The weight of common equity for Wyle Co. is approximately 26.92%. To find the weight of common equity, we need to calculate the total capital of the company first.
Total capital = Debt + Preferred stock + Common Equity
Total capital = $2.7 million + $3 million + $2.1 million
Total capital = $7.8 million
Now we can find the weight of common equity:
Weight on common equity = Common equity / Total capital
Weight on common equity = $2.1 million / $7.8 million
Weight on common equity = 0.269 or 26.9%
Therefore, Wyle Co.'s weight on common equity is 26.9%.
To find the weight of common equity for Wyle Co., you'll need to calculate the total value of the company's financing, which includes debt, preferred stock, and common equity. Then, you'll determine the proportion of common equity in relation to the total financing.
Step 1: Calculate the total value of the company's financing.
Total financing = Debt + Preferred Stock + Common Equity
Total financing = $2.7 million + $3 million + $2.1 million
Total financing = $7.8 million
Step 2: Calculate the weight of common equity.
Weight of common equity = (Common Equity / Total financing) x 100
Weight of common equity = ($2.1 million / $7.8 million) x 100
Weight of common equity ≈ 26.92%
So, the weight of common equity for Wyle Co. is approximately 26.92%.
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________ decision criteria include emotional, symbolic, and subjective attributes or benefits that are associated with an alternative.
Affective decision criteria include emotional, symbolic, and subjective attributes or benefits that are associated with an alternative.
Affective decision criteria are subjective and intangible factors that influence the decision-making process. These criteria are often associated with personal values, beliefs, and emotions, rather than objective and measurable attributes of the alternatives being considered.
For example, when choosing between two different job offers, an individual may prioritize affective criteria such as the company's culture, work-life balance, or the perceived social status of the job, even if the job with lower affective criteria scores has higher pay or better benefits.
Affective decision criteria are particularly important in consumer behavior, where purchases are often influenced by emotional and symbolic factors. For instance, when deciding between two cars, a consumer may choose the car that represents a particular lifestyle or personality, even if the other car has better performance or lower cost of ownership.
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Job enlargement attempts to enrich jobs by combining a series of tasks into one challenging and interesting assignment, as opposed to simplifying the job. True False
True. Job enlargement is a strategy that organizations use to enrich the jobs of their employees by expanding the tasks and responsibilities they perform. Rather than reducing the complexity of a job by breaking it down into smaller parts, job enlargement combines a series of tasks into one challenging and interesting assignment.
The goal of job enlargement is to increase the variety and autonomy of an employee's work, which can lead to higher job satisfaction, motivation, and engagement. By providing more opportunities for learning and growth, job enlargement can also help organizations retain their top talent and promote career development. Therefore, it is true that job enlargement attempts to enrich jobs by combining a series of tasks into one challenging and interesting assignment, as opposed to simplifying the job.
whether job enlargement attempts to enrich jobs by combining a series of tasks into one challenging and interesting assignment, as opposed to simplifying the Job enlargement is a technique used to increase the variety and scope of an employee's job by adding more tasks and responsibilities. It aims to make the job more challenging and interesting, which can lead to increased job satisfaction and employee motivation. In contrast, job simplification reduces the complexity of a job and focuses on a limited set of tasks.
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Beta is... Group of answer choices how much a stock's returns vary with the market return. a measure of a stock's unsystematic risk. a measure of a stock's total risk. a tropical fish.
Beta is a financial metric used to measure the degree of systematic risk of an asset or portfolio in comparison to the market as a whole.
It determines how much an asset's return moves in relation to the overall market return. A beta of 1 indicates that the asset has the same volatility as the market, while a beta greater than 1 indicates higher volatility and a beta less than 1 indicates lower volatility. A beta of 0 implies that the returns of the asset are not correlated with the market's returns, and therefore the asset's risk is entirely unsystematic. Beta is an important tool for investors as it helps them understand the relationship between an asset or portfolio's risk and its potential return. A high beta can mean higher potential returns, but it also comes with greater risk, while a low beta means lower potential returns but also lower risk. Beta can be calculated using statistical analysis or obtained from financial websites.
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Canada had a Real GDP of 250,000,000 at the start of the year. They ended up with a Real GDP of 275,000,000 at the end of the year. What was the growth rate for that year
Canada's Real GDP growth rate for that year was 10%.
To calculate the growth rate for Canada's Real GDP, we first need to use the formula:
Growth rate = (final value - initial value) / initial value x 100
In this case, the initial value is 250,000,000 and the final value is 275,000,000. Plugging these values into the formula, we get:
Growth rate = (275,000,000 - 250,000,000) / 250,000,000 x 100
Growth rate = 10%
Therefore, Canada's Real GDP grew by 10% over the course of the year.
This means that the economy expanded and produced more goods and services, indicating a positive trend in economic growth. The growth rate can be influenced by various factors such as consumer spending, investment, government policies, and international trade. A higher growth rate implies a more robust economy, leading to increased job opportunities, higher wages, and better living standards for the citizens. It's important to track Real GDP growth as it can provide insights into the overall health of the economy and help policymakers make informed decisions.
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When allocating joint process cost based on tons of output, all products will Select one: a. have a sales value greater than their costs. b. be salable at split-off. c. have the same joint cost per ton. d. have no disposal costs at the split-off point.
When allocating joint process cost based on tons of output, all products will have the c) same joint cost per ton. This is because joint process cost is incurred in the production of multiple products from a single input.
Therefore, the cost needs to be allocated based on a common unit of measurement, such as per ton. The cost allocated to each product will depend on the relative proportion of each product produced and their individual selling prices.
It is important to note that allocating joint process cost based on tons of output does not necessarily mean that all products will have a sales value greater than their costs or be salable at split-off.
Some products may require additional processing beyond the split-off point to become salable, or they may have a lower selling price than their production cost. Additionally, there may be disposal costs associated with any waste or byproducts generated during the production process.
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All else equal, a nation that has a high rate of ____ will cause a high rate of _____ and therefore a higher growth rate of _____ capital. Group of answer choices investment; savings; human savings; investment; natural savings; investment; physical savings; consumption; physical consumption; investment; natural
With all else being equal, a country with a high savings rate will also have a high investment rate, which will result in a greater growth rate for its human capital. Here option B is the correct answer.
Investment refers to the expenditure of resources with the intention of generating income or profits in the future. In the case of a nation, investment can include spending on physical infrastructure, research and development, and education and training of its workforce. When a nation has a high rate of investment, it leads to an increase in capital stock, which can boost economic growth.
Savings refer to the portion of income that is not consumed but instead put aside for future use. When a nation has a high rate of savings, it means that there is a larger pool of resources available for investment, which can lead to higher economic growth.
Human capital refers to the skills, knowledge, and experience of a workforce. Education and training can increase the human capital of a nation, which can improve productivity and contribute to economic growth. Therefore, a high rate of investment in education and training can lead to a higher growth rate of human capital.
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Complete question:
All else equal, a nation that has a high rate of ____ will cause a high rate of _____ and therefore a higher growth rate of _____ capital.
A) consumption; physical
B) investment; savings; human
C) savings; investment; natural
D) savings; consumption; physical
E) investment; natural; savings
When marginal utility is negative, total utility: Question 13 options: A) stays the same. B) increases. C) can increase or decrease. D) decreases.
When marginal utility is negative, the total utility decreases. (D)
This is because the negative marginal utility means that the additional unit of the product consumed provides less satisfaction than the previous unit. As a result, the consumer is less satisfied with each additional unit consumed, leading to a decrease in the total utility.
To understand this concept better, consider the example of eating pizza. Initially, the first slice of pizza provides a high level of satisfaction, and the marginal utility is positive.
However, as you consume more slices, the marginal utility decreases, and eventually becomes negative, meaning that each additional slice of pizza consumed provides less satisfaction than the previous slice. This negative marginal utility leads to a decrease in the total utility of consuming pizza.
Therefore, it is important to consider both the marginal utility and total utility when making consumption decisions. Consumers should aim to consume products until the marginal utility is zero or positive, in order to maximize their total utility and overall satisfaction.(D)
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The basis (Bt,T) at time t between the spot price (St) and a futures contract expiring at time T (Ft,T) is St Ft,T.
Yes, that is correct. The basis (Bt,T) at time t between the spot price (St) and a futures contract expiring at time T (Ft,T) is calculated as Bt,T = St - Ft,T.
The basis reflects the difference between the current spot price and the futures price of a particular commodity or financial instrument and represents an arbitrage opportunity for traders who can exploit the basis by simultaneously buying the underlying asset and selling the futures contract or vice versa to earn a profit. The basis is an important factor in determining the fair value of futures contracts and can vary over time due to changes in supply and demand, storage costs, interest rates, and other market factors.
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We pay higher prices for TVs today than we paid 10 years ago. The higher prices today are likely due to Choose one or more: A. a monopoly in the TV industry. B. inflation. C. the higher quality of today's TVs.
We need to understand a few factors that may have led to the increase in TV prices over the past 10 years. One factor could be inflation, which refers to the general increase in prices of goods and services over time. As the cost of production, labor, and materials increases, manufacturers pass on those costs to consumers in the form of higher prices. Inflation has been a constant factor affecting the price of most goods and services, including TVs.
Another factor could be the higher quality of today's TVs. With advances in technology, TVs have become more advanced, offering better picture and sound quality, more features, and larger screen sizes. These improvements in technology require more sophisticated components and materials, leading to increased production costs, which are then passed on to consumers.
It's also worth noting that there are fewer competitors in the TV industry than there were 10 years ago, leading to less competition and potentially higher prices. However, it's hard to attribute the higher prices solely to a monopoly in the industry.
In conclusion, the higher prices of TVs today compared to 10 years ago are likely due to a combination of factors such as inflation, improved technology, and potentially less competition. These factors have led to increased production costs, which are passed on to consumers in the form of higher prices.
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At December 31, 2020, Tamarisk Corporation had an estimated warranty liability of $102,000 for accounting purposes and $0 for tax purposes. (The warranty costs are not deductible until paid.) The effective tax rate is 20%. Compute the amount Tamarisk should report as a deferred tax asset at December 31, 2020.
To calculate the amount Tamarisk should report as a deferred tax asset on December 31, 2020, we need to first understand the concept of deferred tax assets and liabilities.
Deferred tax assets and liabilities arise due to the difference between the tax basis and the accounting basis of an asset or liability. In the case of Tamarisk, the warranty liability has a tax basis of $0 and an accounting basis of $102,000. This means that for tax purposes, Tamarisk cannot deduct the warranty costs until they are paid, while for accounting purposes, Tamarisk has already recognized the warranty liability.
Now, as the effective tax rate is 20%, we can calculate the deferred tax asset as follows:
Deferred Tax Asset = (Tax Rate x Temporary Difference)
= (20% x $102,000)
= $20,400
Therefore, Tamarisk should report a deferred tax asset of $20,400 at December 31, 2020.
In conclusion, the long answer to your question is that Tamarisk Corporation should report a deferred tax asset of $20,400 on December 31, 2020, as the warranty liability has a tax basis of $0 and an accounting basis of $102,000, and the effective tax rate is 20%.
Here is a step-by-step explanation for your question regarding Tamarisk Corporation's deferred tax asset at December 31, 2020.
1. Determine the difference between the accounting and tax purposes warranty liability:
Accounting purposes warranty liability = $102,000
Tax purposes warranty liability = $0
Difference = $102,000 - $0 = $102,000
2. Calculate the deferred tax asset using the effective tax rate:
Effective tax rate = 20%
Deferred tax asset = Difference × Effective tax rate
Deferred tax asset = $102,000 × 20%
3. Compute the amount Tamarisk should report as a deferred tax asset on December 31, 2020:
Deferred tax asset = $20,400
In conclusion, Tamarisk Corporation should report a deferred tax asset of $20,400 on December 31, 2020.
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Lin Corporation has a single product whose selling price is $135 per unit and whose variable expense is $54 per unit. The company’s monthly fixed expense is $40,000. Required: 1. Calculate the unit sales needed to attain a target profit of $8,600. (Do not round intermediate calculations.) 2. Calculate the dollar sales needed to attain a target profit of $9,800. (Round your intermediate calculations to the nearest whole number.)
Lin Corporation needs to sell approximately 593 units to attain a target profit of $8,600.
1. To calculate the unit sales needed to attain a target profit of $8,600, we first need to determine the contribution margin per unit, which is the selling price per unit minus the variable expense per unit: Contribution Margin per Unit = Selling Price per Unit - Variable Expense per Unit, Contribution Margin per Unit = $135 - $54 and Contribution Margin per Unit = $81.
Next, we can use the following formula to calculate the unit sales needed to attain a target profit:
Unit Sales = (Fixed Expenses + Target Profit) / Contribution Margin per Unit
Unit Sales = ($40,000 + $8,600) / $81
Unit Sales = 592.59
Therefore, Lin Corporation needs to sell approximately 593 units to attain a target profit of $8,600.
2. To calculate the dollar sales needed to attain a target profit of $9,800, we can use the following formula:
Dollar Sales = (Fixed Expenses + Target Profit) / Contribution Margin Ratio
Contribution Margin Ratio = Contribution Margin per Unit / Selling Price per Unit
Contribution Margin Ratio = $81 / $135
Contribution Margin Ratio = 0.6
Dollar Sales = ($40,000 + $9,800) / 0.6
Dollar Sales = $91,333.33
Therefore, Lin Corporation needs to generate approximately $91,333 in sales to attain a target profit of $9,800.
Hi! I'd be happy to help you with your question.
1. To calculate the unit sales needed to attain a target profit of $8,600, you can use the formula:
Unit sales = (Target profit + Fixed expenses) / (Selling price per unit - Variable expense per unit)
Here, the target profit is $8,600, fixed expenses are $40,000, selling price per unit is $135, and variable expense per unit is $54. Plugging these values into the formula, we get:
Unit sales = ($8,600 + $40,000) / ($135 - $54) = $48,600 / $81 = 600 units
So, Lin Corporation needs to sell 600 units to attain a target profit of $8,600.
2. To calculate the dollar sales needed to attain a target profit of $9,800, we first need to find the unit sales required to achieve this target profit. We can use the same formula as before, but this time, the target profit is $9,800:
Unit sales = ($9,800 + $40,000) / ($135 - $54) = $49,800 / $81 ≈ 615 units (rounded to the nearest whole number)
Now, to find the dollar sales, multiply the unit sales by the selling price per unit:
Dollar sales = Unit sales × Selling price per unit = 615 units × $135 per unit = $83,025
Lin Corporation needs dollar sales of $83,025 to attain a target profit of $9,800.
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A trust established by your will that becomes effective upon your death is called a(n) ____________ trust.
The trust you are referring to is called a testamentary trust. This type of trust is established through a will and only becomes effective upon the death of the person who created the trust.
It allows the creator to distribute their assets in a specific manner, often to provide for their family members or to support a charitable organization. The testamentary trust can also provide tax benefits for the beneficiaries, as it can be structured to minimize estate and income taxes. Unlike living trusts, testamentary trusts cannot be used to avoid probate. The assets must go through the probate process before they can be distributed to the trust. Overall, a testamentary trust can be an effective estate planning tool for those who want to have control over how their assets are distributed after their death.
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Who is the person to which the development team will turn for questions regarding product vision, and the features that are needed to attain this vision
The person to which the development team will turn for questions regarding product vision and the features that are needed to attain this vision is the product owner.
The product owner is a key role in Agile development methodologies, such as Scrum. The product owner is responsible for defining the product vision and roadmap, and for prioritizing and managing the product backlog.
They work closely with stakeholders, customers, and the development team to ensure that the product is aligned with the needs of the market and the organization.
The product owner is the primary source of information for the development team regarding the features and functionality that are needed to achieve the product vision.
They are also responsible for answering questions, providing clarifications, and making decisions about the product direction and scope.
The product owner works closely with the development team to ensure that the product is being developed in accordance with the product vision, and that the product backlog is being refined and updated as necessary.
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Which of these statements is correct? Legally enforcing trademarks can be difficult. Unselected Brand names can be easily protected, especially as time goes by. Unselected Establishing franchises is harmful to a firm’s long-term success.
Legally enforcing trademarks can be difficult, as it requires constant monitoring and taking legal action against any infringement. However, it is crucial to protect a company's brand identity and reputation in the market.
Trademarks can be registered and protected by law, which gives the company exclusive rights to use the trademark and prevents others from using it without permission. Unselected brand names can also be protected easily, especially as time goes by. This is because the longer a brand name has been in use, the more it becomes associated with the company and its products or services. This can create a strong brand image and recognition, making it easier to protect the brand name from infringement. Even unselected brand names can become valuable assets for a company, and it is important to protect them. Establishing franchises can be beneficial for a company's long-term success if done correctly. Franchising allows a company to expand its brand and reach a larger customer base. However, it is important to carefully select franchisees and ensure that they maintain the brand's standards and values. If franchises are not established properly, it can harm the company's reputation and long-term success. Therefore, it is important to weigh the potential benefits and risks before establishing franchises.
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What is the most severe penalty a person may receive for performing contracting work without appropriate licensure?
The most severe penalty for performing contracting work without appropriate licensure can vary depending on the jurisdiction and specific laws and regulations in place. However, it is important to note that engaging in contracting work without the required license is generally considered a violation of the law and can result in significant legal consequences.
In many jurisdictions, the penalties for unlicensed contracting can include:
1. Fines: Individuals who perform contracting work without a license may be subject to fines imposed by regulatory bodies, government agencies, or courts. The amount of the fine can vary based on the jurisdiction and the specific violation.
2. Cease and Desist Orders: Regulatory authorities may issue cease and desist orders to individuals engaged in unlicensed contracting. These orders require the person to immediately stop performing the work until they obtain the necessary licensure.
3. Civil Penalties: In addition to fines, unlicensed contractors may be held liable for civil penalties. This can involve legal action by affected parties, such as clients or customers, seeking compensation for damages or substandard work performed.
4. Criminal Charges: In some cases, unlicensed contracting can be considered a criminal offense, especially if it involves significant fraud, deceit, or harm to consumers. Criminal charges can result in more severe penalties, including imprisonment or probation.
It is crucial to consult local laws and regulations to determine the specific penalties for unlicensed contracting in a particular jurisdiction, as they can vary widely. Additionally, it is essential to adhere to licensing requirements and regulations to ensure compliance and maintain the highest standards of professionalism and safety in the contracting industry.
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A stock trader can financially benefit the least from trading stocks using inside information when financial markets are: Multiple Choice
The stock trader can financially benefit the least from trading stocks using inside information when financial markets are efficient and highly competitive.
The concept of the efficient market hypothesis states that all publicly available information is already reflected in the stock price. In such a scenario, trading based on inside information would not lead to any significant profits as the market would have already adjusted to the new information. In highly competitive markets, the availability of inside information is minimal as everyone has access to the same information, and the trading environment is highly regulated.
Hence, trading on insider information would be highly scrutinized and may result in legal consequences. Therefore, inefficient and highly competitive markets, a stock trader is likely to benefit the least from trading stocks using inside information. It is always advisable to trade based on fundamental and technical analysis rather than relying on insider information.
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The hurdle method of price discrimination is _____ efficient, however, it is ______ efficient than charging a single price to all buyers.
The hurdle method of price discrimination is more efficient in terms of capturing consumer surplus, however, it is less efficient than charging a single price to all buyers in terms of the overall welfare of the market.
The hurdle method of price discrimination is a pricing strategy in which a seller charges different prices for the same product or service based on certain characteristics of the buyers. Specifically, the seller sets up different "hurdles" that buyers must meet in order to qualify for a lower price.
For example, a seller might offer a discount to buyers who purchase a certain quantity of the product, or to buyers who are students or seniors. By setting up these hurdles, the seller is able to capture more of the consumer surplus from buyers who are willing to pay more for the product, while still selling to buyers who are not willing to pay the higher price.
The hurdle method of price discrimination can be more efficient than charging a single price to all buyers because it allows the seller to capture more of the consumer surplus. When a seller charges a single price to all buyers, some buyers will be willing to pay more than the price charged, while others will be willing to pay less. This results in some buyers not purchasing the product at all, and some buyers purchasing at a lower price than they would be willing to pay. By using the hurdle method, the seller is able to capture more of the surplus from buyers who are willing to pay more, while still selling to buyers who are not willing to pay the higher price.
However, the hurdle method is not as efficient as perfect price discrimination, in which the seller charges each buyer their willingness to pay. Perfect price discrimination results in the highest possible price that each buyer is willing to pay, capturing all of the consumer surplus. However, perfect price discrimination is difficult to implement in practice because it requires detailed information about each buyer's willingness to pay, which is often not available.
Overall, the hurdle method of price discrimination can be a useful strategy for sellers to capture more of the consumer surplus, but it is not as efficient as perfect price discrimination.
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When preparing a proposal to meet a potential client's needs, vendors often review the company's ______ to get a better sense of what the company is looking for.
When preparing a proposal to meet a potential client's needs, vendors often review the company's Request for Proposal (RFP) to get a better sense of what the company is looking for.
An RFP is a document that outlines a company's requirements for a specific project or service, including the scope of work, timeline, budget, and evaluation criteria.
Vendors can review the RFP to understand the company's needs and expectations, and tailor their proposals accordingly.
Reviewing the RFP can also help vendors identify any potential challenges or constraints related to the project, as well as opportunities for value-added services or solutions.
By carefully analyzing the RFP and developing a customized proposal that addresses the company's specific needs and challenges, vendors can increase their chances of winning the project and building a successful partnership with the client.
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______ is/are the total amount of money received (or promised) from the sale of goods or services, as well as from other business activities such as the rental of property and investments.
The term that describes the total amount of money received (or promised) from the sale of goods or services, as well as from other business activities such as the rental of property and investments, is known as "revenue".
Revenue is a crucial financial metric that businesses use to assess their overall financial health and performance. It is calculated by multiplying the number of units sold by the price per unit, and it is typically reported on a company's income statement.
Additionally, revenue can be further broken down into various categories such as operating revenue, non-operating revenue, and other income. Understanding a company's revenue is important not only for investors and shareholders but also for management to make informed decisions about the future of the business.
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If an individual enrolls during the Medicare supplement plan _____ enrollment period, the insurer cannot use medical underwriting, refuse coverage, charge a higher premium, or impose a waiting period for pre-existing conditions.
If an individual enrolls during the Medicare supplement plan "open" enrollment period, the insurer cannot use medical underwriting, refuse coverage, charge a higher premium, or impose a waiting period for pre-existing conditions.
The open enrollment period for Medicare Supplement Plans starts on the first day of the month that an individual is both 65 or older and enrolled in Medicare Part B.
It lasts for six months, during which individuals have a guaranteed issue right to purchase any Medicare Supplement plan sold in their state. This means that insurance companies cannot deny coverage or charge higher premiums based on an individual's health status or pre-existing conditions during this period.
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CH 10 AP. Yellow Automobile expects to make purchases of $100,000 in January; $240,000 in February; $350,000 in March; and $230,000 in April. Purchases are paid 30% in the month of purchase and 70% in the month after purchase. How much is budgeted accounts payable at the end of February.
Yellow Automobile is expected to make purchases of $100,000 in January, $240,000 in February, $350,000 in March, and $230,000 in April.
Based on the payment terms, 30% of the purchases made in February ($240,000) will be paid in February, and 70% will be paid in March. Therefore, the amount paid in February will be $72,000 ($240,000 x 30%). The remaining 70% ($168,000) will be paid in March.
To determine the budgeted accounts payable at the end of February, we need to calculate the total purchases made up to February and subtract the amount paid in February. The total purchases made up to February are $100,000 (January) + $240,000 (February) = $340,000. The amount paid in February is $72,000.
Therefore, the budgeted accounts payable at the end of February is $268,000 ($340,000 - $72,000). This means that Yellow Automobile is expected to owe its suppliers $268,000 at the end of February for purchases made in January and February.
To calculate the budgeted accounts payable for Yellow Automobile at the end of February, we need to follow these steps:
1. Determine the purchases paid in February: February purchases ($240,000) x 30% = $72,000.
2. Determine the remaining amount payable for February purchases: $240,000 - $72,000 = $168,000 (to be paid in March).
3. Determine the purchases paid in March for January purchases: January purchases ($100,000) x 70% = $70,000.
4. Calculate the budgeted accounts payable at the end of February: $168,000 (remaining February purchases) + $70,000 (January purchases paid in March) = $238,000.
So, the budgeted accounts payable for Yellow Automobile at the end of February is $238,000.
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Using percentages to compare individual items on a financial statement, such as Wages Expense, to a key figure on the same statement, such as Sales, is called ______ analysis
Using percentages to compare individual items on a financial statement, such as Wages Expense, to a key figure on the same statement, such as Sales, is called ratio analysis.
Ratio analysis is a method of financial analysis that involves calculating and interpreting financial ratios to assess a company's performance, financial health, and profitability. Ratios are used to compare different financial metrics and provide insight into a company's operations.
Commonly used financial ratios include profitability ratios, liquidity ratios, efficiency ratios, and solvency ratios. Each ratio provides a different perspective on a company's financial performance and can be used to evaluate its financial strength and weaknesses.
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Project managers can reduce resistance to change by involving employees in the project plan. In systems development, this is referred to as ____.
Project managers are responsible for planning, organizing, and leading projects from start to finish. They ensure projects are completed on time, within budget, and meet the project objectives and requirements.
In systems development, involving employees in the project plan to reduce resistance to change is referred to as participatory design.
Project managers can reduce resistance to change by involving employees in the project plan. In systems development, this is referred to as "user participation" or "stakeholder involvement." This approach allows employees to have input in the project, which can minimize resistance and promote a smoother implementation process.
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Beth is a customer service representative for an online clothing store. When she got a phone call yesterday from a customer who received a pink shirt instead of the blue one she ordered, Beth told the customer she would mail the blue shirt out immediately and the customer would not have to pay for either shirt. What process is Beth using
The process that Beth is using in this scenario is called "Customer Service Recovery" or "Service Recovery."
Service recovery refers to the actions taken by a company or its representatives to resolve a customer's complaint or problem and restore customer satisfaction. It involves addressing the issue promptly, finding a suitable solution, and compensating the customer for any inconvenience or dissatisfaction caused.
In this case, when the customer received the incorrect pink shirt instead of the ordered blue shirt, Beth acknowledged the mistake and took immediate action to rectify the situation. She assured the customer that the correct blue shirt would be sent out immediately, indicating a commitment to resolving the issue promptly.
Additionally, Beth went beyond just correcting the mistake. She also informed the customer that she would not have to pay for either shirt, providing compensation for the inconvenience caused by the error. This gesture aims to not only rectify the problem but also demonstrate the company's commitment to customer satisfaction.
By utilizing the customer service recovery process, Beth exemplifies effective customer service practices by addressing the customer's concern, offering a solution, and compensating for any inconvenience. This approach can help in retaining customers, building loyalty, and maintaining a positive brand image.
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Assume that the MPC is 0.8 and the reserve requirement is 0.1. If the Federal Reserve needs to decrease aggregate demand by $100 billion at each price level to move the economy back to full employment and the current interest rate is 5 percent, then the Federal Reserve should _________ bonds on the open market equal to ________.
"sell bonds" on the open market equal to $125 billion. To decrease aggregate demand by $100 billion, the Federal Reserve needs to use monetary policy tools. Given an MPC of 0.8 and a reserve requirement of 0.1, the money multiplier can be calculated as 1/0.1 = 10.
Therefore, the required change in reserves to achieve a $100 billion decrease in aggregate demand is $100 billion/10 = $10 billion. To achieve this, the Federal Reserve can sell bonds on the open market. Selling bonds decreases the money supply, which decreases spending and aggregate demand. The required amount of bond sales can be calculated as the change in reserves divided by the reserve ratio: $10 billion/0.1 = $100 billion. However, this only accounts for the initial change in reserves. To account for the multiple rounds of deposit creation and loan creation that occur as the money supply changes, the Federal Reserve needs to sell bonds equal to the initial change in reserves times the money multiplier: $10 billion x 10 = $100 billion.
However, the current interest rate is 5 percent, which affects the demand for money and the effectiveness of monetary policy. To increase the effectiveness of the bond sales, the Federal Reserve may need to sell more bonds to offset any potential decrease in the demand for money due to the decrease in the money supply. Using the formula for the liquidity preference model, the Federal Reserve may need to sell additional bonds equal to the inverse of the marginal propensity to hold money times the initial change in reserves: 1/0.2 x $10 billion = $50 billion.
Therefore, the total amount of bonds that the Federal Reserve should sell on the open market to decrease aggregate demand by $100 billion is $100 billion + $50 billion = $150 billion. However, this only accounts for the potential decrease in the demand for money. If the decrease in the demand for money is less than anticipated, the Federal Reserve may only need to sell $125 billion in bonds to achieve the desired decrease in aggregate demand.
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When a firm insures itself against foreign exchange risk, it is Multiple Choice employing a lag strategy. engaging in currency speculation. employing a lead strategy. engaging in hedging.
Hedging occurs when a company covers itself against foreign currency risk. Option 4 is Correct.
Companies that face high foreign currency risk regularly use a range of strategies to mitigate that risk. If the market is large enough, they may directly hedge it with currency hedges like futures or options, or they may establish production facilities in a local nation to assist minimise currency concerns.
Hedging is the practise of a company insuring itself against foreign exchange risk. A corporation can reduce or completely remove its foreign exchange risk by hedging. Options and forward contracts are two typical types of hedges. A forward contract will fix the current exchange rate at which the currency exchange will take place in the future. Option 4 is Correct.
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Correct Question::
When a firm insures itself against foreign exchange risk, it is Multiple Choice
1. employing a lag strategy.
2. engaging in currency speculation.
3. employing a lead strategy.
4. engaging in hedging.
Generally accepted accounting principles require that when bonds are sold at a discount, the discount must be allocated to interest expense using the:
When bonds are sold at a discount, it means that the selling price is less than the face value of the bond. Generally accepted accounting principles (GAAP) require that when bonds are sold at a discount, the discount must be allocated to interest expense using the effective interest method.
This method allocates interest expense over the life of the bond based on the market interest rate at the time of issuance. The effective interest rate is calculated by dividing the total interest expense by the total amount of the bond's outstanding balance over the life of the bond. By using the effective interest method, the amount of interest expense recognized each period will increase over time as the bond's outstanding balance decreases. This ensures that the total interest expense recognized over the life of the bond reflects the true economic cost of borrowing.
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The economy moves between recessions (high unemployment), and inflationary times. According to the Keynesian economic view, during a briskly productive economy with rising inflation, contractionary fiscal policy should be used. This type of policy includes ________.
According to the Keynesian economic view, during a briskly productive economy with rising inflation, contractionary fiscal policy should be used. This type of policy includes reducing government spending and increasing taxes, which aims to decrease aggregate demand in the economy.
By reducing the amount of money that consumers have to spend, the hope is that demand will decrease, leading to a decrease in inflation. Additionally, this type of policy may also include reducing the money supply through actions such as increasing interest rates.
The goal of contractionary fiscal policy is to slow down economic growth and control inflation, thereby avoiding the negative consequences of hyperinflation, such as loss of purchasing power and economic instability.
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American Steel accepted returned merchandise purchased on account by Sky Builders for $14,450, plus sales tax of $1,100. The journal entry for American Steel to record this transaction is:
The journal entry for American Steel to record the returned merchandise purchased on account by Sky Builders for $14,450, plus sales tax of $1,100 is shown.
The journal entry for American Steel to record the returned merchandise purchased on account by Sky Builders for $14,450, plus sales tax of $1,100 is as follows:
1. Debit Sales Returns and Allowances for $14,450
2. Debit Sales Tax Payable for $1,100
3. Credit Accounts Receivable for $15,550 (which is the sum of $14,450 and $1,100)
This entry reflects the reduction in the amount owed by Sky Builders to American Steel due to the returned merchandise, as well as the recognition of the sales tax liability that was previously collected on the original sale.
It is important to note that this is a long answer to ensure that all relevant information is provided.
This entry reflects the return of merchandise and the corresponding sales tax, and reduces the amount due from Sky Builders.
Thus, the journal entry for American Steel to record the returned merchandise purchased on account by Sky Builders for $14,450, plus sales tax of $1,100 is shown.
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Assume the appropriate discount rate for the following cash flows is 9.7 percent. Year Cash Flow 1 $1,850 2 1,750 3 1,450 4 1,250 What is the present value of the cash flows? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
The present value of the cash flows can be calculated using the formula for present value of a cash flow stream, which is: PV = CF1/(1+r)^1 + CF2/(1+r)^2 + CF3/(1+r)^3 + CF4/(1+r)^4
Where PV is the present value, CF1-CF4 are the cash flows in years 1-4, and r is the discount rate.
When we use the formula with the given values, we get:
PV = 1850/(1+0.097)^1 + 1750/(1+0.097)^2 + 1450/(1+0.097)^3 + 1250/(1+0.097)^4
Simplifying the calculations, we get:
PV = 1481.85 + 1307.75 + 1026.88 + 828.60
Therefore, the present value of the cash flows is $4,645.08.
We can see that the present value of the cash flows decreases as we move further into the future, reflecting the time value of money. This is because money received in the future is worth less than money received today, due to inflation and the opportunity cost of not having the money available to invest or spend. The discount rate is used to adjust the cash flows to their present value, by reflecting the expected return on investment for a similar asset or investment with similar risk.
To calculate the present value of cash flows, we use the formula PV = CF / (1 + r)^n, where PV is the present value, CF is the cash flow, The year is n, and r is the discount rate. We will apply this formula for each year and then sum up the present values.
Year 1: PV1 = $1,850 / (1 + 0.097)^1 = $1,850 / 1.097 = $1,686.42
Year 2: PV2 = $1,750 / (1 + 0.097)^2 = $1,750 / 1.202 = $1,456.74
Year 3: PV3 = $1,450 / (1 + 0.097)^3 = $1,450 / 1.317 = $1,101.01
Year 4: PV4 = $1,250 / (1 + 0.097)^4 = $1,250 / 1.442 = $735.44
Now, sum up the present values: PV _total = PV1 + PV2 + PV3 + PV4 = $1,686.42 + $1,456.74 + $1,101.01 + $735.44 = $4,979.61.
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