Compute the following for the company:
free cash flow
cash flows to sales ratio
cash flows to assets ratio

Answers

Answer 1

Free Cash Flow (FCF) represents the amount of cash available for various purposes, such as debt repayment, dividends, share buybacks, or reinvestment in the business.

The cash flows to sales ratio is calculated by dividing operating cash flow by sales revenue.

The cash flows to assets ratio is calculated by dividing operating cash flow by total assets.

Free Cash Flow (FCF):

Free cash flow is a measure of the cash generated by a company's operations that is available to be distributed to investors (both equity and debt holders) after accounting for capital expenditures and working capital requirements.

To calculate free cash flow, you need to deduct capital expenditures (money spent on acquiring or maintaining long-term assets) and changes in working capital (current assets minus current liabilities) from the operating cash flow (cash generated by the company's core operations).

The formula for free cash flow is typically as follows:

Free Cash Flow = Operating Cash Flow - Capital Expenditures - Change in Working Capital

Free cash flow is an important financial metric as it provides insight into a company's ability to generate excess cash and its capacity for future growth or returning value to shareholders.

Cash Flows to Sales Ratio:

The cash flows to sales ratio, also known as the cash flow margin or cash flow from operations margin, measures the proportion of a company's sales revenue that is converted into operating cash flow. It indicates how efficiently a company generates cash from its sales activities.

The cash flows to sales ratio is calculated by dividing operating cash flow by sales revenue. The formula is as follows:

Cash Flows to Sales Ratio = Operating Cash Flow / Sales Revenue

The cash flows to sales ratio provides insights into a company's ability to convert its sales revenue into cash flow, indicating the efficiency of its operations and the effectiveness of its working capital management.

Cash Flows to Assets Ratio:

The cash flows to assets ratio, also known as the cash return on assets, measures how effectively a company utilizes its assets to generate cash flow. It indicates the return generated from the company's total asset base.

The cash flows to assets ratio is calculated by dividing operating cash flow by total assets. The formula is as follows:

Cash Flows to Assets Ratio = Operating Cash Flow / Total Assets

The cash flows to assets ratio helps evaluate the efficiency of a company's asset utilization and its ability to generate cash flow relative to its asset base. A higher ratio indicates more effective asset utilization and better cash flow generation.

Remember that the actual values for these ratios will depend on the specific financial information of the company you're analyzing. It's important to obtain accurate financial statements and perform the calculations using the appropriate numbers for a meaningful analysis.

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Related Questions

How did the 1973 oil crisis affect the United States?
O A. Oit prices suffered from deflation as a result of an embargo.
O B. Trade remained stagnant even as economic growth continued.
OC. Trade increased as a result of wars in the Middle East.
OD. Oil suffered from high levels of inflation.

Answers

Oil suffering from high levels of inflation is how the oil crisis of 1973 affected the United states.

What was Oil crisis?

This took place around 1973 in which petroleum exports to the targeted nations were banned and cuts in oil production were introduced.

The low level of oil being available led to high levels of inflation which was why option D was chosen as the most appropriate choice.

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Answer: D. Oil suffered from high levels of inflation.

Explanation: Just took the test.

a question like, "what's the name of the waiter?" requires __________; a question like, "isn't that the guy we usually see on the bus?" requires __________.

Answers

A question like, "what's the name of the waiter?" requires factual knowledge or information. It assumes that the person being asked knows the answer to the question and that the answer can be easily retrieved from memory. On the other hand, the second type of question, "isn't that the guy we usually see on the bus?" requires confirmation or clarification.

In this case, the person being asked would need to recall the name of the waiter in order to answer the question. This type of question is often used to obtain specific information about a person, place, or thing.

It assumes that the person being asked may or may not know the answer to the question and that the answer requires some level of discussion or analysis. In this case, the person being asked would need to consider whether the person they are seeing is indeed the same person they usually see on the bus. This type of question is often used to confirm or clarify information that is uncertain or ambiguous.

The type of question being asked determines the type of knowledge or information required to answer it. Factual questions require specific information, while confirmation questions require a level of analysis and discussion to arrive at an answer.

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Externality Example The Super Frisbee company produces frisbees in a perfectly competitive industry. However, Super Frisbee has patented a new production process for making their frisbees. The new process lowers the firm's average cost, meaning their firm alone (although still a price taker) can earn real economic profits in the long run. 1) If the market price is $20 per frisbee and the firm's marginal cost is given by MC=0.4q, where q is the daily frisbee production for the firm, how many frisbees will the firm produce? 2) Suppose a government study has found that the firm's new process is polluting the air and estimates the social marginal cost of fribsee production by this firm to be SMC=0.5q. Which type of externality does this represent? 3) If the market price is still $20, what is the socially optimal level of production for the firm? 4) What should the rate of a government-imposed excise tax be to bring about this optimal level of production? 5) Graph your results.

Answers

1) The firm will produce 25 frisbees.

2) This represents a negative production externality.

3) The socially optimal level of production for the firm is 40 frisbees.

4) The rate of the government-imposed excise tax should be $0.1 per frisbee.

1) To determine the number of frisbees the firm will produce, we need to find the quantity where marginal cost (MC) equals the market price. In this case, MC = 0.4q and the market price is $20. Setting the two equal, we get 0.4q = 20. Solving for q, we find q = 50. Therefore, the firm will produce 50 frisbees.

2) The presence of pollution resulting from the firm's production process represents a negative production externality. This is because the firm's production activities impose costs on society that are not reflected in its own costs or prices. The social marginal cost (SMC) of frisbee production accounts for these external costs, which in this case is given by SMC = 0.5q.

3) The socially optimal level of production for the firm is where the marginal social cost (SMC) equals the market price. Given that the market price is still $20, we can equate SMC and the market price to find the socially optimal quantity. So, 0.5q = 20. Solving for q, we get q = 40. Therefore, the socially optimal level of production for the firm is 40 frisbees.

4) To bring about the socially optimal level of production, the government can impose an excise tax on the firm's frisbee production. The tax should be equal to the difference between the firm's marginal private cost (MC) and the socially optimal marginal cost (SMC) at the optimal quantity. In this case, the difference is 0.5q - 0.4q, which simplifies to 0.1q. Substituting q = 40, we find that the excise tax rate should be $0.1 per frisbee. Since the market price is $20, this tax rate would effectively bring the firm's production down to the socially optimal level of 40 frisbees.

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Assignment #6 Natural Gas 1) What is the significance of "bid week"? How many days in "bid week"? 2) What are the "demand" sectors for nat gas use? Which sector is growing the most? 3) How has the shale revolution altered the physical landscape of nat gas production and distribution? 4) Why is it necessary to process gas as one of the first steps post wellhead? 5) What is LNG and its significance to US nat gas markets? 6) What is the significance of using "cross overs" in the positioning of trades. 7) The "Polar Vortex" a few years ago caused the prices on Transco Zone 6 (NY City) it spike upwards to $100? Why the spike in prices? 8) If you are long nat gas at Henry Hub for next month’s delivery on a fixed price, how would you convert the fixed price to daily pricing? 9) If you convert fixed price to daily pricing, what do you expect prices to do if you are long? If you are short? 10) What economic incentive has caused the world price of nat gas, both piped and LNG, to evolve from crude oil indexed? 11) Why is it expected that the world price of nat gas will be Henry Hub related?

Answers

Answer:

1) "Bid week" is the period when buyers and sellers of natural gas come together to negotiate prices for future delivery of gas. Bid week typically lasts for five business days.

2) The demand sectors for natural gas use include residential, commercial, industrial, and electric power generation. The electric power generation sector is the fastest growing sector of natural gas use.

3) The shale revolution has led to a significant increase in natural gas production in the United States. The use of horizontal drilling and hydraulic fracturing has made it possible to access previously unreachable natural gas reserves. As a result, the physical landscape of natural gas production and distribution has been altered, with the development of new pipelines, processing facilities, and export terminals.

4) It is necessary to process gas as one of the first steps post wellhead to remove impurities and ensure that the gas meets the specifications required for transportation and use.

5) LNG stands for liquefied natural gas, which is natural gas that has been cooled to a liquid state for transport by sea. LNG is significant to US natural gas markets because it has opened up new export markets for US natural gas producers.

6) "Cross overs" refer to the practice of trading between different delivery points on a pipeline system. This can allow traders to take advantage of price differentials between different locations.

7) The "Polar Vortex" caused the prices on Transco Zone 6 to spike upwards to $100 because of increased demand for natural gas for heating purposes, combined with a limited supply due to pipeline constraints.

8) To convert a fixed price for next month's delivery of natural gas at Henry Hub to daily pricing, you would divide the fixed price by the number of days in the month.

9) If you are long natural gas and convert a fixed price to daily pricing, you would expect prices to increase if the daily market price is higher than the fixed price. If you are short, you would expect prices to decrease.

10) The economic incentive that has caused the world price of natural gas to evolve from crude oil indexed is the increasing availability of natural gas and the development of new technologies for extracting and transporting natural gas.

11) It is expected that the world price of natural gas will be Henry Hub related because of the increasing role of the United States as a global natural gas supplier, and the growing importance of Henry Hub as a global pricing benchmark.

Explanation:

How do computers convert physical signals into digital data?​

Answers

This is done by connecting a device called a modem to the digital computer. This process of converting a digital signal to an analog signal is known as modulation. On the receiving end, the incoming analog signal is converted back to digital form in a process known as demodulation.

computers convert physical signals into data by connecting a device called a modem to the computer.

What is the cost of implementation, and why does it matter? How do you minimize it?

Answers

The cost of implementation refers to the expenses that a company incurs in order to implement a new processor technology. By minimizing this cost through careful planning, prioritization and  companies can achieve their goals while preserving their bottom line.

This cost includes everything from the initial investment in hardware and software to the ongoing maintenance and support required to keep the system running smoothly. The cost of implementation is an important factor to consider because it directly impacts the overall profitability of the company.

Minimizing the cost of implementation is important because it can help a company to achieve its goals without overburdening its finances. To minimize the cost of implementation, a company can start by conducting a thorough cost-benefit analysis to determine the potential return on investment (ROI) of the new process or system.

This analysis should take into account not only the direct costs of implementation but also the indirect costs, such as training, support, and downtime.Other strategies for minimizing the cost of implementation include:Prioritizing the most critical aspects of the implementation and postponing less critical components until later.

Choosing a scalable solution that can grow with the company and reduce the need for future upgrades. Working with experienced vendors or consultants who can provide guidance and support throughout the implementation process. Implementing the new system or process in stages rather than all at once, which can reduce the risk of disruption to daily operations.

Overall, the cost of implementation is an important consideration for any company looking to implement new processes, systems, or technologies.

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Which of the following types of benefits communication is most preferred by employees?
group meetings
work e-mail
handouts
enrollment materials
individual one-on-one meetings

Answers

The most preferred type of benefits communication by employees varies from person to person. But according to a survey conducted by the International Foundation of Employee Benefit Plans, individual one-on-one meetings are the most effective and preferred way to communicate benefits information.

These meetings allow for personalized attention and the opportunity for employees to ask specific questions that pertain to their unique situations. Group meetings and handouts are also effective, as they allow for wider dissemination of information, but they may not provide the same level of individual attention as one-on-one meetings. Work e-mail and enrollment materials can be useful supplements to other forms of communication, but they may not be the most effective standalone methods for communicating benefits information.

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A machine operator can program machine #1

Answers

Answer:

yes they can i believe you can achieve anything if you put your mind to it...

Explanation:

(The question is asking to find the value of NPER using PV, Rate, and PMT) Your friend gets a credit card with $20,000 available credit on it and starts charging all their expenses to it not just groceries, gas, and essentials but shopping sprees, plane tickets and a vacation too. Eventually the card is maxed out. Their statement reads "Minimum Payment due: $35"so that's the amount they start paying each month to pay off the debt. The credit card company charges 24% interest (annual rate) on the unpaid principal balance. If your friend only pays the minimum payment and doesn't spend any more money using the card going forward, how long in months will it take to pay off the $20,000? PV RATE PMT NPER

Answers

To find the value of NPER using PV, Rate, and PMT, you can use the formula for calculating the number of periods it takes to pay off a loan. It will take 401.51 months for your friend if he only pays the minimum payment of $35.

PV represents the present value, which is the initial amount of the loan or debt. In this case, it is $20,000.
Rate represents the interest rate per period.

In this case, it is 24% per year, so the monthly rate would be

(24% / 12) = 2% or 0.02.
PMT represents the payment made each period. In this case, it is $35.

To find NPER, we can use the NPER function in a financial calculator or spreadsheet software.

Using the formula NPER (rate, PMT, PV), we have:
NPER(0.02, -35, 20000)

By plugging in the values, we can calculate that it will take approximately 401.51 months to pay off the $20,000 debt if your friend only pays the minimum payment of $35 each month.

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The unemployment rate in a town in which 65,400 persons are employed and 11,000 are unemployed equals:

Answers

Based on the number of people that are employed and those who are unemployed in this town, the unemployment rate is 14.4%.

What is the unemployment rate?

The unemployment rate can be found by the formula:
= Employed people / (Unemployed + Employed people)

Solving gives:

= (11,000) / (65,400 + 11,000)

= 11,000 / 76,400

= 14.4%

In conclusion, the rate is 14.4%.

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Ava went shopping for a new pair of pants. The listed price of the pair of pants was $21, but the price with tax came to $21. 63. Find the percent sales tax.

Answers

The percent sales tax is 3%.

Solution:

(21.63/21) x 100 = 103

So, The percent sales tax = 103.00 - 100 = 3%.

Convert the tax rate to a decimal by moving the decimal point two places to the left. Multiply the pre-tax value by the recalculated decimal value to get the sales tax cost. Add the VAT value to the pre-tax value to calculate the total cost.

Similar in some respects to a sales tax in which the full amount owed to the government is paid by the consumer at the point of sale. With sales tax, a portion of the tax amount is paid by various parties to the transaction. Sales tax is an additional amount that you pay based on a percentage of the selling price of the goods or services you purchase.

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The listed price of the pair of pants was $21, but the price with tax came to $21. 63. the percent sales tax: is $21.40.

A transaction that includes an exchange of services or goods for a certain amount of money is known as a sale. In other words, any activity that involves transferring the ownership of a good or commodity to the buyer in exchange for a monetary price is known as a sale.

Sales and marketing are crucial pillars of every business. They are closely linked and act as a catalyst for generating revenue (profit). While marketing is about building awareness about a brand and organization, sales turn that viewership into profits by converting the potential customers into actual customers.

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the theory advocates government intervention in highly capital-intensive, high entry-barrier industries in which domestic firms may have little chance without government assistance. group of answer choices product life cycle laissez faire strategic trade absolute advantage

Answers

The strategic trade theory advocates government mediation profoundly capital-serious, high passage obstruction businesses in which homegrown firms might have minimal possibility without government assistance. option (C) is correct.

Strategic trade is the control of the product, import, global travel, and parcel of specific wares to specific beneficiaries or for guaranteed end-utilizes/end-clients and in specific conditions.

Strategic trade policy (STP) is an administration strategy that endeavors to move overabundance benefits in oligopolistic global business sectors toward the nation of origin firms. For instance, a Chief at the same time seeking a specific degree of productivity and piece of the pie expansions in new developing markets.

Therefore, option (C) is correct.

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

The theory advocates government intervention in highly capital-intensive, high entry-barrier industries in which domestic firms may have little chance without government assistance. group of answer choices product (A) life cycle

(B) laissez faire

(C) strategic trade

(D) absolute advantage

please describe the pros and cons of globalization of business
within each of these countries. (China, North Korea, and India)

Answers

Globalization of business can be described as the process by which businesses from one country expand their operations to other countries. It has both advantages and disadvantages to the countries in which it is implemented.




There has been exploitation of Chinese workers, who are forced to work long hours for low pay.There has been environmental pollution caused by industries.


Globalization has led to the loss of jobs for Chinese workers as some companies have relocated to other countries where labor is cheaper.

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How do you give brainliest?

Answers

Answer:

you press the crown

Explanation:

Answer: you have to wait a lil bit then get back on the question you answer then it'll show a crown in the side of you screen and press it if you want to

Explanation:

A measure that describes the cash remaining from operations after adjustment for capital expenditures and dividends is adjusted cash from operations. cash provided by operations. free cash flow. net cash provided by operating activities.

Answers

Answer:

free cash flow

Explanation:

The free cash flow is the cash flow in which the company cash would be initiated after cash outflows so that it maintained the capital assets

In simple words, the remaining cash that left after making an adjustment related to the capital expenditures and the dividend is known as free cash flow

Therefore the above is the answer

Consider the attached table which gives labor requirement coefficients used in the production of any and Cares for Home and foreign countries. Based on the white trade patterns for the Home and Foreign country Country Labor Coeniciant Laborcon for Candy for Cake Houl 3 origen a Foreign will export Candy and import cake Ob Foreign will export cake and import candy Oc Home will export candy and import cake d. Home will export cake and import candy e Both (a) and (d) are true

Answers

Based on the given information and trade patterns, the correct option is E - Both (a) and (d) are true. This means that both the foreign country will export candy and import cake (Option a) and the home country will export cake and import candy (Option d).

According to the labor requirement coefficients, the foreign country has a lower labor coefficient for candy production compared to the home country. This indicates that the foreign country has a comparative advantage in candy production and is likely to export candy. On the other hand, the home country has a lower labor coefficient for cake production, suggesting a comparative advantage in cake production and a likelihood of exporting cake.

Based on these comparative advantages, the trade patterns emerge. The foreign country will export candy (Option a) and import cake, while the home country will export cake (Option d) and import candy. This reflects the principle of comparative advantage, where countries specialize in producing goods in which they have a lower opportunity cost, resulting in mutually beneficial trade.

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Imagine that you are a manager in a restaurant. Each month you have to purchase supplies for the restaurant. A meat supplier offers you a kickback of 10% if you purchase meat from him, even though his prices are slightly higher than the competitors. What would you do? Why?

Answers

Answer:

i would say that his prices were a little high and ask for 20% off if he cant give that off then i would just say okay. why? because that's the plight thing to do.

Explanation:

hope this help.

brainiest please

Answer:

I hope this helps :)

Explanation:

Well I feel like I would purchase the meat based on quality. Of course it's going to cost me more, but you can't go wrong with better product. If the other places are selling meat for less, but the quality is bad what's the point. I definatly would choose quality over quanity when it comes to the purchase of meat.

Self-Supporting Growth Rate Maggie's Muffins Bakery generated $2 million in sales during 2021, and its year-end operating assets were $1.6 million. Also, at year-end 2021, current liabilities were $1 million, consisting of $300,000 of notes payable, $500,000 of accounts payable, and $200,000 of accruals. Looking ahead to 2022, the company estimates that its operating assets must increase at the same rate as sales, its spontaneous liabilities will increase at the same rate as sales, its profit margin will be 3%, and its payout ratio will be 40%. How large a sales increase can the company achieve without having to raise funds externally—that is, what is its self-supporting growth rate? Do not round intermediate calculations. Enter your answer for sales increase in dollars. For example, an answer of $2 million should be entered as 2,000,000. Round the monetary value to the nearest dollar and percentage value to one decimal place. Sales can increase by $ that is by %. I

Answers

To calculate the self-supporting growth rate, we need to consider the change in operating assets, spontaneous liabilities, profit margin, and payout ratio.

Given information:

Sales in 2021: $2,000,000

Year-end operating assets in 2021: $1,600,000

Current liabilities in 2021: $1,000,000

Notes payable: $300,000

Accounts payable: $500,000

Accruals: $200,000

Profit margin: 3% (0.03)

Payout ratio: 40% (0.40)

First, we need to calculate the operating assets and spontaneous liabilities in 2022, assuming they increase at the same rate as sales:

Operating assets in 2022: $2,000,000 (sales in 2021) * (operating assets in 2021 / sales in 2021) = $2,000,000 * ($1,600,000 / $2,000,000) = $1,600,000

Spontaneous liabilities in 2022: $2,000,000 (sales in 2021) * (spontaneous liabilities in 2021 / sales in 2021) = $2,000,000 * ($1,000,000 / $2,000,000) = $1,000,000

Next, we calculate the retained earnings in 2022:

Retained earnings in 2022: $2,000,000 (sales in 2021) * (profit margin) * (1 - payout ratio) = $2,000,000 * 0.03 * (1 - 0.40) = $60,000

To find the sales increase that the company can achieve without raising external funds, we subtract the change in operating assets and spontaneous liabilities from the retained earnings:

Sales increase without external funds = Retained earnings - Change in operating assets - Change in spontaneous liabilities

Sales increase without external funds = $60,000 - ($1,600,000 - $1,600,000) - ($1,000,000 - $1,000,000) = $60,000

Therefore, the company can achieve a sales increase of $60,000 without having to raise funds externally.

To calculate the self-supporting growth rate, we divide the sales increase by the sales in 2021 and multiply by 100:

Self-supporting growth rate = (Sales increase / Sales in 2021) * 100

Self-supporting growth rate = ($60,000 / $2,000,000) * 100 = 3%

Hence, the company's self-supporting growth rate is 3%, and it can achieve a sales increase of $60,000 without external funding.

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Pompeii, Inc., has sales of $53,000, costs of $24,200, depreciation expense of $2,550, and interest expense of $2,300. If the tax rate is 24 percent, what is the operating cash flow, or OCF

Answers

Answer:

$23,052

Explanation:

The computation of operating cash flow is shown below:-

Before that we have to determine the net income which is

Income statement

Sales $53,000

Cost ($24,200)

Depreciation ($2,550)

EBIT $26,250

Interest expense ($2,300)

Earnings before tax $23,950

Tax (5,748)

(24% × $23,950)

Net income $18,202

Now,

Operating cash flow = EBIT + Depreciation - Tax

= $26,250 + 2,550 - $5,748

= $23,052


1. Personal Characteristics Jack Ma possess (In accordance with the discussion in
the lesson, give at least three.)
2. Key takeaways you've got from him. (Use your own words, give at least three)
3. In your own words, explain how Jack Ma thinks compared to typical individual​

Answers

Answer:

knock knock.................................

more economically developed economies (the united states and united kingdom) have a need for more complex accounting standards. true or false

Answers

The statement "More economically developed economies (the United States and United Kingdom) have a need for more complex accounting standards" is true because The United States and the United Kingdom are economically developed nations, and their financial systems are among the most complex in the world. Their economies are heavily influenced by global trade, and they are home to some of the world's largest companies.

What are accounting standards?

Accounting standards are standards or laws created to standardize financial reporting practices across firms. They serve as guidelines to ensure that financial reporting is complete, consistent, and transparent, and that the information contained in financial statements is useful and relevant to users. They are a critical part of accounting because they make financial statements more meaningful and credible. The need for complex accounting standards in more economically developed economies.

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Do you think employees should be given a reason for being fired? Explain your answer.

Answers

Answer:

MOST DEFINETLY!!

Explanation:

If they never find out what they did wrong they can never learn from their mistake(s)! if your given a warning, that means to stop!

YESSSSSSS ITS KINDA MESSED UP NGL

What is the best way to deal with volatility and get the best return on your investment?
A.
Invest only in very safe investments.
B.
Put your money in a savings account.
C.
Avoid investments that create capital gains.
D.
Use diversification.

Answers

The best way to deal with the volatility and get the best return on your investment is to put your money in a savings account. The correct option is b.

What is a savings account?

A Savings Account, by definition, allows you to deposit your money safely with the bank, so you don't have to carry it around with us or hide it in that rusted old steel safe at home. We can withdraw these funds when you need them. There are different types of savings accounts to choose from, and they're not all alike.

The options include traditional savings accounts, high-yield savings accounts, money market accounts, certificates of deposit, cash management accounts and speciality savings accounts.

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Which characteristic of an epic hero is most reflected in this excerpt? the ability to persuade others through speech the ability to act as a strong warrior and leader the courage to embark on a challenging journey the courage to undertake life-threatening risks.

Answers

Answer:

A.  the ability to persuade others through speech

Explanation:

The characteristic of an epic hero is the ability to persuade others through speech. Therefore, Option A is the correct statement.

What is the summary of the book Gilgamesh?

Gilgamesh is an English-language version of the world's oldest epic that follows the adventure of conquest and self-discovery through the king of Uruk, in a version that consists of advent that locations the tale in its historic and cultural context.

Therefore, The characteristic of an epic hero is the ability to persuade others through speech. Option A is the correct statement.

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one of the key metrics that investors use to value companies is the pe multiple. this is the price earnings multiple. it means investors will pay a certain price for every $1 of earnings. historically, the index of us stocks has traded in the area equivalent to a pe multiple of:

Answers

The historical index of US stocks has typically traded in the area equivalent to a Price Earnings (PE) multiple of 15-25.

The price-earnings (PE) multiple is a valuation metric used by investors to compare the price of a stock to its earnings per share. It is calculated by dividing the market price per share by the earnings per share (EPS) for the most recent 12-month period. The resulting number represents the amount that investors are willing to pay for each dollar of earnings.

A PE multiple of 15 to 20 means that investors are willing to pay $15 to $20 for every $1 of earnings.

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what is equal billing and how can it help you when creating your monthly budget?

Answers

Answer:

a check book

Explanation:

it keep everything down

Equal billing, which divides the cost of a service or product equally between two or more parties, can be useful when making a monthly budget because it enables you to precisely estimate and budget for your spending.

What is Budget?

A budget refers to making financial planning for the expenses that are going to occur and controlling the spending of an individual. The budget gives an estimate of the expenses.

Equal billing can help you in eliminating arguments or disagreements about who is responsible for a service or product with other parties. You can prevent any potential disputes or problems by agreeing to split the cost equally.

By doing this, you can prevent unanticipated expenditures and make sure you have enough money to pay for all of your necessary bills.

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On December 31, Year 1 Adam Company incurred $3,000 of accrued salary expense. The Year 2 recognition of the cash payment for these expenses Multiple Choice a) decreases the amount of liabilities shown on the Year 2 balance sheet. b) decreases the amount of salary expense recognized In Year 2. c) Increases the amount of liabilitles shown on the Year 2 balance sheet. d) Increases the amount of salary expense recognized In Year 2

Answers

The correct answer is c) Increases the amount of liabilities shown on the Year 2 balance sheet.

What is liabilities?

Liabilities are a company’s financial obligations or debts. They are usually documented on a company’s balance sheet and include both short and long-term debts. These can include loans, accounts payable, mortgages, deferred revenues, bonds, and other financial obligations incurred by a company. Liabilities are an important part of understanding a company’s financial position, as they represent money that is owed to creditors. Companies use liabilities to finance operations or purchase items they need to run their business.

The payment of the accrued salary expense of $3,000 on December 31, Year 1 results in an increase in liabilities on the Year 2 balance sheet. This is because the Year 2 cash payment for the salary represents a current liability, meaning it is an obligation to be paid in the near future. As a result, the total amount of liabilities on the Year 2 balance sheet will increase by the amount of the accrued salary expense.

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Net Income ($82)
Charges in Working Capital $100
FCFO
$[?]
Disposal of PPE
$150
Purchase of PPE
($27)
FCFI
$[ ]
Issuance of Stock $540
Dividend Payment ($110)
Issuance of Debt
$68
Debt Repayment ($25)
Interest Expense ($75)
FCFF$[
Total FCF $[
Fill in the blanks
on this financial
statement.
$[ ]

Net Income ($82)Charges in Working Capital $100FCFO$[?]Disposal of PPE$150Purchase of PPE($27)FCFI$[

Answers

1) Net Income ($82) Charges in Working Capital $100FCFO $182.

2) Disposal of PPE ($150) Purchase of PPE ($27) FCFI $177.

3) Issuance of Stock ($540) Dividend Payment ($110) Issuance of Debt $68 Debt Repayment ($25) Interest Expense ($75) FCFF $398.

4) Total FCF $757.

1) The Free Cash Flow to Firm (FCFF) can be calculated by

FCFF = Net Income + Charges in Working Capital - Capital Expenditures

FCFF = $82 + $100 - $0

FCFF = $182

2) The Free Cash Flow to Investing (FCFI) can be calculated by:

FCFI = Proceeds from Disposal of PPE - Purchase of PPE

FCFI = $150 - (-$27)

FCFI = $177

3) The Free Cash Flow to Equity (FCFE) can be calculated by

FCFE = Cash generated from Operating Activities - Dividend Payment + Net Cash Flow from Financing Activities

FCFE = ($540 - $110) + ($68 - $25 - $75)

FCFE = $398

4) The Total Free Cash Flow can be calculated by :

Total Free Cash Flow = FCFF + FCFI + FCFE

Total FCF = $182 + $177 + $398

Total FCF = $757.

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The complete question is:

Fill in the blanks on this financial statement

1) Net Income ($82) Charges in Working Capital $100FCFO $__________.

2) Disposal of PPE ($150) Purchase of PPE ($27) FCFI $___________.

3) Issuance of Stock $540 Dividend Payment ($110) Issuance of Debt ($68) Debt Repayment ($25) Interest Expense ($75) FCFF $ ________.

4) Total FCF $_____________

Which of the following paycheck withholdings goes towards taking care of the elderly
and disabled people?

Answers

Answer:

SSI Tax or SSDI

Explanation:

Output Total Costs
100 $400
101 402
102 405
103 409
104 414
105 420
106 427
107 435
Refer to the table at right. If the price is​ $5, the maximum economic profits this firm could earn is
A.
​$414.
B.
​$106.
C.
​$520.
D.
​$420.

Answers

The maximum economic profit this firm could earn when the price is $5 is $106. Hence, option B is the correct answer.

To determine the maximum economic profit, we need to identify the quantity at which the profit is maximized. From the table, we observe that the price of $5 corresponds to a quantity of 105 units, which results in a cost of $420. Economic profit is calculated by subtracting the cost from the revenue.

As the question asks for the maximum economic profit, we assume that all units can be sold at the given price. Therefore, the revenue would be $5 multiplied by the quantity of 105, which equals $525. Subtracting the cost of $420 from the revenue gives us a maximum economic profit of $105. Hence, the correct answer is option B, $106 (rounded to the nearest dollar).

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