a company reports the following amounts at the end of the year: sales revenue$ 350,000 cost of goods sold235,000 net income50,000 compute the company's gross profit ratio.

Answers

Answer 1

The company's gross profit ratio that has sales revenue $350,000, cost of goods sold $235,000, and net income $50,000 at the end of the year is xxxxxxxx.

What is gross profit ratio?

Gross profit ratio (Gross margin) is the difference between revenue (sales) and cost of goods sold, divided by revenue. Gross margin will be expressed in percentage value.

Now, let's calculate the company's gross profit ratio

Gross profit = Net sales - cost of goods sold

= $350,000 - $235,000

= $115,000

Gross profit ratio = Gross profit / net sales

= $115,000 / $350,000

= 0.329 (rounded

Gross profit ratio = 32.9%

Therefore, the company's gross profit ratio is 32.9%

Learn more about gross profit ratio https://brainly.com/question/29785269

#SPJ4


Related Questions

SBA a business from any of the THREE sectors and conduct a research using newspaper clips, business articles, any business magazines, News 24 and a other business websites to answer the following Research (Part A) for your Select a business business questions. (Collect FIVE resources) must be NB After choosing the sector you able to motivate your answer then provide picture/ newspaper article of the business -You must identify challenges experienced by the business and classify those challenges according to the three Business Environments and state the extent of control.​

Answers

Selecting a business from one of the three sectors, conducting research using newspaper clips, business articles, any business magazines, News 24, and other business websites to answer research (Part A) questions. This article will discuss the challenges faced by the business and classify them based on the three business environments. The business selected for this research is Sasol, which belongs to the primary sector. Sasol is an integrated energy and chemicals firm with operations in over 30 countries and more than 30,000 employees. It mines coal and convert it into synthetic fuels and chemical feedstock. Sasol operates in a challenging environment, and it faces many challenges. However, in this research, we will discuss the most important challenges faced by Sasol. The following are the difficulties Sasol faces: Environmental challenges: Sasol is a large company, and it emits greenhouse gases, which affect the environment. Furthermore, environmental regulations have become more stringent, which is a significant challenge for the company. Sasol must adhere to environmental regulations, which will impact its operations. Sasol must also protect its reputation, which is critical to its success. Sasol should be proactive in responding to environmental challenges by investing in renewable energy and ensuring that it adheres to environmental regulations. Economic challenges: Sasol faces economic challenges, including fluctuating oil prices, currency volatility, and rising operating costs. These issues are beyond the company's control, and they can have a significant impact on Sasol's financial performance. Sasol must adapt to economic changes by diversifying its revenue streams and improving its operational efficiency. Social challenges: Sasol faces social challenges such as workforce diversity, employee engagement, and community relations. Sasol must address these challenges by fostering a diverse and inclusive culture, promoting employee engagement, and engaging with the community. Sasol must also ensure that its business practices align with the expectations of its stakeholders, including customers, employees, and investors. In conclusion, Sasol faces many challenges, which can be classified into three categories: environmental, economic, and social. Sasol has limited control over some of these challenges, but it must be proactive in responding to them to ensure its long-term success.

A business that you can select for this analysis is the importation of cars into a country. Some challenges that may affect the importation of cars include import duties and trade agreements between nations.

What are business challenges?

Business challenges refer to those problems that are encountered by entrepreneurs who want to go into any area of trade. For those into the importation of cars and other such items, excessive import duties might be limiting to them.

They may also experieice trade agreements sbetween nations and rising forex that amy not be favorable for trade.

Learn more about business challenges here:

https://brainly.com/question/30820313

#SPJ1

In which scenario is an individual's behavior least likely to change?

a. The city of Saskatoon chooses to give its residents a penny for each soda can they recycle in an effort to promote environmental awareness.

b. In an effort to make people eat healthier, the city of Bakersville tells its residents to eat wheat bread instead of white bread.

c. A basketball team manages to sign a trio of famous basketball stars who then clamor for other players to come join their team to win a guaranteed championship.

d. The country of Ravamolk enacts a policy to fine companies 20% of their earnings if the safety standards in their factories do not reach acceptable work conditions.

Answers

b. In an effort to make people eat healthier, the city of Bakersville tells its residents to eat wheat bread instead of white bread.

In the other options, there are actual incentives/consequences for the thing they are trying to change. Without those, it’s more of a suggestion, and people are less likely to change without those incentives/consequences because it doesn’t directly affect them.

It’s like your mom saying “You should really do your homework.” versus “If you don’t do your homework, I’ll take your phone.” or “If you do your homework, you can have ice cream after dinner.” In this scenario, you are more likely to change with the incentives/consequences because it directly affects you.
Final answer:

An individual's behavior is least likely to change when merely informed of a healthier option, like in Scenario B, as there is no incentive or consequential action attached.

Explanation:

In the given scenarios, an individual's behavior is least likely to change in Scenario B where the city of Bakersville tells its residents to eat wheat bread instead of white bread. This scenario only involves information provision with no rewarding or punitive actions attached to induce behavior change, as compared to the rest of the scenarios. Behavioral change usually occurs when there are incentives or penalties associated with the action. For instance, in Scenarios A & D, Saskatoon and Ravamolk are using a reward technique and penalties respectively, as a trigger for behavioral change. Scenario C is using the appeal of fame and success to encourage change. But talking about bread choice without any consequential actions does not guarantee a behavior change.

Learn more about Behavioral Change here:

https://brainly.com/question/36615842

#SPJ2

Part A
Step 1 Starting at MIDNIGHT, (12:01am) ending 3 days later (72hr) at MIDNIGHT (11:59pm) You can start any day of the week, upto Sat Mar 04.

 For a minimum of 3 consecutive days monitor the time you spend doing the 8 different activities listed below
NOTE: Avoid using weekends only in your monitoring and try to stay with mid-week,
e.g. Tues, Wed, Thurs, where majority of days are mid-week.
 Use the attached time sheets to record blocks of time. Round off to the nearest hour. Precision isn’t the goal. e.g. 2hrs and 20 minutes, would be rounded down to 2 hours. 2 hrs and 30 minutes would be rounded up to 3 hrs.
 The full 24 hours of each day must be accounted for.
The following 8 categories are recommended to cover the majority of possible activities one might perform in the course of a day.

 Sleep
 Personal maintenance (showers, laundry, housecleaning, grocery shopping, family requirements etc.)
 Travel (to work, to school, or for appointments)
 Work hours (total hours at the workplace, excluding lunch or breaks)
 School (total hours in classes, plus time spent, studying, re-writing notes, completing assignments, time on blackboard)
 Fitness (formal or informal, attending the gym or walking home from work)
 Recreation (other than fitness related, TV, Movies, Leisure reading, online shopping, crafts, Video games, children’s sports activities, dates, coffee meet ups)
 Volunteer activities (United Way, Big Brothers/Sisters, your religious institution activities, PTA with schools)


Three day's activities
Time day day day
Activities Activities Activities
12:01-
1:00am
1:00am-
2:00am
2:00am-
3:00am
3:00am-
4:00am
4:00am
5:00am
5:00am-
6:00am
6:00am=
7:00am
7:00am-
8:00am
8:00am-
9:00am
9:00am-
10:00am
10:00am
11:00am
11:00am-
12:00pm
12:00pm
1:00pm
1:00pm-
2:00pm
2:00pm-
13:00pm
3:00pm-
4:00pm
4:00pm-
5:00pm
5:00pm-
6:00pm
6:00pm-
7:00pm
17:00pm-
8:00pm
8:00pm-
9:00pm
9:00pm-
10:00pm
10 00pm
11:00pm
11:00pm-
11:59pm

Answers

Here is an example of a three-day activity log:

The Activity Log

Day 1:

Time Sleep Personal Travel Work School Fitness Recreation Volunteer

12:01-1:00 1

1:00-2:00 1

2:00-3:00 1

3:00-4:00 1

4:00-5:00 1

5:00-6:00 1 1

6:00-7:00 1 1

7:00-8:00 1 1

8:00-9:00 1 1

9:00-10:00 1 1

10:00-11:00 1 1

11:00-12:00 1 1

12:00-1:00 1

1:00-2:00 1

2:00-3:00 1

Day 2:

Time Sleep Personal Travel Work School Fitness Recreation Volunteer

12:01-1:00 1

1:00-2:00 1

2:00-3:00 1

3:00-4:00 1

4:00-5:00 1

5:00-6:00 1 1

6:00-7:00 1 1

7:00-8:00 1 1

8:00-9:00 1 1

9:00-10:00 1 1

10:00-11:00 1 1

11:00-12:00 1 1

12:00-1:00 1

1:00-2:00 1

2:00-3:00 1

Day 3:

Time Sleep Personal Travel Work School Fitness Recreation Volunteer

12:01-1:00 1

1:00-2:00 1

2:00-3:00 1

3:00-4:00 1

4:00-5:00 1

5:00-6:00 1 1

6:00-7:00 1 1

7:00-8:00 1 1

8:00-9:00 1 1

9:00-10:00 1 1

10:00-11:00 1 1

11:00-12:00 1 1

12:00-1:00 1

1:00-2:00 1

2:00-3:00 1

Note: The actual activities and time allocation would depend on the individual's personal and work life. This is just an example to illustrate how the log can be filled out.

It's important to be honest and accurate while filling out the log to get the most benefit from it.

Read more about activity logs here:

https://brainly.com/question/8052360

#SPJ1

Which is the best general statement about the role of government in business in the United States?

Answers

Answer: Government acts to allow markets to function efficiently

The best general statement is that "Government acts to allow markets to function efficiently". Therefore, option B is correct.

The United States has a mixed economy, which means that it is a combination of a market economy and a command economy. In a market economy, businesses are free to operate without much government interference.

The government's role in business in the United States is to allow markets to function efficiently. This means that the government creates a framework in which businesses can compete and innovate without being unduly burdened by regulations. The government also provides some services that would be difficult or impossible for businesses to provide on their own, such as national defense and education.

Learn more about the government, here:

https://brainly.com/question/29894427

#SPJ4

Your question is incomplete, most probably the full question is this:

Which is the best general statement about the role of government in business in the United States?

O A. Government owns the resources of production.

OB. Government acts to allow markets to function efficiently.

OC. The government determines what goods and services are produced.

O D. Government has no role in business.

When would power of attorney be needed? A. when someone dies unexpectedly B. when a person is unable to manage their affairs C. when someone dies but there is no will and the estate must be managed D. when a living will is not in place and beneficiaries must be named

Answers

Answer:

B

Explanation:

Answer:

B. When someone is unable to manage their affairs

Explanation:

The type of conflict that stimulates employees to work toward greater effort, cooperation, and creativity is ______________ conflict. a. concentrated b. dysfunctional c. destructive d. functional

Answers

The functional conflict is  conflict that stimulates employees to work toward greater effort etc

Functional conflict is known as a healthy and constructive disagreement that occurs between employees, groups, individuals etc.

This kind of conflict is beneficial because its stimulates employees to work toward greater effort, cooperation etc

Therefore, the Option D is correct.

Read more about Conflict:

brainly.com/question/11352260

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.

Answers

A monopolist is an individual, gathering, or organization that controls each of the business sectors for a specific decent or administration. The profit in market 1 is $1,600,  The profit in market 2 is $450 and  Demand is more elastic in market 2

(A) Profit = Total revenue - total cost = P*Q - MC*Q = (P-MC)*Q

Profit in market 1

P1 = $60, Q1 = 40, and MC = $20

So, Profit in market 1 = (60-20)*40 = 40*40 = $1,600

(B) Profit in market 2

P2 = $35, Q2 = 30, and MC = $20

So, Profit in market 2 = (35-20)*30 = 15*30 = $450

(C) Demand is more elastic in market 2 as a monopolist charges a lower price in the more elastic market so as P2 < P1 then market 2 is more elastic.

Learn more about monopolist:

https://brainly.com/question/29763908

#SPJ1

This question is not complete, Here I am attaching the complete question: also, attaching the diagram

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.

(A) What is the profit of market 1?

(B)  What is the profit of market 2?

(C) In which market is demand more elastic?

Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1

⦁ Give me an example of how you have demonstrated safe work practices.

Answers

An example of safe work practices is cleaning and maintaining equipment and tools.

Safe work procedures are instructions on how to execute work in a safe manner and are essential for all hazardous jobs performed at your business. They identify dangers and explain what has to be done to remove or reduce risks.

Cleaning and maintaining equipment and tools properly can help to avoid accidents and injuries, as well as costly repairs. One method is to keep a cleaning and maintenance routine. Make a record of all equipment in use, noting important areas that require inspection.

Therefore, maintenance of equipment is how we can demonstrate  safe work practices.

To learn more on safe work practices, here:

https://brainly.com/question/3021815

#SPJ1

Equipment and tool maintenance and cleaning are two examples of safe work practices.

All hazardous operations carried out at your company must follow safe work procedures, which are guidelines for how to carry out work in a safe manner. They point out risks and describe what has to be done to eliminate or lessen them.

Proper equipment and tool maintenance can reduce the risk of accidents, injuries, and expensive repairs. Maintaining a cleaning and maintenance schedule is one strategy. Make a list of all the equipment that is in use, noting any crucial locations that need inspection.

As a result, maintaining the equipment is how we can show safe working practices.

Learn more about safe work practices here:

https://brainly.com/question/3021815

#SPJ1

A supermarket brand is working to increase their online sales results and runs a campaign with the setup shown.
Campaign Objective: Conversions
Assets: Videos and images
Target: Males and females 18-45 years old
What should the media buyer do?
- Merge the ad sets and apply automatic placement
- Break ad set 3 into more placements and change the pixel event
- Remove ad sets 2 and 4 and create a traffic campaign
- Break the ad sets by gender with a gender-specific creative

Answers

The supermarket brand should merge the ad sets and apply automatic placement for their marketing i.e. option 1

The campaign measurement is considered to be the process of measuring the impact of one's marketing or advertising efforts against their campaign goals. So, here the media buyers tend to oversee the media buying process, which is with input from the media planning team.

However, with the understanding of the marketing goals and also target audience preferences which is given by the media planning team, media buyers tend to execute the actual purchase of the advertisement space.

To learn more about Marketing, visit: https://brainly.com/question/27155256

#SPJ4

_____ is the character and personality of your organization.
[A] Social media
[B] Culture
[C] Career
[D] Atmosphere

Answers

Answer:

B - Culture

Explanation:

An organization's culture defines the proper way to behave within the organization. This culture consists of shared beliefs and values established by leaders and then communicated and reinforced through various methods, ultimately shaping employee perceptions, behaviors and understanding.

the practice of introducing a new product on the market with high price then lowering over time is called

Answers

The practice of this is called “price skimming.”

Answer:

price skimming

they lower the price because competitor enter the market and they want to give the best price

Which career is likely to earn the highest salary

Answers

Hello

CEOBiochemistry SpecialistInformation Technologies ManagerpilotDoctornutritionist

These are the professions that receive high salaries in our country, in Turkey.

Question 2
(10 Marks)
A company uses 15,000 units of stock item 6786 each year. The item has a purchase cost of R4 per
unit. The cost of placing an order for re-supply is R220. The annual holding cost of one unit of the item
is 10% of its purchase cost.
Data relating to stores item 6787 are as follows.
Daily use:
Lead time for re-supply:
Reorder quantity:
Required:
i.
ii.
300 Units
5-20 Days
10,000 Units
EOR
What is the economic order quantity for item 6786, to the nearest unit?
What would be the effect of an increase in the annual holding cost per unit on (1) the EOQ and (2)
total annual ordering costs?
What should be the reorder level for this stock item (6787), to avoid the possibility of inventory-outs"

Answers

1. The economic order quantity for item 6786 is approximately 2,568 units. If the annual holding cost per unit increases, the EOQ will decrease. The total annual ordering costs will also decrease if the annual holding cost per unit increases.

2. The reorder level for stock item 6787 should be set at 6,000 units to avoid the possibility of inventory-outs.

How did we arrive at these assertions?

To calculate the economic order quantity (EOQ) for item 6786, we can use the following formula:

EOQ = √((2 × Annual Demand × Cost per Order) / Holding Cost per Unit)

Given the following data:

Annual Demand = 15,000 units

Cost per Order = R220

Holding Cost per Unit = 10% of R4 = R0.4

Substituting these values into the formula:

EOQ = √((2 × 15,000 × 220) / 0.4)

EOQ = √(6,600,000)

EOQ ≈ 2,568 units (to the nearest unit)

Therefore, the economic order quantity for item 6786 is approximately 2,568 units.

Effect of an increase in the annual holding cost per unit:

1) The EOQ: If the annual holding cost per unit increases, the EOQ will decrease. This is because a higher holding cost per unit means it becomes more expensive to hold inventory, and therefore, it is more cost-effective to order smaller quantities more frequently.

2) Total annual ordering costs: The total annual ordering costs will also decrease if the annual holding cost per unit increases. This is because the decrease in the EOQ will result in more frequent orders, leading to more ordering costs but less holding costs. The decrease in holding costs will outweigh the increase in ordering costs, resulting in a lower total.

Reorder level for stock item 6787 to avoid inventory-outs:

To calculate the reorder level, we need to consider the daily use and lead time for re-supply. The reorder level should be set to ensure that there is enough stock to cover the daily demand during the lead time.

Reorder Level = Daily Use × Lead Time for Re-supply

Given the following data:

Daily Use = 300 units

Lead Time for Re-supply = 5-20 days (let's take the maximum value, which is 20 days)

Reorder Level = 300 × 20

Reorder Level = 6,000 units

Therefore, the reorder level for stock item 6787 should be set at 6,000 units to avoid the possibility of inventory-outs.

learn more about economic order quantity: https://brainly.com/question/26814787

#SPJ1

When your job provides ______, you view the outcomes of it as the product of your efforts rather than the results of careful instructions from your boss or a well-written manual of procedures.

Answers

The correct answer is answer autonomy

Why u think the porcentage of tax filers has most dramatically increased for the 65+ age group?

Answers

Answer:

The more people that retire, the more it increased.

Explanation:

Typically when people retire, they get their taxes filed. The percentage of the 65+ age group who have their taxes filed increases the more people who retire, then typically use tax filers.

Answer: The percentage of tax filers has most dramatically increased for the 65+ age group because

more people in the 65+ community are retiring and so, they are getting their taxes filed.

Good luck!

Nadia has put several signposts in her team's presentation. What is MOST likely one of the signposts she included?
OA.
B.
OC.
D.
To summarize: gas prices and cleaning costs are affecting our business.
Gas prices and costs of cleaning services are increasing drastically.
Now that we've talked about gas prices, let's turn to cleaning costs.
What should we do to lower cleaning costs for our organization?

Answers

Nadia has put several signposts in her team's presentation. The most likely one of the signposts she included is "Now that we've talked about gas prices, let's turn to cleaning costs." The correct answer is option c.

This is because signposts are words or phrases that speakers use to let their audience know where they are in their presentation or speech. Signposts also help speakers to smoothly move from one idea to another while also helping the audience to follow along.Some common examples of signposts include:To beginwithFirst,Secondly  Next Additionally Moreover Furthermore In addition In conclusion Therefore Thus As a result .

So, in the given options, "Now that we've talked about gas prices, let's turn to cleaning costs" is the most likely signpost that Nadia included because it shows the transition from one topic to another topic. Therefore, the correct answer is option C: "Now that we've talked about gas prices, let's turn to cleaning costs."

For more such questions on presentation

https://brainly.com/question/27326303

#SPJ8

how does a company can monitor their brands to manage online criticism? group of answer choices by monitoring alerts by monitoring the serps by dismissing the online criticism options a and b

Answers

Utilize tools for managing your internet reputation to keep an eye on what people are saying about you. These tools compile testimonials, tweets, blogs, and other content that has been published about your company.

They can analyze such details and determine whether there is favorable or negative attitude around your brand. Comments increase your credibility since they demonstrate that many people are using your service and that these people have strong opinions about it. So, one approach to maintain your internet reputation is to encourage comments and reviews. Utilizing software for online reputation management, businesses may keep track of user reviews and highlight good interactions on review sites.

Online reputation management software is used by businesses to record unpleasant events in the hopes of using them to boost brand awareness through favorable user reviews.

Learn more about online criticism here: https://brainly.com/question/13171394

#SPJ4

explain 5 ways in which business studies is a living subject​

Answers

Five ways in which business studies is a living subject:

Evolving technologiesEconomic shiftsChanging consumer preferencesSustainability and ethical issuesGlobalizationHow is business studies a living object ?

Business studies is an ever-evolving subject that continuously updates itself to reflect the latest developments and trends in the contemporary business environment. The dynamic global economy, characterized by recessions, inflation, and changing trade policies, can have significant consequences on businesses. It compels them to adapt quickly in order to remain profitable.

Furthermore, as society shows a growing inclination towards sustainability and ethical concerns, businesses must incorporate these principles into their practices. This highlights the importance of keeping up-to-date with these changes for students studying in business studies so they can gain success in today's innovative business world.

Find out more on business studies at https://brainly.com/question/28808857

#SPJ1

5 Components Of Business Studies?
Economical Environment
Political Environment
Social Environment
Legal Environment
Technological Environment

Answer these four questions in complete sentences.
You may choose from the strengths covered in this activity. If you would like more options, type
"entrepreneur strengths" or "entrepreneur qualities" into your favorite search engine.
1. What are your top five strengths?
2. How will these strengths help you as an entrepreneur?
3. What are two areas of focus for you?
4. How will focusing on these areas help you as an entrepreneur?

Answers

Answer:

1ans) activator.

adaptability.

analytical.

arranger.

belief.

command.

communication.

Please Help soon
Reflect on how the money multiplier concept can be an important tool of both expansionary as well as contractionary monetary policy for any central bank such as the U.S. Federal Reserve Bank?

Answers

The money multiplier can be used as an expansionary and also an expansionary tool by a given government.

What is an expansionary tool?

As an expansionary tool, the money multiplier may be used to increase the amount of money supply that is in an economy. This would cause the interest rates to be low so that people would not have much benefits from saving their money.

As a contractionary tool

The money multiplier can be used to reduce the amount of money that is in circulation in a given economy. This would make people want to save more money in the bank because the interest rate is going to be raised.

Read more on the money multiplier here: https://brainly.com/question/13923879

#SPJ1

The 15-year average return for the S&P 500 from January 1973 to December 2016 (29 separate 15 year periods) was as high as a 20% average annual return and as low as a 3.7% average annual return. Additionally, the average dividend yield for the S&P is 4.11% and the average annual dividend growth rate is 6.11%.

Using this information, please compare the investment in the 5% 15-year corporate bond with a $100,000 investment in a stock with a 3.7% dividend yield (10 percent less than the S&P 500 average yield) and a 3% dividend growth rate (50 percent of the S&P 500 dividend growth rate).

The annual investment returns are as follows:
Year 1 (13.40%) Year 2 (23.37%) Year 3 26.38% Year 4 8.99%
Year 5 3.00% Year 6 13.62% Year 7 3.53% Year 8 (38.49%)
Year 9 23.45% Year 10 12.78% Year 11 0.00 Year 12 13.41%
Year 13 29.60% Year 14 11.39% Year 15 (0.73%)


The bond interest payment of 5 percent is paid annually and not reinvested. To compare accurately with the bond investment, the stock dividend will not be reinvested, but paid annually as well.


Please calculate the value of the stock account at the end of each year and the dividend income from the stock on an annual basis.


Once you have performed the calculations, please let me know if you prefer to invest in a 5% corporate bond for 15 years or the stock and why.


What is the value of the stock after year 2? Year 8? Year 11? When does the annual dividend income of the stock exceed the annual interest income of the bond?

Answers

1. The value of the stock account after Year 2 is $155,401.626.

2. The value of the stock account after Year 8 is $96,110.0674.

3. The value of the stock account after Year 11 is $96,110.0674.

4. The annual dividend income of the stock exceeds the annual interest income of the bond at the end of Year 15.

Bond interest rate: 5%

Stock dividend yield: 3.7% (10% less than S&P 500 average yield)

Stock dividend growth rate: 3% (50% of S&P 500 dividend growth rate)

We'll assume an initial investment of $100,000.

Year 1:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $100,000 + ($100,000 * 0.2337) = $123,370

1. Year 2:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $123,370 + ($123,370 * 0.2638) = $155,401.626

2. Year 8:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $155,401.626 + ($155,401.626 * (-0.3849)) = $96,110.0674

3. Year 11:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $96,110.0674 + ($96,110.0674 * 0) = $96,110.0674

4. At the end of Year 15, the dividend income of the stock exceeds the interest income of the bond.

Stock dividend income: $100,000 * 0.037 = $3,700

Bond interest income: $100,000 * 0.05 = $5,000

For such more question on account:

https://brainly.com/question/28326305

#SPJ8

Which statement best describes the difference between a market and traditional economy

Answers

Answer:  in a traditional economy, decisions are based on habit and custom

Explanation:

Question 14 (2.5 points) On evaluating a project, adjusting the WACC upwards instead of adjusting the initial investment upwards to reflect the floatation costs violates the ______ OA) Risk-return relation B) Time value of money C) Stand-alone principle O D) Security pricing principle

Answers

When appraising a project, the risk-return relation is violated if the WACC is increased rather than the original investment to represent the flotation costs.

How Much Does Flotation Cost?

A publicly traded firm incurs floatation costs when it distributes stocks or bonds and pays costs such underwrite fees, attorney costs, and fees paid. Businesses must take into account how these fees may affect the amount of cash they can collect via a new offering.

How do the costs of floating affect WACC?

These fees will lower the net revenues from the sale of a new share, causing a higher cost of equity because of the flotation charges. As the expense of equity is a part of the weighted average costs of capital (WACC), it will consequently increase the WACC.

To know more about Flotation Cost visit:

https://brainly.com/question/14101004

#SPJ4

Which of the following is NOT a feature in the Formulas menu of the Macabacus Excel add-in? Review Later Summary Statistics Error Wrap Quick CAGR Formula Flow

Answers

The following that is NOT a feature in the Formulas menu of the Macabacus Excel add-in is Formula Flow. This is further explained below.

What is Formula Flow?

Generally, The formula for the volumetric flow rate is as follows: Vf = A*v, where A is the cross-sectional area and v is the flow velocity.

In conclusion, Macabacus is an Excel add-in that has many useful features, but Formula Flow is not one of them.

Read more about Formula Flow

https://brainly.com/question/11814436

#SPJ1

Prepare a statement of retained earnings in proper form for White Corporation

Answers

The Retained earning for White Corporation is $5,200 for the year ended December 31, 2012.

What is retained earning?

After deducting all of a company's overhead expenses, income taxes, and profits for shareholders, the amount of profit left over is known as retained earnings.

Following is the statement of retained earning for White Corporation-

Retained Earning      $2,000

    less(Dividend)         -$800

              Balance  =    $1,200

 add(Net income)     +$3000

add (Rent Expense)  +$1,000

Retained earning   =   $5200

Therefore, the Retained earning for the year ended on December 31, 2012 of White Corporation will be $5200.

Learn more about Retained earning, here:

https://brainly.com/question/17027292

#SPJ1

Ellis Sport Shop projects the following sales: Extra Credit – 5 Pts Ninety percent of Ellis' sales are on credit with 60 percent of receivables collected in the month after the sale and the rest of receivables collected in the second month after the sale. February sales were $60,000 and March sales were $70,000. In the past Ellis' bad debt percentage has been 0 and is expected to continue. a) Prepare a monthly schedule of cash receipts for April-June.

Answers

Here is the monthly schedule of cash receipts for April-June as given in the solution below

The monthly schedule of cash receipt

April:

Credit sales from February: $60,000 x 90% = $54,000

Cash collected from February credit sales: $54,000 x 60% = $32,400

Credit sales from March: $70,000 x 90% = $63,000

Cash collected from March credit sales: $63,000 x 60% = $37,800

Total cash receipts for April: $32,400 + $37,800 = $70,200

May:

Cash collected from remaining February credit sales: $54,000 x (100% - 60%) = $21,600

Cash collected from remaining March credit sales: $63,000 x (100% - 60%) = $25,200

Total cash receipts for May: $21,600 + $25,200 = $46,800

June:

No cash receipts expected.

Note: This schedule assumes no bad debt, which is consistent with Ellis' past experience and expectations.

Learn more on cash receipts here https://brainly.com/question/27205087

#SPJ1

QUESTION 1 of 10: Your employees have the opportunity to participate in a 401K plan. Each employee can contribute up to 5% of their pay
into the plan. The employer will match 50% of an employee's contribution. If an employee contributed all 5% allowable from their $55,000 per
year salary, how much must the employer contribute?
ОООО
a) $1,100
b) $1,375
c) $2,750
d) $27,500

Answers

The amount that the employer must contribute is: b) $1,375.

First step is to calculate the amount the employee contribution.

Employee contribution=5%×$55,000

Employee contribution=$2,750

Second step is to calculate employer contribution

Since the employer will match 50% of an employee's contribution based on 401K plan. The employer contribution will be:

Employer contribution= 50%×$2,750

Employer contribution=$1,375

Inconclusion the amount that the employer must contribute is: b) $1,375.

Learn more here:

https://brainly.com/question/13756222

how does a persons work experience affect their pay wage?

Answers

Answer:

Up to a certain point, more experience typically translates into higher income. Similar to the last example, if the job requires someone with 10 years of expertise in a specific field and you don't satisfy those qualifications, you can find yourself working at the lower end of the wage scale.

Explanation:

Case 5.1 Disaster and Consumer Value
After September 11, 2001, U.S. consumers showed
a desire to tone down their consumer activities.
They ordered simpler foods in restaurants and
spent more time at home. Therefore, a lot of marketing campaigns began emphasizing down-home
themes.
At some point after a disaster, it is time to get back to business. But, major catastrophic events are likely to leave permanent
changes on consumers and employees in those areas. Suppose you
are approached by the owner of several delicatessens and full-service
wine stores in the Gulf Coast area. It is January 2006, and they want
to get back to business. But they are uncertain about whether they
should simply maintain the same positioning they had previous to
Hurricane Katrina and Hurricane Rita. They would like to have a
report from you within eighty days.
1. How could each classification of qualitative research be used
here?
2. What qualitative research tool(s) would you recommend be used
and why?
3. Where would you conduct any interviews and with whom
would you conduct them?
4. ETHICS Are there ethical issues that you should be sensitive to in
this process? Explain.
5. What issues would arise in conducting a focus group interview
in this situation?
6. Prepare a focus group outline.

Answers

Answer:

345

Explanation:

the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.

Answers

The cash flows to investors from operating activities for Oriole Mills Company is $543,973.

To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:

Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities

Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:

Net Income:

Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)

Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927

Net Income = $269,373

Depreciation Expenses = $179,600

Non-Cash Interest Expenses = $94,000

Changes in Working Capital:

Increase in Current Assets = 0 (no information provided)

Increase in Current Liabilities = 0 (no information provided)

Decrease in Current Assets = 0 (no information provided)

Decrease in Current Liabilities = 0 (no information provided)

Finally, we can calculate the cash flows to investors from operating activities:

Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0

Cash Flows from Operating Activities = $543,973

Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.

For more question on investors visit:

https://brainly.com/question/31358905

#SPJ8

Other Questions
Which is the closest synonym for the word linger? Press enter to interact with the item, and press tab button or down arrow until reaching the Submit button once the item is selectedA. remainB. preserveC. observeD. obtain Which types of printing did albrecht drer use in most of his work? choose one and describe the method. How does the medias role as a watchdog help both the public and the media? following a security incident, the lessons learned report recommends upgrading premises entry control to prevent tailgating. what type of prevention control will provide the most effective solution? Can you please help me and can you show your work please Precious Metal Mining has $11 million in sales, its ROE is 13%, and its total assets turnover is 3.2. Common equity on the firms balance sheet is 40% of its total assets. What is its net income? Do not round intermediate calculations. Round your answer to the nearest cent. Why do coastal regions, nearmountain ranges, have a lot ofrainfall?A. The mountains trap the weather coming from thesea.B. The mountains attract humidity.C. The mountains serve as a catalyst to form clouds. how many transistors do supercomputers have A Firewall is a combination of hardware and software that controls the flow of incoming and outgoing network traffic. Examines data files and sorts out low-priority online material while assigning higher priority to business-critical files. True or False Imagine If there are 13 people and each person gets 5 unique tokens. There are 3 boxes on a table and the people must place 1-5 of the tokens In a mixture of any box they choose. The people may choose to have some tokens left over or to not put them In at all. What are the possible combinations for the tokens? problem 2. (1 point) you are hosting a party with 80 fellow students from uci (including yourself the number of students is 81). as the party organizer, you shake hands with every guest to welcome them. moreover, there are a lot handshakes among the guests as well (e.g., to say hello or introduce themselves). if you do not know the total number of handshakes, can you be certain that there are at least two guests who had the same number of handshakes? Lets define 26 to be a sandwich number because it is sandwichedbetween a perfect cube and perfect square. That is, 26 1 = 25 = 52and 26 + 1 = 27 = 33. Are there any other sandwich numbers? Tha (9- 1x +2x) - (2x square - 3x +5) The circulatory system transports _________[A]_________ to the body cells and takes _______[B]________ away from the body cells. Match each of the following statements with the appropriate description. (Drag-and-drop your answer to the appropriate box.) What is a communications system in which spread-spectrum techniques are used to multiplex more than one signal within a single channel Q3 (5+10+5+15=35 points) Suppose you observe a random sample X1.X2.... Xn of ages from a Cauchy distribution with median and known scale parameter s, that isf(x) = 1 / 1 + (x - )/sSupposes s = 5 and the dataset of ages is given below:27, 24, 33, 33, 29, 36, 28, 27, 31, 26, 30, 41, 23, 29, 34, 38, 36, 29, 26, 24We are interested in finding the maximum likelihood estimation (MLE) of . Complete the following steps for your answer.(i) read the data into R.(ii) create a function in R to compute the log-likelihood. 48. What causes divide underflow, and what can be done about it? Help pls I need help with this question anyone?? true or false across cultures, women report experiencing more sadness, fear, shame, and guilt than men. ABC Inc. is considering inclusive sized clothing which would expand its offerings. It estimates that a move to inclusive sizing would have an initial cost of $500,000 and would require an additional investment of $50,000 per year. If each piece of inclusively sized clothing sold generates on average $20 of revenue, how many pieces of inclusive sized clothing would the fashion label need to sell per year to break even in 5 years assuming their MARR is 10%?Do not use excel