With debt finance you are required to repay the cash plus hobby over a set duration of time, typically in monthly instalments. Equity finance, on the different hand, consists of no compensation obligation, so more cash can be channelled into developing your business.
What are 5 differences between debt and fairness financing?Debt holders are the lenders whereas equity holders are the owners of the company. Debt includes low chance as compared to Equity. Debt can be in the structure of time period loans, debentures, and bonds, but Equity can be in the structure of shares and stock. Return on debt is regarded as interest which is a charge against profit.
Equity capital is the money raised by the company in alternate for possession rights for the investors. Debt Capital is a liability for the corporation that they have to pay returned within a fixed tenure.
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https://brainly.com/question/27993089#SPJ4If Bing Company reports its year-end total liabilities to be $40,000, and its year-end stockholders equity to be $60,000, how much are Bing Company's year-end total assets?A. $15.000B. Cannot be determined from the given informationC. $185.000D. $100.000
If Bing Company reports its year-end total liabilities to be $40,000, and its year-end stockholders equity to be $60,000, how much are Bing Company's year-end total assets A. $15.000B.
A shareholder is a person or legal entity (such as another corporation, a body politic, a trust, or a partnership) that the corporation has registered as the legitimate owner of shares of a public or private corporation (also known as a stockholder in the United States). Shareholders are another term for a corporation's members. A person or legal entity becomes a shareholder in a corporation[1] when their name and other details are included in the register of shareholders or members of the corporation. The corporation is not obligated or permitted to look into the beneficial ownership of the shares unless required to do so by law. A business typically cannot own its own.
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store makes $1,124,521 annual net profit. we want to pay an employee a % of net profits that is equal to $1000/month. what is the % of net profits we need to send to payroll that would equal $1000/month?
Annual net profit of the store is $1,124,521. A percentage of net profits, or $1000 per month, is what we wish to pay an employee. We need to pay our employees 1.07% of net income, which comes to $1000 every month.
What net profit really meansNet profit is the money your business makes during a certain time period after subtracting all of its operational, interest, and tax expenses. To determine this amount, you must be informed of the gross earnings of the company. The result of a net profit that is less than zero is a net loss.
We calculate net profit for what reasons?Net profit is the sum of an organization's earnings during a given time period after deducting taxes, interest, and administrative expenses. Alternatively known as Net Profit, Profit After Tax (PAT). Net Profit is a metric for gauging a business's financial viability. It is possible to determine a company's profitability from the information.
Monthly net profits = 93,710.08 ( $1,124,521 / 12)
1,000 = 1.07% of 93,710.08
1.07%
Same answer if 12,000 / 1,124,521 = 1.07% (1.07% = 1000 / 93710)
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assume the following information pertaining to moonbeam company: beginning ending finished goods inventory $ 130,000 $ 124,000 work in process inventory 85,000 104,000 direct materials 117,000 130,000 costs incurred during the period are as follows: total manufacturing costs $ 896,000 factory overhead 199,000 direct materials used 156,000 materials purchases are calculated to be:
As per the cost of goods statement of the provided financial information, it can be ascertained that the materials purchased by the Moonbeam Company for the year will be approximately $169,000.
As per the given information, and pro forma of the cost of goods statement, the purchased material can be determined as below,
Statement for Cost of Goods Sold
Particulars Amount
Initial Direct Materials 117000
Add: Purchased Materials 169000
Less: Closing Direct Materials 130000
Direct Materials Used 156000
Therefore, the materials purchased for the year will be $169,000.
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which of the following are advantages of an effective change management system? (choose three.)
Answer:
Any of the 4 that aren't on the answer list is wrong is what im thinking but here.
Explanation:
improved communication, increased productivity, reduced stress and improved decision making
Improvements in decision-making, productivity gains, stress reduction, and communication are just a few of these advantages. Additionally, change management can enhance employee morale and foster a more productive workplace.
Any form of change that creates physical, emotional, or psychological distress is referred to as stress. Any demand for attention or action causes your body to become stressed. Stress affects everyone to some extent. Your general well-being, however, is greatly influenced by how you handle stress. becoming irritable, frustrated, and cranky easily. having a sense of overwhelm, as though you need to take charge or are losing control. difficulty unwinding and calming your mind. low self-esteem, loneliness, worthlessness, and depression are all symptoms of low self-esteem. Exercise, yoga, and mindfulness meditation are just a few stress-relieving activities that are quite effective.
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How do Period and product costs impact the financial statements?
Period fees are usually expensed on the profits statement throughout the duration in which they are incurred.
In sum, product fees are inventoried on the stability sheet earlier than being expensed on the profits statement. Period fees are just expensed on the earnings statement.
Why are product and duration fees important?Product and length expenses are vital for administration accounting because they furnish insights into how a organization performs. By grasp these costs, management can make better strategic decisions about pricing, manufacturing levels, and different aspects of their business.
What are period and product costs?The key difference between product costs and duration charges is that product fees are only incurred if merchandise are acquired or produced, and period fees are associated with the passage of time.
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https://brainly.com/question/28294479#SPJ4how long does it take for the irs to approve your tax return
It take for the irs to approve your tax return less than 21 calendar days.
Who is qualified to file a tax return? While anybody with a valid PAN can submit an IT return even if their income is below the exemption threshold, it is a requirement for businesses and corporations to submit an ITR. People are entitled to file an income tax return if their taxable income exceeds the maximum amount exempt from taxation.A tax return is one or more forms submitted to a taxing body that include earnings, outlays, and other crucial tax data. Tax returns provide taxpayers the option to determine their tax burden, plan out their tax payments, or ask for refunds for any taxes they have paid in excess of what is required.To learn more about tax return refer to:
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companies provide rewards to customers who buy often and in substantial amounts. these reward schemes are referred to as
Businesses reward clients who make frequent, significant purchases. Loyalty programs are the name given to these incentive systems.
What are rewards programs?By offering awards, discounts, and other special incentives, retailers and other businesses who sponsor loyalty programs want to entice and retain consumers. They are designed to reward customers for sticking with a brand or retailer and encourage return business (hence the name). The more frequently and more money a consumer spends at the store, the greater the rewards they typically obtain. Loyalty programs serve two crucial goals: They not only reward devoted customers but also provide the issuing company access to a plethora of consumer data.
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showrooming involves searching for a product online to compare prices and then going to a physical store to buy it.
This is a false statement because showrooming involves searching for a product or good in a physical shop to compare prices and then buying it online.
Showrooming is the practice of using a physical store to examine a product, but then purchasing it online from a competitor at a lower price. This behavior is made possible by the widespread availability of mobile devices and the Internet, which allow consumers to easily compare prices and make purchases from anywhere.
Showrooming has been a challenge for brick-and-mortar retailers, who must compete with online retailers on both price and convenience. To counter the effects of showrooming, many physical stores have started to offer customers the ability to shop online using in-store Wi-Fi, as well as price matching and other promotions to incentivize customers to buy from them.
"
Complete question
showrooming involves searching for a product online to compare prices and then going to a physical store to buy it.
True
False
"
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1)why do pe firms need an underwriting commitment from banks in order to win a bid for a company?
In order to win a bid for a company, PE firms often need an underwriting commitment from banks. This means that the banks have agreed to provide the financing necessary to complete the acquisition of the target company.
PE firms, or private equity firms, are investment companies that specialize in acquiring and managing companies with the goal of generating a high return on investment. PE firms often invest in companies that are undervalued or in need of financial or operational restructuring in order to realize their full potential.
The underwriting commitment is a crucial component of the PE firm's financing strategy and helps to reduce the risk associated with the acquisition.
There are several reasons why PE firms need an underwriting commitment from banks in order to win a bid for a company. Firstly, the underwriting commitment provides the PE firm with the necessary financing to complete the acquisition. Without an underwriting commitment, the PE firm would need to find alternative sources of financing, which could be more difficult and time-consuming.Secondly, the underwriting commitment also signals to other bidders and stakeholders that the PE firm has the necessary financial resources to complete the acquisition. This can increase the credibility of the PE firm's bid and increase the likelihood of winning the auction.Finally, the underwriting commitment from banks also provides a level of security for the PE firm. If the PE firm is unable to secure financing from other sources, the bank is committed to providing the financing necessary to complete the acquisition. This can help to reduce the risk associated with the acquisition and increase the PE firm's confidence in the investment.To know more about PE firms refer to-
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The BEST explanation of why there will always be scarcity is because
answer choices
O people and their tools are inefficient.
O natural disasters created by frequent shortages.
O governments create scarcity to keep people wanting more.
O while peoples' wants are unlimited, resources are limited.
Resources are limited compared to the level of demand. The discrepancy between people's seemingly limitless needs and the available resources in the economy is known as scarcity, and it is considered to be a problem for the economy.
When there is an imbalance between the demand for a resource's limited supply and the supply, it is referred to as scarcity or paucity in economics. Theoretically, human demands are limitless, but there are only so many resources available, therefore there will always be some level of scarcity. A restricted supply of an item causes a mismatch between the anticipated supply and demand equilibrium, according to the scarcity principle, a theory of economics.
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When a customer tries to check out using his credit card, the charge is declined and he gets upset. The cashier sees that the card expired the month before. What should she say? A. "Sorry, but this card is expired. You can use cash instead. If you don't have any, there's an ATM not far from here." B. "I'm sorry, your card was declined-it's expired. You'll have to use a different card or form of payment instead." C. "It looks like this card expired recently. Do you have the replacement with you? Otherwise, we can try a different card if you'd like." D. "Did you know this card is expired? You might want to use a different form of payment instead."
As soon as the cashier notices that the card has expired, she says, "Sorry, but this card has expired you can use cash instead. If you don't have any, there's an ATM not far from here."
You may also pay with cash. Asking the client to cashier their card issuer (often via a toll-free number located on the back of their card) to investigate the potential issue is a preferable course of action. Once the transaction has been preapproved, you can try it again. Asking the client to contact their card issuer (often via a toll-free number located on the back of their card) to investigate the potential issue is a preferable course of action. Once the transaction has been preapproved, you can try it again.
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information on the type of industry is provided for a sample of 50 fortune 500 companies.
This claim is accurate, but its applicability is constrained because it only includes a sample of 50 Fortune 500 companies. This statement's selection of 50 businesses only represents a small part of the complete list of Fortune 500 industry.
An economic sector known as a "industry" produces a particular good or offers a particular service. Industries can include everything from mining and agriculture to banking and technology. They are in charge of generating income and providing jobs, and they are essential to the growth and development of an economy. Investment choices and company strategies can be influenced by having a clear understanding of the various industry kinds, their relative size, and their importance. In order to maintain sustainable development, it is crucial to monitor and control the actions of industries because they can have a big impact on society and the environment. For policymakers and scholars, the distribution of industries within a nation or region can be a useful indicator of the economic climate and trends.
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calculate the interest and total amount due at the end of the loan for both simple and compound interest. loan years rate (a) $ 1000 2 5% (b) $ 1500 5 6% (c) $10,000 10 10% (d) $25,000 15 15% (e) $47,750 20 20%
The interest due at the end of the loan for both simple and compound interest are:
a) $102.50
b) $507.34
c) $15,937.42
d) $178,426.54
e) $1,782,870.40
What is compound interest?Compound interest can help you build wealth by increasing your savings, investments, and income, but it's important to understand that it can hurt you if you're trying to pay off debt. The fact that carrying a balance on a credit card costs so much is actually a result of compounding.
a. Interest for simple-interest = $1,000*5%*2 = $100
Amount due for simple-interest= $1000 + $100 = $1,100
Amount due for compound interest = $1,000*1.052 = $1,102.50
Interest for compound-interest= $1,102.50 - $1,000 = $102.50
b. Interest for simple-interest= $1,500*6%*5 = $450
Amount due for simple-interest= $1,500 + $450 = $1,950
Amount due for compound-interest= $1,500*1.065 = $2,007.34
Interest for compound-interest= $2,007.34 - $1,500 = $507.34
c. Interest for simple-interest= $10,000*10%*10 = $10,000
Amount due for simple-interest= $10,000 + $10,000 = $20,000
Amount due for compound-interest= $10,000*1.1010 = $25,937.42
Interest for compound-interest= $25,937.42 - $10,000 = $15,937.42
d. Interest for simple-interest= $25,000*15%*15 = $56,2500
Amount due for simple-interest= $25,000 + $56,250 = $81,250
Amount due for compound-interest= $25,000*1.1515 = $203,426.54
Interest for compound-interest= $203,426.54 - $25,000 = $178,426.54
e. Interest for simple-interest= $47,750*20%*20 = $191,000
Amount due for simple-interest= $47,750 + $191,000 = $238,750
Amount due for compound-interest= $47,750*1.2020 = $1,830,620.40
Interest for compound-interest = $1,830,620.40 - $47,750 = $1,782,870.40
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assume the central bank of country x pursues an expansionary monetary policy, such as buying bonds. what will be the impact in the foreign exchange market?
An expansionary monetary policy, such as buying bonds by the central bank of country X, can have an impact on the foreign exchange market. When the central bank buys bonds, it injects money into the economy, which leads to an increase in the money supply.
This increase in the money supply can result in a lower interest rate, making it cheaper for individuals and businesses to borrow money. This, in turn, can stimulate spending, increase economic growth, and boost inflation.
The impact on the foreign exchange market can be significant because changes in interest rates affect the value of a country's currency. When interest rates are low, investors are less likely to invest in the country's bonds and assets, which can lead to a decrease in demand for the currency. As a result, the currency's value can decline relative to other currencies, making exports from country X more competitive and imports more expensive. This can lead to an appreciation of the country's currency in the foreign exchange market.
Additionally, the expansionary monetary policy can also result in higher inflation, which can erode the purchasing power of the currency over time. If the inflation rate in country X is higher than other countries, it can make imports cheaper, and exports more expensive. This can lead to a depreciation of the currency in the foreign exchange market.
In conclusion, an expansionary monetary policy pursued by the central bank of country X can have a significant impact on the foreign exchange market. The lower interest rate can result in a decline in demand for the currency, leading to a depreciation of the currency in the foreign exchange market. The impact of the monetary policy can also depend on other factors such as the level of inflation and the overall economic conditions in the country.
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select the three items that are economic espionage activities.
The three items that are economic espionage activities Fraud, illegal trespassing, and electronic hacking.
In order to understand what is morally right or wrong, just or unjust, ethics explores the intellectual justifications for our moral judgments. In a broader sense, ethics considers how people interact with one another and with nature, as well as their own freedom, responsibility, and sense of justice. Normative, meta, and practical ethics are the traditional divisions of ethics. What is right or wrong in human action is the subject of ethics. This area of philosophy focuses on moral concepts. Moral philosophy is another name for ethics. Contents page. A subfield of moral philosophy called normative ethics is concerned with the standards for what is morally good and evil.
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Opportunity cost measures the trade-off between two goods that each producer faces.a. Trueb. False
Opportunity cost evaluates the trade-off that each producer must make between two items.
b. True
A country's comparative advantage is its capacity to manufacture a specific good or service for less money than its trading rivals. Opportunity costs must be taken into account when comparing various production options, according to comparative advantage theory. Competitive advantage is the capacity of a nation to produce goods faster and cheaper than its rivals.
Despite the fact that this frequently demonstrates the advantages of trade, a number of modern economists have come to the realisation that relying entirely on comparative advantages might result in resource depletion. The advantage or value forfeited by engaging in a specific activity as opposed to a substitute is known as the opportunity cost.
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Which of the following statements is true of big data analytics?
a. It analyzes customers' needs based on their proximity to a retail store.
b. It focuses on understanding the behavior of a brand's target customers.
c. It enables retailers and suppliers alike to gain better customer insights
d. It allows customers to evaluate the service quality offered by retailers
D. It allows customers to evaluate the service quality offered by retailers is not necessarily true for all big data analytics use cases. However, B. It focuses on understanding the behavior of a brand's target customers and C. It enables retailers and suppliers alike to gain better customer insights are both true statements about big data analytics.
What is big data analytics?In order to find hidden patterns, correlations, and other insights, big data analytics involves studying and analyzing enormous and complicated data sets. Organizations can use this approach to gain useful information about their consumers, operations, and market trends, which aids in making educated decisions.
Big data analytics can be used on a variety of data sources, including unstructured data like text from social media or email, structured data like transactional data from databases, and semi-structured data like XML or JSON. Big data is difficult to process and evaluate using conventional data processing techniques due to its volume, diversity, and velocity.
Big data analytics uses cutting-edge tools and techniques like Hadoop, Spark, and NoSQL databases to handle and analyze huge data sets in a distributed and scalable way in order to get around these problems. In order to find patterns in the data and generate predictions based on them, it also makes use of machine learning and artificial intelligence techniques.
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What type of threat is exhibited by an actor that is known to work within the organization and have access to internal systems?
Those who have access to an organization's physical or digital assets are considered to be insider threats.
Why do internal threat actors exist?Involves a person who has privileged access to or knowledge of an organization: Although insider threats frequently originate from employees, they can also originate from contractors, vendors, interns, board members, or anyone else with access to non-public areas of the organization.
What kinds of risks do organizations face from within?A system could be used by someone inside a corporation to cause harm or steal data, which is referred to as an internal threat. Threats of this nature are especially unsettling because employees are thought of as trustworthy individuals who are given rights that can easily be exploited.
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How much hamburger will it take to make 300 three oz patties with a 20% shrinkage?
Shrinkage refers to the reduction in size or weight of a product during cooking or processing.
To make 300 three oz patties with a 20% shrinkage, you will need to start with 375 oz of hamburger. The calculation is as follows:
300 patties * 3 oz per patty = 900 oz
900 oz / (1 - 20%) = 1125 oz
So, to account for the 20% shrinkage, you will need to start with 375 oz more hamburger than the total weight of the finished patties, or 1125 oz - 900 oz = 375 oz. In the food industry, shrinkage can occur due to a number of factors, including moisture loss, fat rendering, and structural changes. Shrinkage can have a significant impact on the yield and profitability of a product, especially when large quantities are being produced. In cooking, shrinkage can occur as meat or other ingredients lose moisture and fat, leading to a reduction in size and weight. For example, raw hamburger meat may shrink by 20% or more when cooked, due to the loss of moisture and fat. This shrinkage must be taken into account when calculating the amount of raw material needed to produce a certain amount of finished product. In the food industry, shrinkage is often considered a waste, as it reduces the yield of a product and increases the cost per unit. To minimize shrinkage, it is important to carefully control cooking temperatures and times, as well as to manage the use of ingredients and processing techniques that can impact shrinkage.
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you want to buy a new sports car for $55,000. the contract is in the form of a 60-month ordinary annuity at an apr of 5.6 percent compounded monthly. what will be your monthly payment?
The correct response is C. $1,058.01. Your monthly payment will be $1,058.01.
Payment is the transfer of funds, property, or services in exchange for the provision of products and services in an amount that is mutually acceptable and has been previously agreed upon. Payment options include cash, checks, wire transfers, credit cards, debit cards, and even cryptocurrencies. Knowing how to pay. The data needed for customers to make an online purchase is payment information. Cash in advance, letter of credit, documentary collection or draft, open account, and consignment are the five main payment methods used in international trade, listed in order of least to most secure.
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You want to buy a new sports car for $55,000. The contract is in the form of a 60-month annuity due at a 6 percent APR, compounded monthly. What will your monthly payment be?
A. $1,047.90
B. $1,053.87
C. $1,058.01
D. $1,063.30
E. $1,072.11
In the long run, a monopolistically competitive firm's price equals its
A. marginal cost but not its average total cost.
B. average total cost and its marginal cost.
C. average total cost but not its marginal cost.
D. neither marginal cost nor its average total cost.
In the long run, monopolistically competitive firm's price equals its marginal cost but not its average total cost.
What is marginal cost?Marginal cost is a term used in economics to describe the difference in total production costs resulting from developing or producing an additional unit. The purpose of a marginal cost analysis is to determine the size at which a company may achieve economies of scale to enhance production and overall operations. If the marginal cost of producing one additional unit is lower than the unit price, the producer can be in the black. To choose the appropriate production level, manufacturers commonly employ the managerial accounting and economics concept of marginal cost. At a certain level of output, the advantage of producing one additional item and making money from it will cut the cost of producing the entire product line.
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what 3-4 top priority issues do ceo reed hastings and netflix management need to address?
Netflix faces intense competition from other streaming platforms such as Disney+, Amazon Prime Video, and Hulu. Addressing this competition will likely be a top priority for Netflix's management, as they need to find ways to maintain their dominant market position and attract new subscribers.
Content creation: Producing and acquiring high-quality content is critical for Netflix's success. Management must continue to focus on creating and acquiring new content to keep subscribers engaged.International expansion: Netflix has expanded into many international markets, but they may need to address challenges related to local regulations, language and cultural differences, and infrastructure issues.Pricing strategy: Netflix's pricing strategy has been a subject of much debate in recent years. Management must consider whether to increase prices to maintain profitability, or keep prices low to attract subscribers.These are just a few of the potential issues that the Netflix CEO and management may be facing. The specific priorities will depend on the current state of the company, the competitive landscape, and the company's long-term strategy.
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the posting reference should always be recorded in the journal's post. ref. column before amounts are recorded in the ledger.
The given statement about recording posting reference in the journal's post ref column before amounts are recorded in the ledger is False.
The posting reference should always be recorded in the journal's post-ref column after the amounts are recorded in the ledger. One of the key strategies for maintaining the accuracy and completeness of your books is the post reference, or PR, column. A transaction is "posted" in accounting when it is entered into the journal and/or account ledgers. A post reference is a code that can direct someone looking at a particular account ledger (such accounts payable or accounts receivable) to the appropriate entry in the journal, or vice versa. A ledger is a main book of accounts used to organize the transactions entered in a journal. On the day of the transaction, the journal entries are entered in reverse chronological order.
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given the following information, what is the firm's weighted average cost of capital.
The answer is The weighted average cost of capital (WACC) calculates a firm's cost of capital, proportionately weighing each category of capital.
What exactly do you mean by average cost?Average cost, often known as unit cost, in economics is calculated by dividing total cost (TC) by the quantity of a good produced (the output Q): How corporations decide to price their commodities is strongly influenced by average cost.
What is the typical expense in business?The sum of all production expenses divided by the amount of output generated is the average cost. This figure is also referred to as the average total cost or unit cost. In plainer terms, it calculates how much a company must spend on each unit or item of production generated.
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Your credit card statement says that your card charges 0.0562% interest per day. What is the actual interest rate per year?
The real annual interest rate is around 0.20523%, or 0.0020523 if expressed as a decimal.
The calculation is as follows:
The daily interest rate may be multiplied by the number of days in a year to determine the yearly interest rate using the daily interest rate that is given. The computation would be as follows in this scenario, expressed assuming a year has 365 days: Daily interest rate times 365 to get the annual interest rate.
The daily interest rate in this instance is 0.0562 percent. Divided by 100, we have 0.000562 when converting it to a decimal. The yearly interest rate is calculated by multiplying this by 365:
Annual interest rate equals 0.000562 x 365 = 0.20523
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during the last year, dual purposes products co. generated $819 million in cash flow from operating activities and had negative cash flow generated from investing activities (-$448 million). at the end of the first year, dual purposes products co. had $140 million in cash on its balance sheet, and the firm had $280 million in cash at the end of the second year. what was the firm's cash flow due to financing activities in the second year? a. $173.25 million b. $288.75 million c. -$231 million d. -$115.50 million
During the second year, the company generated $288.75 million in cash flow from financing activities.
The formula below should be used to determine the company's cash flow from financing operations in year two:
Cash Flow from Financing Activities = Cash at the End of the Second Year - (Cash at the End of the First Year + Cash Flow from Operating Activities + Cash Flow from Investing Activities)
The calculation is so as follows:
Cash Flow from Financing Activities = $280 million - ($140 million + $819 million + (-$448 million))
Cash Flow from Financing Activities = $280 million - ($140 million + $819 million - $448 million)
Cash Flow from Financing Activities = $280 million - ($559 million)
Cash Flow from Financing Activities = $288.75 million
Therefore, $288.75 million of the company's cash flow in the second year will be used for financing activities.
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every contract, combination in the form of trust or otherwise, or conspiracy, in restraint of trade or commerce among the several states, or with foreign nations, is declared to be illegal. . . . every person who shall monopolize, or attempt to monopolize, or combine or conspire with any other person or persons, to monopolize any part of the trade or commerce among the several states, or with foreign nations, shall be deemed guilty of
The Sherman Anti-Trust Act gave the government the right to file lawsuits against trusts and dissolve them.
Any arrangement "in the nature of the trust or otherwise that was in the hindrance of trade or commerce between the different states, or with foreign powers," was deemed unlawful.
A federal law known as the Sherman Antitrust Act of 1890 forbids actions that limit interstate commerce and market competition. Any agreement, plot, or alliance of commercial interests that restricts international or intrastate trade is forbidden. 15 U.S.C. contains the text of the Sherman Act.
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The full question:
What is Sherman Anti-Trust Act?
If a firm has sales of $10,500 in 1999 and its receivables increase $100 and its payables decrease $150 over the year. what are the firm's cash sales?
a. $10,450
b. $10,400
c. None of them is true
d. $10,650
e. $10,350
If a firm has sales of $10,500 in 1999 and its receivables increase $100 and its payables decrease $150 over the year. The firm's cash sales is $10,450. The correct option is a.
Cash sales are the sales a firm makes that are immediately collected in cash. To find the cash sales, we need to subtract the changes in receivables and payables from the total sales.
In this case, the firm's sales are $10,500 and its receivables increased by $100 and its payables decreased by $150, so:
Cash sales = $10,500 - $100 + $150 = $10,450
Therefore, the correct answer is a) $10,450.
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you have just applied for a 30-year $100,000 mortgage at a rate of 10%. what must the annual payment be?
A mortgage is a loan that is used to purchase real estate (such as a home or property). The borrower makes periodic payments (usually monthly) to the lender until the loan is paid off in full, usually over a period of 15 to 30 years
To calculate the annual payment on a 30-year $100,000 mortgage at a 10% interest rate, you can use the formula:
A = P * (r * (1 + r)^n) / ((1 + r)^n - 1)
where:
A = annual payment
P = the loan amount ($100,000)
r = the annual interest rate as a decimal (0.10)
n = the number of payments (30 years * 12 months/year = 360 payments)
Plugging in the values, we get:
A = $100,000 * (0.10 * (1 + 0.10)^360) / ((1 + 0.10)^360 - 1)
A = $100,000 * (0.10 * 1.10^360) / (1.10^360 - 1)
A = $100,000 * 0.10 * 1.10^360 / (1.10^360 - 1)
A = $100,000 * 0.10 / (1 - 1/1.10^360)
A = $100,000 * 0.10 / (1 - 1/1.10^360)
A = $10,000 / (1 - 1/1.10^360)
A = $10,000 / 0.0000000726
A = $137,832.47
So, the annual payment would be approximately $137,832.47.
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Alomar Co. , a consolidated enterprise, conducted an impairment review for each of its reporting units. In its qualitative assessment, one particular reporting unit, Sellers, emerged as a candidate for possible goodwill impairment. Sellers had recognized net assets with carrying amounts totaling $1,094, including goodwill of $755. Seller’s reporting unit fair value is assessed at $1,028 and includes two internally developed unrecognized intangible assets (a patent and a customer list with fair values of $199 and $56, respectively). The following table summarizes current financial information for the Sellers reporting unit:
The Impairment loss is $445
The formula for fair vale of the identifiable assets is shown below:
Fair value = tangible assets + recognized tangible assets + unrecognized tangible assets.
The formula for fair value of goodwill is shown below:
Fair value = fair value of carrying units - fair value of identifiable assets.
The formula for impairment loss is shown below:
Impairment loss = carrying of goodwill - fair value of goodwill
Calculate the impairment loss:
Impairment loss = $755 - $310
= $445
Calculate the fair value of goodwill:
Fair value = $1028 - $718
= $310
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