useful existence. It's the systematic and rational allocation of the cost of an asset to the periods in which the asset is expected to be used. It reflects the decline in value of an asset due to wear and tear, age, or obsolescence. Depreciation is a non-cash expense, meaning that it does not require any immediate outflow of cash, but it reduces the value of an asset on a company's balance sheet.

Depreciation is an important concept in accounting and finance as it affects a company's financial statements, tax liability, and cash flow. By spreading the cost of an asset over its useful life, it provides a more accurate picture of a company's financial health and helps to ensure that a company's assets are being used efficiently.

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