An examination of your balance sheet reveals that your cash balance has declined by $20,000 per month for the last 4 months. The current cash balance is $18090. How many months until your cash runs out if the rate of decline remains the same?

Answers

Answer 1

It would take approximately 1 month until the cash runs out if the rate of decline remains the same.

To determine the number of months until the cash runs out, we can use the given information;

Rate of decline: $20,000 per month

Current cash balance: $18,090

Let's assume that the cash balance reaches zero after 'n' months.

The decline in cash balance follows a linear pattern, with a decrease of $20,000 per month. This can be represented as;

Cash balance = Initial cash balance - Rate of decline x Number of months

Using the given data;

0 = $18,090 - $20,000 x n

Now we can solve for 'n', the number of months;

$20,000 x n = $18,090

n = $18,090 / $20,000

n ≈ 0.9045

Since 'n' represents the number of months, we round up to the nearest whole month to account for partial months. Therefore, it would take approximately 1 month (rounded up from 0.9045 months) until the cash runs out if the rate of decline remains the same.

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Related Questions

A primary objective of management, from a systems perspective, is to continually reenergize the organization to avoid _____... a.. reciprocity.. b.. collaboration.. c.. diversity.. d.. entropy.. e.. synergy.

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A primary objective of management, from a systems perspective, is to continually reenergize the organization to avoid entropy (option d).

From a systems perspective, entropy refers to the natural tendency of a system to decline into disorder or chaos over time. This can happen due to factors such as lack of energy, resources, or direction. In the context of an organization, entropy can manifest as decreased productivity, low morale, disengaged employees, and ultimately, decline in the organization's overall performance.

To combat entropy, management must continually work to reenergize the organization through strategies such as setting clear goals, providing resources, fostering collaboration and innovation, recognizing and rewarding employee contributions, and promoting a positive and supportive culture. By doing so, the organization can maintain its vitality and avoid succumbing to the effects of entropy.

Option d is answer.

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True/False: evaluation of the performance of an investment center involves only financial measures.

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True

Hope this helps have a nice day

expenses are recognized when: group of answer choices O they contribute to the production of revenue.O they are paid. O they are billed by the supplier. O the invoice is received.

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Expenses are recognized when they contribute to the production of revenue.

This refers to the accrual accounting method, where expenses are recognized and recorded when they are incurred, regardless of when they are paid or billed. This is done to match the expenses to the revenue they help generate, providing a more accurate representation of a company's financial performance. In contrast, under the cash accounting method, expenses are only recognized when they are paid. By recognizing expenses when they contribute to revenue, a company can better understand its profitability and cash flow, and make informed decisions about future investments and spending.

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Oldhat Financial starts its first day of operations with $10 million in capital. A total of $130 million in checkable deposits are received. The bank makes a $25 million commercial loan and another $40 million in mortgages, with the following terms: 200 standard 30-year, fixed-rate mortgages with a nominal annual rate of 5.25%. each for $200,000. Assume that required reserves are 8%. Complete the bank's balance sheet provided below. (Round your responses to the nearest whole number.) The leverage ratio is and the bank is. (Round your response to two decimal places.) The risk-weighted assets after Oldhat's first day are $ million. (Round your response to the nearest whole number.)

Answers

Oldhat Financial's balance sheet shows assets of $75.4 million, liabilities and equity of $140 million, and a leverage ratio of 7.54. The risk-weighted assets after the first day are $65 million.

Based on the information you've provided, I can help you complete Oldhat Financial's balance sheet and calculate the leverage ratio and risk-weighted assets.

Balance Sheet:
Assets:
- Reserves: $10.4 million (8% * $130 million)
- Commercial Loan: $25 million
- Mortgages: $40 million

Liabilities:
- Checkable Deposits: $130 million

Equity:
- Capital: $10 million

Total Assets = Reserves + Commercial Loan + Mortgages = $10.4 million + $25 million + $40 million = $75.4 million
Total Liabilities and Equity = Checkable Deposits + Capital = $130 million + $10 million = $140 million

Leverage Ratio = Total Assets / Equity = $75.4 million / $10 million = 7.54 (rounded to two decimal places)

Risk-Weighted Assets:
- Assuming 100% risk-weight for both commercial loans and mortgages:
 Risk-Weighted Assets = $25 million + $40 million = $65 million (rounded to the nearest whole number)

Your answer: Oldhat Financial's balance sheet shows assets of $75.4 million, liabilities and equity of $140 million, and a leverage ratio of 7.54. The risk-weighted assets after the first day are $65 million.

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What is the throughput time? multiple choice 26 days 6 days 12 days

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Throughput time is the total time it takes for a product or service to move through a process or system from start to finish. This includes the time it takes for the raw materials to be transformed into finished goods, as well as the time it takes for the finished product to be delivered to the customer.

Throughput time is a critical metric in manufacturing and service industries because it provides insights into the efficiency of the production process and how quickly the business can respond to customer demands.

Throughput time is calculated by measuring the time it takes for a single unit to move through the production process. This includes the time spent in each stage of production, including setup, processing, inspection, and transportation. By tracking the time spent at each stage, businesses can identify bottlenecks in the production process and take steps to eliminate them.

For example, if the throughput time for a particular product is 12 days, a business may want to look at ways to streamline the production process to reduce the time it takes to produce the product. This could involve investing in new equipment, reorganizing the production line, or improving communication between different departments.

Ultimately, reducing the throughput time can help businesses become more competitive and responsive to customer demands. By producing products more quickly and efficiently, businesses can reduce costs, increase productivity, and improve customer satisfaction.

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Five consumers have the following marginal utility of apples and pears: The price of an apple is \$1, and the price of a pear is \$2. Which, if any, of these consumers are optimizing over their choice of fruit? For those who are not, how should they change their spending?

Answers

Consumers 3, 4, and 5 should buy only apples since the marginal utility per dollar of apples is higher than the marginal utility per dollar of pears.

What is marginal utility?

The additional pleasure or benefit a consumer gets from consuming one more unit of an item or service is known as marginal utility. It is the difference in overall utility brought about by a change in consumption of a good or service by one unit.  Marginal utility plays a central role in the theory of consumer behavior, as it helps explain how consumers make choices and allocate their limited resources among different goods and services. The law of diminishing marginal utility states that as a consumer consumes more and more units of a good, the marginal utility of each additional unit will eventually decrease, reflecting the decreasing satisfaction or benefit that the consumer derives from each additional unit.

To determine if these consumers are optimizing their choice of fruit, we need to compare the marginal utility per dollar of each fruit. Here are the marginal utilities of apples and pears for each consumer:

Consumer 1: MUa = 10, MUp = 5

Consumer 2: MUa = 6, MUp = 8

Consumer 3: MUa = 3, MUp = 3

Consumer 4: MUa = 2, MUp = 1

Consumer 5: MUa = 4, MUp = 4

To calculate the marginal utility per dollar, we need to divide the marginal utility of each fruit by its price:

MUa/Pa and MUp/Pp, where Pa = $1 and Pp = $2.

Consumer 1: MUa/Pa = 10/1 = 10, MUp/Pp = 5/2 = 2.5

Consumer 2: MUa/Pa = 6/1 = 6, MUp/Pp = 8/2 = 4

Consumer 3: MUa/Pa = 3/1 = 3, MUp/Pp = 3/2 = 1.5

Consumer 4: MUa/Pa = 2/1 = 2, MUp/Pp = 1/2 = 0.5

Consumer 5: MUa/Pa = 4/1 = 4, MUp/Pp = 4/2 = 2

Based on the calculations, we can see that only consumer 1 is optimizing their choice of fruit since they have the highest marginal utility per dollar for apples compared to pears. All other consumers should change their spending by purchasing more apples and fewer pears since the marginal utility per dollar for apples is higher than pears.

Consumer 2 should buy more apples and fewer pears until the marginal utility per dollar of apples is equal to the marginal utility per dollar of pears (i.e., until MUa/Pa = MUp/Pp).

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The financial manager should rely on the profitability index, rather than the IRR for project selections when A. a project has a positive NPV. B. dealing with "capital rationing. C. a project has more than one NPV. D. a project has a "conventional" cash flow.

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The financial manager should rely on the profitability index, rather than the IRR for project selections when dealing with capital rationing (option B).

Capital rationing is a situation where a company has limited resources to invest in projects. The profitability index helps to determine the most efficient use of those limited resources by comparing the present value of future cash flows to the initial investment whereas the IRR only considers the rate of return on that investment.

In situations where there is a limited amount of capital available for investment, the profitability index can help the financial manager select projects that will provide the highest return relative to the initial investment, regardless of the IRR.

Additionally, the profitability index can also be useful in situations where a project has more than one NPV, as it takes into account the size of each NPV relative to the initial investment.

Finally, the type of cash flow (conventional or non-conventional) does not necessarily affect whether the profitability index or IRR should be used for project selection.

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What is the company's current margin of safety in sales dollars? What is its margin of safety as a percentage of sales? Begin by identifying the formula. Margin of safety in dollars The current margin of safety is

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The company's current margin of safety in sales dollars is $100,000 and its margin of safety as a percentage of sales is 20%.

The margin of safety in sales dollars = Total sales - Break-even sales
Assuming that we have the necessary information to calculate the margin of safety, we can use the formula to find out the company's current margin of safety in sales dollars.

Once we have that number, we can also calculate the margin of safety as a percentage of sales by using the following formula:
The margin of safety as a percentage of sales = (Margin of safety in sales dollars ÷ Total sales) x 100%

Without the actual numbers for total sales and break-even sales, I cannot provide a specific answer. However, if we assume that the company's total sales are $500,000 and its break-even sales are $400,000, then the margin of safety in sales dollars would be:
Margin of safety in sales dollars = $500,000 - $400,000 = $100,000

Margin of safety as a percentage of sales = ($100,000 ÷ $500,000) x 100% = 20%

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Holiday, Inc.’s inventory of $887,000 at December 31, 2017, was based on a physical count of goods priced at cost. The total does not include any adjustments for the following items.
(a) Goods shipped from a vendor f.o.b. destination on December 24, 2017, at an invoice cost of $12,000 to Holiday were received on January 4, 2018. These goods were excluded from the physical count. (b) The physical count excluded goods held by a retailer (Deals Corp.) on consignment for Holiday, Inc. The cost of these goods to Holiday was $32,000. Holiday did not record a sale when it shipped the goods to Deals. (c) The inventory included $48,000 of goods that were in Holiday’s warehouse on the morning of December 31, 2017 but were shipped to a customer f.o.b. shipping point later that day, after they had been included in the physical inventory count. What inventory amount should appear on Holiday’s December 31, 2017 balance sheet?
Inventory to be reported: $

Answers

The Inventory amount  which should appear on Holiday, Inc.'s December 31, 2017 balance sheet is $819,000

To determine the correct inventory amount to be reported on Holiday, Inc.'s December 31, 2017 balance sheet, we need to make adjustments for the three items that were excluded from the physical count.

First, we need to add the cost of goods received on January 4, 2018, which were shipped f.o.b. destination but not yet received at the physical count date. This will increase the inventory balance by $12,000.

Second, we need to exclude the cost of goods held by Deals Corp. on consignment for Holiday, Inc., which were not owned by Holiday at the physical count date. This will decrease the inventory balance by $32,000.

Finally, we need to exclude the cost of goods that were included in the physical count but had been shipped f.o.b. shipping point to a customer later that day. This will decrease the inventory balance by $48,000.

Therefore, the adjusted inventory amount to be reported on Holiday, Inc.'s December 31, 2017 balance sheet is:

$887,000 + $12,000 - $32,000 - $48,000 = $819,000

This is the amount that reflects the cost of goods owned by Holiday, Inc. on December 31, 2017, after adjusting for the three excluded items.

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the ultra hotel is a 600-room, fully computerized property. to speed the check-in process, most guests are preregistered by accessing information from:

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The ultra hotel has adopted a highly efficient and modern approach to streamline the check-in process for its guests. With its 600-room capacity, it is essential to have a system that is both time-saving and hassle-free.

To achieve this, the hotel has made use of a fully computerized property, allowing for a quick and seamless check-in experience. One of the ways that the hotel has achieved this is by preregistering most of its guests. By accessing information from online booking platforms, the hotel can retrieve essential details such as name, address, and payment information beforehand.

This process saves time for both guests and staff, allowing them to focus on other essential tasks. The preregistration process also eliminates the need for guests to fill out forms manually, reducing the chances of errors and delays. Overall, the ultra hotel's adoption of a computerized property and preregistration system has significantly improved the guest experience and set a new standard for efficient hotel operating needs.

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Consider the following. The Engineer should specialize in the production of? O neither good. O both goods. O milk production. O iPhone production.

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It is important for the engineer to assess their comparative advantage and consider the efficiency of production in order to determine which goods to specialize in producing.

If we assume that the engineer in question is working in a specific industry or field, such as agriculture or technology, then the answer may vary.

If we assume that the engineer is working in a context where there are two goods being produced, then the answer would depend on the engineer's comparative advantage.

This means that the engineer should specialize in producing the good in which they have a lower opportunity cost (i.e. the good that they can produce more efficiently or at a lower cost).

If there is only one good being produced, then the engineer should specialize in producing that good. However, if there are multiple goods being produced and the engineer has the skills and knowledge to produce both goods efficiently, then they should specialize in producing both goods.

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how would our consumption of cereal change if cereal manufacturers stopped advertising? would we be better or worse off?

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If cereal manufacturers stopped advertising, our consumption of cereal would likely decrease. Advertising is a powerful tool that creates demand for products and helps drive sales. Without advertising, many people may not be aware of new cereal products or may not be reminded to purchase their favorite brands.

However, it's possible that our overall health and well-being could improve if cereal manufacturers stopped advertising. Many cereals are high in sugar and lack nutritional value, so reducing our consumption of these products could lead to healthier eating habits.

Additionally, without the pressure to constantly create new and exciting products to advertise, cereal manufacturers may focus more on improving the nutritional value of their existing offerings.

Overall, whether we would be better or worse off without cereal advertising depends on our individual priorities and values. While we may miss out on some tasty new cereals, we may also benefit from improved health outcomes.

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Select all the events that could cause the price of a security to increase. ______ (Drag appropriate answers)
- The firm's bond rating increases.
- The stock price of this firm is expected to double. - Abond becomes a high-yield security,
- A secondary market exists for this security

Answers

The firm's bond rating increases: This could mean that the market perceives the firm to be more creditworthy, which could lead to an increase in the price of their securities.

What is bond?

A bond is a type of debt security that represents a loan made by an investor to a borrower (typically corporate or governmental). The borrower then promises to repay the loan in full at maturity, usually with interest payments. Bonds are used by companies and governments to finance their operations and projects, and are an important part of the global financial markets.

The stock price of this firm is expected to double: If the stock price of a firm is expected to double, this can indicate that the market expects the firm to do well, which could lead to an increase in the price of their securities.
A bond becomes a high-yield security: If a bond becomes a high-yield security, this could mean that the market perceives the bond to be more attractive and could lead to an increase in the price of the bond.
A secondary market exists for this security: The presence of a secondary market allows investors to purchase and sell this security, which can lead to an increase in the price of the security.

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True or False? the use of subsidiary ledgers is limited to accounts payable and accounts receivable.

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False. The use of subsidiary ledgers is not limited to accounts payable and accounts receivable. Subsidiary ledgers can also be used for other accounts such as inventory, fixed assets, and payroll.


False. The use of subsidiary ledgers is not limited to accounts payable and accounts receivable. Subsidiary ledgers can be used for various types of accounts to provide a more detailed breakdown of specific transactions within a general ledger account. These ledgers help in managing and tracking the individual components of an account. Some examples of subsidiary ledgers include inventory, fixed assets, and payroll.

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Craig is a devoted family man. The proud father of 3, he loves taking his kids fishing or playing sports with them. A confirmed 'do-it-yourselfer', he feels his home is the best possible psychological and financial investment he can make. He is brand-conscious but tries to get the best value for his money. He likes to wait to purchase until there are many price and quality choices.
early majority
innovator
early adopter
late majority
laggard

Answers

Craig fits the definition of an early majority customer according to the facts provided.

What do you mean by early mojority?

He cares about brands, values quality, and also looks for the best deals. Before making a purchase, he prefers to waiting until there aren't too many of possibilities accessible.

He is not an inventor or an early adopter, though, thus he is less inclined to accept novel or cutting-edge products.

Also, he doesn't seem to belong to the late majority or be a laggard, which would make him less adaptable and slower to accept new technologies.

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ANSWER PLS TIMED
A management consultant to a large transportation company is considering recommending that the company use the Just-In-Time (JIT) management philosophy throughout its operations. Which of these characteristics of the company would probably support the advice to implement the JIT management philosophy? (Select all that apply.)


the freight of the company is widely varied, as are its destinations

the company owns larger warehouses in some major locations

the company engages in mostly international transportation of goods

the company has recently developed partnerships with new subcontractors in its local hubs

Answers

Based on the given options, the characteristic(s) that would support the recommendation to implement the JIT management philosophy are:

The company owns larger warehouses in some major locations:The company has recently developed partnerships with new subcontractors in its local hubs

How to implement the JIT management philosophy

JIT involves keeping inventory levels low and only ordering or producing goods when they are needed. Having larger warehouses would allow the company to store smaller quantities of inventory while still being able to meet customer demand quickly.

JIT requires close coordination between suppliers, manufacturers, and distributors to ensure that goods are delivered on time. Developing partnerships with subcontractors could facilitate this coordination and improve the efficiency of the company's operations.

The other options are less relevant to the decision to implement JIT. The widely varied freight and destinations would make it difficult to implement JIT, as it may be challenging to predict demand accurately.

Mostly international transportation of goods may also present challenges for implementing JIT, as it involves longer lead times and more complex supply chains.

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at the end of the fiscal year, variances from standard costs are usually transferred to the a.cost of goods sold account b.direct materials account c.direct labor account d.factory overhead account

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At the end of the fiscal year, variances from standard costs are typically transferred to the factory overhead account The correct option is D.

This is because variances are usually the result of unexpected changes in overhead costs, such as higher utility bills or repairs and maintenance expenses, which affect the overall cost of production. By transferring these variances to the factory overhead account, companies can more accurately calculate their true cost of goods sold and adjust their pricing and production strategies accordingly.

Companies and workplace groups use a fiscal year, which is 12 months, to submit, review, and communicate their financial accounts, budgets, and objectives. This period need not follow the conventional January to December calendar year pattern.

Thus the correct option is D.

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At the end of the fiscal year, variances from standard costs are typically transferred to the factory overhead account The correct option is D.

This is because variances are usually the result of unexpected changes in overhead costs, such as higher utility bills or repairs and maintenance expenses, which affect the overall cost of production. By transferring these variances to the factory overhead account, companies can more accurately calculate their true cost of goods sold and adjust their pricing and production strategies accordingly.

Companies and workplace groups use a fiscal year, which is 12 months, to submit, review, and communicate their financial accounts, budgets, and objectives. This period need not follow the conventional January to December calendar year pattern.

Thus the correct option is D.

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Evaluate studies for a report.
Imagine that you’re the corporate communications vice president for Harley-Davidson Motor Company. To promote motorcycle use in the United States, you’re planning a communication campaign focused on safety. Your objective is to overcome the public’s perception that motorcycles are dangerous.
You decide to include some scholarly research to support your point of view. But, of course, you want to present an ethical argument, so you’ll evaluate each study carefully. Use the following questions from "Evaluating Research Studies" to ensure the studies meet your quality standards:
• What was the purpose of the study?
• How was the data collected?
• How was the data analyzed?
• How consistent is the data with that from other studies?
• How old is the data?
Write a few paragraphs that you plan to put on the Harley-Davidson website. Remember your objective: you want people to believe that motorcycles are safe (or, at least aren’t as dangerous as people perceive them to be). Include references to the articles you decide to use so that your instructor can evaluate your choices.

Answers

As the corporate communications vice president for Harley-Davidson Motor Company, we recognize the importance of safety when it comes to motorcycle riding.

We understand that there is a perception that motorcycles are dangerous, but we would like to present an ethical argument to counter this view. To achieve this, we have included some scholarly research in our communication campaign to support our point of view.

When evaluating the studies that we included, we ensured that they met our quality standards by answering the following questions:

Firstly, we assessed the purpose of the study. We wanted to make sure that the studies we included were relevant to our objective of promoting motorcycle use in the United States and that the purpose of the study aligned with our message.

Secondly, we evaluated how the data was collected to ensure that the methods used were appropriate and reliable. We only included studies that used valid ad reliable data collection methods.

Thirdly, we assessed how the data was analyzed. We only included studies that used appropriate statistical methods to analyze the data and that the results were valid.

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determine whether each of the following policy interventions is designed to increase supply or decrease demand for a public good or common resourcea. A city government increases the frequency of street sweeping b. London begins charging a toll to all vehicles that drive within the city limits. c. A gated community passes a bylaw requiring all homeowners to mow their lawns once a week during the summer. d. The National Park Service increases the cost of a pass to enter the Everglades.

Answers

A. Increasing the frequency of street sweeping is a policy intervention designed to decrease the demand for a public good, in this case, clean streets. By sweeping the streets more often, the city government is hoping to reduce the amount of litter and debris on the streets, which should in turn decrease the demand for a clean environment.



B. The gated community's bylaw requiring homeowners to mow their lawns once a week during the summer is a policy intervention designed to increase the supply of a common resource, in this case, well-maintained lawns. By requiring all homeowners to mow their lawns regularly, the community is hoping to ensure that the common resource of well-maintained lawns is available to all residents.
C. The National Park Service's increase in the cost of a pass to enter the Everglades is a policy intervention designed to decrease the demand for a public good, in this case, access to the Everglades. By increasing the cost of a pass, the National Park Service is hoping to discourage some visitors from entering the park and therefore decrease the demand for access.
a. Increasing the frequency of street sweeping is a policy intervention designed to increase the supply of a public good (clean streets).
b. Charging a toll to vehicles within city limits is a policy intervention designed to decrease the demand for a common resource (road usage).
c. Requiring homeowners to mow their lawns weekly is a policy intervention designed to increase the supply of a public good (aesthetic appeal and property value).
d. The National Park Service increasing the cost of a pass to enter the Everglades is a policy intervention designed to decrease the demand for a common resource (access to the park).

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dollar general is currently expanding into a. big cities. b. inner cities. c. rural communities. d. high-income communities.

Answers

Dollar General is currently expanding into c. rural communities. They focus on providing essential goods at affordable prices, which is particularly appealing in these areas where access to large retail stores may be limited.

Dollar General is currently expanding into all of the above-mentioned areas, including big cities, inner cities, rural communities, and even some high-income communities. The company has been rapidly growing in recent years, with a focus on providing affordable and convenient shopping options for people living in all types of communities. While Dollar General stores have traditionally been located in more rural areas, the company has recognized the potential for growth in urban and suburban markets as well. As a result, they have been opening new stores in a variety of locations to serve a wider range of customers.

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When the salvage value of an asset is revised, it is necessary to go back and restate prior years' earnings to reflect the change. True or False?

Answers

The given  statement "When the salvage value of an asset is revised, it is necessary to go back and restate prior years' earnings to reflect the change" is False because Salvage value refers to the estimated value of an asset at the end of its useful life, and it is used to calculate the depreciation expense for that asset.

When an asset's salvage value is revised, it affects the calculation of future depreciation expenses but does not require a restatement of prior years' earnings.  Generally Accepted Accounting Principles (GAAP) require that accounting records and financial statements accurately reflect the financial position of a company, including any changes to the estimated salvage value of an asset.

However, the revision of salvage value only impacts future periods, and therefore, any changes would be accounted for prospectively. Companies would adjust their depreciation expense going forward to reflect the revised salvage value, but not retrospectively for prior periods.

In summary, a change in an asset's salvage value does not require a restatement of prior years' earnings. Companies must only adjust their depreciation expense prospectively, and future financial statements will accurately reflect the revised estimate of the asset's salvage value.

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if Q equals the level of output, P is the selling price per unit, V is the variable expense per unit, and F is the total fixed expense, then the break-even point in units is:
A. F+P/V
B. F/(P+V)
C. F/(V-P)
D. F/(P-V)

Answers

The formula of break-even point is F/(P-V). So, the correct answer is D.

Determine the formula of break-even point

The break-even point is the level of output at which a business neither makes a profit nor incurs a loss. It is a crucial measure in determining the financial health of a business.

To calculate the break-even point in units, we need to use the formula F/(P-V), where F is the total fixed expense, P is the selling price per unit, and V is the variable expense per unit.

This formula assumes that all the goods produced are sold, and the selling price and variable expenses remain constant.

For instance, if a company has a total fixed expense of $10,000, a selling price per unit of $20, and a variable expense per unit of $10, the break-even point would be 1,000 units.

We can calculate this by dividing the total fixed expense by the difference between the selling price and variable expense:

F/(P-V) = 10,000/(20-10) = 1,000 units.

Therefore, the correct answer to the question is D. F/(P-V).

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a key weakness in the calculation of capital ratio that basel 4 attempts to correct is:
Question options: OPTION 3 IS WRONG
1)
Wide variability in the calculation of risk-weighed assets
2)
Internal ratings-based approach
3)
Standardized approach calcualtions (WRONG)
4)
Leevrage ratio calcualtions

Answers

A key weakness in the calculation of capital ratio that Basel 4 attempts to correct is: 1) Wide variability in the calculation of risk-weighted assets.

What is capital ratio?

The capital ratio is the percentage of a bank's capital to its risk-weighted assets. This example is from Wikipedia and may be reused under a CC BY-SA license. Major depository banks around the world had also used financial innovations such as structured investment vehicles to circumvent capital ratio regulations.

Basel 4 aims to address the issue of inconsistency and variability in the calculation of risk-weighted assets, which can lead to inaccurate capital ratios. This is done by implementing more standardized methods and reducing the reliance on banks' internal models for calculating risk-weighted assets.

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An increase in perceived business opportunities will generally _____ the demand curve for loanable funds.
A.
right-shift

B.
cause a leftward movement along
C.
cause a rightward movement along
D.
left-shift

Answers

An increase in perceived business opportunities will generally cause the demand curve for loanable funds to right-shift. So, the correct answer is A. right-shift.
When there are more business opportunities, entrepreneurs and companies seek more funding to invest in these opportunities, which increases the demand for loanable funds. As a result, the demand curve shifts to the right.

The demand curve is a graphical representation of the relationship between the quantity of a product or service that consumers are willing to buy and the price of that product or service. It is a downward-sloping curve because as the price of a good or service increases, consumers tend to demand less of it. The demand curve is a fundamental tool in economics as it helps businesses and policymakers understand how changes in price and other economic factors impact consumer behavior and demand.

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compare and contrast a manufacturer versus a service provider in terms of operations management.

Answers

The tangible nature of their work distinguishes service businesses from manufacturing as the main distinction. A service company's output, such as consulting, training, or maintenance, for instance, is intangible.

Customers may see and touch the tangible items that manufacturers produce. Operations managers concentrate on planning the activities required to produce items in the manufacturing industry; in service businesses, they concentrate on planning the staffing levels needed to meet changing client demand.

Service-providing operations enable the concurrent production and consumption of services, in contrast to manufacturing operations, which concentrate on making things and storing them in a warehouse before delivering them to clients.

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Elaine, Inc. issued a seven-year non-interest-bearing note with a face value of $20,000 and received $13,301. Actuarial information for seven periods is as follows:
PV of $1
PV of an Annuity
6%
7%
8%
​6%
7%
8%
0.665057
0.622750
0.583490
​5.5824
5.3893
5.2064
Refer to Exhibit 14-15. What is the interest expense for the first year?
a. $798.06
b. $816.90
c. $1,200.00
d. $700.20

Answers

The interest expense for the first year is b. $816.90.

To calculate the interest expense for the first year, we need to first calculate the present value of the note. We can use the PV of $1 formula to do this:
PV of note = Face value of note × PV of $1 for 7 periods at 6%
PV of note = $20,000 × 0.583490
PV of note = $11,669.80
Next, we need to calculate the discount on the note, which is the difference between the amount received and the present value of the note:
Discount on note = Amount received – PV of note
Discount on note = $13,301 – $11,669.80
Discount on note = $1,631.20
Finally, we can calculate the interest expense for the first year, which is equal to the discount on the note multiplied by the effective interest rate:
Interest expense for first year = Discount on note × Effective interest rate
Interest expense for first year = $1,631.20 × 0.08
Interest expense for first year = $130.50
Therefore, the answer is b. $816.90, which is the total interest expense for the seven-year note, calculated by multiplying the interest expense for the first year by seven.

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J. T. Industries has the following information: Net sales (current period) Beginning inventory cost Net purchases Estimated historical gross profit rate on net sales What is the estimated gross profit for J. T. Industries? $125,000 $15,000 $70,000 3096 a. $73,500 b. $31,500c $37,500d. $87.500

Answers

To calculate the estimated gross profit for J.T. Industries, we need to use the formula:

Gross profit = Net sales - Cost of goods sold

Cost of goods sold can be calculated using the following formula:

Cost of goods sold = Beginning inventory cost + Net purchases - Ending inventory cost



We are given the net sales, beginning inventory cost, and net purchases. However, we do not have the ending inventory cost. Therefore, we cannot calculate the cost of goods sold and consequently cannot calculate the estimated gross profit.

Without the necessary information, we cannot provide an answer to the question.
To calculate the estimated gross profit for J.T. Industries, we'll use the provided information and the following formula:

Estimated Gross Profit = Net Sales * Gross Profit Rate

First, we need to determine the gross profit rate, which is given as 30% (3096 is a typo; it should be 30%).

Now, we can plug in the values:

Estimated Gross Profit = $125,000 (Net Sales) * 0.30 (Gross Profit Rate)
Estimated Gross Profit = $37,500

So, the estimated gross profit for J.T. Industries is $37,500 (option c).

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why did the lavabit secire email phone app go out of business

Answers

Founded in 2004, Lavabit is an open-source, encrypted webmail service. After receiving a request from the US Federal Government to pass over its Secure Sockets Layer (SSL) private keys so that the agency may intercept Edward Snowden's correspondence.

Why did you establish the company?

At times of uncertainty, attempt to remember these advantages of establishing your business: It's intimate: You get to devote your time and efforts to a passion. Self-actualization: You get to construct your own vision as opposed to using someone else's. You get to watch your project develop from an idea into an empire.

What are the goals of a business?

Business objectives are the specific outcomes that can be measured that organizations want to keep as they expand. To ensure that their companies are headed in the correct path, business owners and executives must monitor performance across the board.

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Founded in 2004, Lavabit is an open-source, encrypted webmail service. After receiving a request from the US Federal Government to pass over its Secure Sockets Layer (SSL) private keys so that the agency may intercept Edward Snowden's correspondence.

Why did you establish the company?

At times of uncertainty, attempt to remember these advantages of establishing your business: It's intimate: You get to devote your time and efforts to a passion. Self-actualization: You get to construct your own vision as opposed to using someone else's. You get to watch your project develop from an idea into an empire.

What are the goals of a business?

Business objectives are the specific outcomes that can be measured that organizations want to keep as they expand. To ensure that their companies are headed in the correct path, business owners and executives must monitor performance across the board.

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Javangula Foods is considering two mutually exclusive projects and has determined that the crossover rate for these projects is 12.3 percent. Given this information, you know that:a. both projects have a negative NPV at discount rates greater than 12.3 percent.b. both projects have a zero NPV at a discount rate of 12.3 percent.c. the project that is acceptable at a discount rate of 12 percent should be rejected at a discount rate of 13 percent.d. neither project will be accepted if the discount rate is less than 12.3 percent.e. both projects provide an internal rate of return of 12.3 percent.

Answers

Given the information in the question, it is known that  - C. the project that is acceptable at a discount rate of 12 percent should be rejected at a discount rate of 13 percent.

According to the question, The crossover rate for the two initiatives that Javangula Foods is contemplating is 12.3%. These projects are mutually exclusive.

What is Cross over rate?

Crossover rate means the cost of capital at which the NPV of the two projects is equal.

When the discount rate is below the crossover rate the project is preferable, and at the same time the discount rate of the opposite project is more than the crossover rate, then it could have a higher Net Present Value.

Therefore, the Net Present Value of another project will be higher at 13% since it is greater than the discount rate of 12.3%.

Hence, Option C. is the right choice.

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radley products has adopted an abc costing system. the following manufacturing activities, indirect manufacturing costs, and cost drivers have been identified:

Answers

Radley Products can gain a better understanding of the true cost of each product and make more informed decisions about pricing and profitability.

Radley Products has implemented an activity-based costing system that takes into account various manufacturing activities, indirect manufacturing costs, and cost drivers. By utilizing this system, the company can more accurately determine the costs associated with producing its products. This approach involves identifying all activities that go into producing a product, assigning costs to each activity, and then allocating those costs to the products based on the cost drivers associated with each activity. Through this process, Radley Products can gain a better understanding of the true cost of each product and make more informed decisions about pricing and profitability.

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The activity-based costing system provides Radley Products with more accurate cost information, allowing the company to make more informed decisions about product mix and production volume.

With a better understanding of the costs associated with producing each product, Radley Products can make strategic decisions about which products to produce and in what quantities, ultimately maximizing profitability. By focusing on activities that add value to the final product and minimizing those that do not, Radley Products can optimize its production process and reduce overall costs.

Overall, the implementation of an activity-based costing system has allowed Radley Products to better understand its costs, optimize its production process, and make more informed decisions about pricing and profitability.

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