if the euro price per dollar falls, what impact will this change have on the european demand for u.s. goods and the cost of u.s. goods to europeans?

Answers

Answer 1

If the euro price per dollar falls, it means that the euro has weakened relative to the dollar. This change will have the following impacts:

1. European demand for U.S. goods: The fall in the euro price per dollar makes U.S. goods relatively more expensive for Europeans. As a result, the demand for U.S. goods in Europe is likely to decrease. This is because Europeans will need to spend more euros to purchase the same amount of U.S. goods.

2. Cost of U.S. goods to Europeans: Since the euro has weakened, it takes more euros to buy a given amount of U.S. goods. Therefore, the cost of U.S. goods to Europeans increases. Europeans will need to spend more euros to import U.S. goods, making them more expensive in the European market.

Overall, the fall in the euro price per dollar leads to a decrease in the European demand for U.S. goods and an increase in the cost of U.S. goods to Europeans. This can have implications for trade flows and competitiveness between the two regions.

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Related Questions

A corporation reports the following year-end balance sheet data. The company's working capital equals: Cash $ 55,000 Current liabilities $ 90,000 Accounts receivable 70,000 Long-term liabilities 50,000 Inventory 75,000 Common stock 115,000 Equipment 160,000 Retained earnings 105,000 Total assets $ 360,000 Total liabilities and equity $ 360,000

Answers

The working capital of the given corporation equals $60,000.

Working capital is the difference between current assets and current liabilities. It represents a company's liquidity position and its ability to meet short-term obligations. A positive working capital indicates that a company has enough current assets to cover its current liabilities and meet its obligations in the short term. According to the given data, the current assets are as follows: Cash: $55,000Accounts Receivable: $70,000Inventory: $75,000Total Current Assets: $200,000And the current liabilities are as follows :Current Liabilities: $90,000Long-term Liabilities: $50,000Total Liabilities: $140,000. Therefore, the working capital of the corporation would be $200,000 - $140,000 = $60,000.

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Assume actual machine-hours worked during the period of 54,000
hours, (2) estimated machine-hours to be worked during the period
of 54,300 hours, (3) manufacturing overhead applied to production
durin

Answers

It should be noted that the estimated total manufacturing overhead cost for the period is $762,000.

How the calculate the value

Variable Manufacturing Overhead Cost = Actual Machine-Hours Worked × Variable Overhead Rate

Variable Overhead Rate = $432,000 / 54,000 hours

Variable Overhead Rate ≈ $8 per machine-hour

Variable Manufacturing Overhead Cost = Actual Machine-Hours Worked × Variable Overhead Rate

Variable Manufacturing Overhead Cost = 54,000 hours × $8 per hour

Variable Manufacturing Overhead Cost = $432,000

Estimated Total Manufacturing Overhead Cost = Variable Manufacturing Overhead Cost + Estimated Fixed Manufacturing Overhead Cost

Estimated Total Manufacturing Overhead Cost = $432,000 + $330,000

= $762,000

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Assume (1) actual machine-hours worked during the period of 54,000 hours, (2) estimated machine-hours to be worked during the period of 54,700 hours, (3) manufacturing overhead applied to production during the period of $432,000, and (4) estimated fixed manufacturing overhead of $330,000 per period. The estimated total manufacturing overhead cost for the period is closest to:

A lease payment is based on four variables. Which of the following is not one of these variables? The closed-end premium The money, or lease, factor The length (term) of the lease

Answers

The closed-end premium is not one of the variables that determine a lease payment.

Lease payments are typically calculated based on four variables: the money factor, the length (term) of the lease, the capitalized cost (or selling price) of the vehicle, and the residual value. The closed-end premium is not a factor that directly affects the calculation of lease payments.

Since the closed-end premium is not one of the variables, there is no specific calculation or formula associated with it in the context of determining lease payments.

In summary, the closed-end premium is not one of the variables used to calculate lease payments. The other three variables (money factor, lease term, capitalized cost, and residual value) play a role in determining the monthly lease payment amount. Please note that this answer has been generated by the AI model and should be verified with relevant sources or financial professionals to ensure accuracy and currency.

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help
Question Completion Status: QUESTION 1 3 points Saved What is the Equity multiplier (EM)? Using EM, explain how increasing the bank capital would have a negative impact on the ROA for equity holders?

Answers

Equity multiplier (EM) is a financial leverage ratio used to estimate the proportion of assets owned by the equity holders of a company versus the amount of debt used to fund those assets. It measures the degree of a company’s leverage and provides insight into how much debt a company uses to finance its assets.

It is calculated by dividing total assets by total equity. EM = Total Assets / Total Equity. For example, if a company has total assets of $100 million and total equity of $20 million, then the equity multiplier is 5. It means that for every dollar of equity, the company has $5 of assets. The effect of increasing bank capital on the return on assets (ROA) for equity holders is negative. ROA is a profitability ratio that measures how much profit a company earns from its assets. Increasing bank capital would lead to a decrease in EM since the total equity of the bank would increase and the total assets would remain the same. If the EM decreases, it means that the bank is less leveraged, and its ROA would decrease as well. This is because the bank would be making less money on its assets since it has more equity and less debt. Hence, increasing bank capital would lead to a negative impact on the ROA for equity holders.

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QUESTION EIGHT(10 marks) At he beginning of the year(Jan. 1), Bennett drilling has $10,000 of common stock outstanding and retained earnings of $7,200. During the year, Bennett reports net income $7,5

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Bennett Drilling is an oil drilling company that started with $10,000 of common stock outstanding and retained earnings of $7,200 at the beginning of the year (Jan. 1). It reported net income of $7,500 during the year.

In this question, we are required to prepare a statement of changes in equity for Bennett Drilling. The statement of changes in equity provides information about the changes in the company's equity during a given period.

The statement of changes in equity for Bennett Drilling is as follows:Statement of Changes in Equity for Bennett DrillingCommon StockRetained EarningsTotal Equity$10,000$7,200$17,200

Add: Net Income for the Year$7,500Total Comprehensive Income for the Year$7,500Dividends Declared($1,200)($1,200)Total Changes in Equity$7,500($1,200)$6,300The total equity of the company at the beginning of the year was $17,200. During the year, the company reported net income of $7,500.

The total comprehensive income of the company for the year is also $7,500. The dividends declared by the company during the year were $1,200, which is deducted from the total equity to calculate the total changes in equity.

The statement of changes in equity shows that the total equity of the company at the end of the year is $6,300. Therefore, the equity of the company has decreased by $10,900 ($17,200 - $6,300) during the year.

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Consider an investment scenario that returns a level stream of four annual payments of $10,000 each (i.e., an annuity). The first payment occurs at the end of the first year, and the subsequent payments occur at the end of each of the next three years. The discount rate is assumed to be 6% annually. (a) Calculate the present value of the investment as of the beginning of the first period. Use the appropriate present value table. (b) Using the present value tables, calculate how your answer to part (a) would differ if you change the assumption to eight semiannual (end of period) $5,000 payments, with the 6% annual rate being revised to 3% for each semiannual period.

Answers

(a) To calculate the present value of the investment with four annual payments of $10,000 each, we can use the formula for the present value of an annuity:

[tex]\[PV = PMT \times \left(1 - \left(1 + r\right)^{-n}\right) / r\][/tex]

Where:

[tex]PV &\text{ = Present value} \\[/tex]

[tex]PMT &\text{ = Payment amount per period} \\[/tex]

[tex]r &\text{ = Interest rate per period} \\[/tex]

[tex]n &\text{ = Number of periods}[/tex]

In this case, PMT = $10,000, r = 6% (0.06), and n = 4.

Plugging these values into the formula:

[tex]\[PV = $10,000 \times \left(1 - \left(1 + 0.06\right)^{-4}\right) / 0.06\][/tex]

Using a financial calculator or spreadsheet, the present value is approximately $34,759.66.

(b) If we change the assumption to eight semiannual payments of $5,000 each, with a 3% (0.03) interest rate per semiannual period, we need to adjust the formula accordingly.

Now, the number of periods (n) becomes 8, and the interest rate per period (r) becomes 3% (0.03) for each semiannual period. However, the payment amount per period (PMT) remains $5,000.

[tex]\[PV = $5,000 \times \left(1 - \left(1 + 0.03\right)^{-8}\right) / 0.03\][/tex]

Using a financial calculator or spreadsheet, the present value is approximately $34,036.35.

Therefore, by changing the assumption to eight semiannual payments with a revised interest rate of 3% for each semiannual period, the present value of the investment decreases to approximately $34,036.35.

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How does tracking changes relate to sharing a workbook in Excel?
Select an answer:
A. You cannot share the workbook if you track changes.
B. You must share the workbook to track changes.
C. You must track changes to share the workbook.
D. You cannot track changes if you share the workbook.

Answers

You cannot track changes if you share the workbook. Option D.

In Excel, tracking changes and sharing a workbook are two separate functionalities, and they are not directly dependent on each other. However, the option to track changes is not available when a workbook is shared.

When you share a workbook in Excel, multiple users can work on the same workbook simultaneously. This allows for collaboration and real-time updates. When a workbook is shared, changes made by different users are automatically synchronized and merged, ensuring that everyone has the latest version of the workbook.

On the other hand, tracking changes in Excel allows you to keep a record of modifications made to a workbook. When enabled, Excel tracks changes such as edits, additions, or deletions made by users and highlights them. This feature is useful for auditing and reviewing the history of changes made to a workbook.

However, when a workbook is shared in Excel, the option to track changes is disabled. This is because tracking changes can lead to conflicts and inconsistencies when multiple users are simultaneously editing the workbook.

To maintain the integrity and synchronization of the shared workbook, Excel does not allow the tracking of changes while the workbook is being shared.

Therefore, the correct answer is that you cannot track changes if you share the workbook in Excel. SO Option D is correct.

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Final answer:

Sharing a workbook in Excel allows multiple users to edit the same document at once, while tracking changes keeps a record of those edits. They are different but connected features - to track changes, the workbook must first be shared.

Explanation:

Sharing a workbook and tracking changes are two different features in Excel. The correct answer to your question is B: You must share the workbook to track changes., but let me elaborate a bit on the topic for better understanding. Sharing a workbook in Excel allows multiple users to edit the same workbook simultaneously. This is extremely advantageous when collaborating on a project with a team. On the other hand, tracking changes is a feature that keeps a record of all modifications made to the document, including who made the changes and what changes were made. This becomes essential when you want to review, accept, or reject changes made by others. However, do note that to track changes, the workbook does need to be shared first.

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The RAMJAC corporation has productive assets in place which will be worth $5 million or $10 million next year with equal probability. It also has cash in amount $2 million. Additionally, it is considering an investment project which requires an investment of $2 million and will payout $3.1 million with certainty next year. Assume that the appropriate discount rate is 10%.

I) Please compute the payout to RAMJAC's shareholders if the CEO does not take on the investment project but rather pays the cash out as a one-time dividend.
II) Please compute the payout to RAMJAC's shareholders if the CEO uses the cash to invest in the project.
III)Now suppose that RAMJAC also has outstanding debt with face value $8 million due next year. Please compute the payout to RAMJAC's shareholders if the CEO does not take on the investment project but rather pays the cash out as a onetime dividend.
IV) Continue the assumption about debt as in (c). Please compute the payout to RAMJAC's shareholders if the CEO uses the cash to invest in the project.
V) What kind of a problem is this? From your findings in parts I-IV, please

Answers

I)If the CEO does not take on the investment project but rather pays the cash out as a one-time dividend, then there will be two possible scenarios:Scenario 1: The productive assets of RAMJAC Corporation will be worth $5 million. Hence, the total payout will be $2 million + $5 million = $7 million Scenario 2: The productive assets of RAMJAC Corporation will be worth $10 million. Hence, the total payout will be $2 million + $10 million = $12 million

II)If the CEO uses the cash to invest in the project, then the payout to RAMJAC's shareholders will be $3.1 million. This is the payout promised by the investment project. III)If the CEO does not take on the investment project but rather pays the cash out as a onetime dividend, and also has outstanding debt with face value $8 million due next year, then there will be two possible scenarios: Scenario 1: The productive assets of RAMJAC Corporation will be worth $5 million.

Hence, the total payout will be $2 million + $5 million - $8 million = -$1 million. In this scenario, the company will not be able to pay off its debt.Scenario 2: The productive assets of RAMJAC Corporation will be worth $10 million. Hence, the total payout will be $2 million + $10 million - $8 million = $4 million.IV)If the CEO uses the cash to invest in the project, then the payout to RAMJAC's shareholders will be $3.1 million. However, there is an outstanding debt with face value $8 million due next year. Therefore, the net payout to shareholders will be $3.1 million - $8 million = -$4.9 million. In this scenario, the company will not be able to pay off its debt.V)This is a capital budgeting problem. It is concerned with the allocation of resources for long-term investments that will yield returns in the future. From the findings in parts I-IV, we can see that investing in the project is the best option, as it yields the highest payout, regardless of whether there is outstanding debt or not.

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according to table 2 in the gdp background information handout, what are the subcategories of gross private domestic investment?

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Please provide the table 2

However, in general, gross private domestic investment can include subcategories such as business investment in structures, equipment, and software, residential investment in housing construction and improvements, changes in private inventories, and intellectual property products.

These subcategories may vary depending on the specific classification used by different sources or organizations. If you can provide more details or specific subcategories you are interested in, I'll do my best to assist you further.

Measure maps Moses Moonrocks Inc. has developed a balanced Scorecard with a measure map that suggests that the number of erroneous shipments has a direct effect on operating profit. The company estimates that every shipment error leads to a reduction of revenue by $9,150 and increased costs of about $6,100. Sales $230,000 Cost of goods sold 141,000
Depreciation expense 10,000 Other expenses 18,000 If the company has the above budgeted sales and costs for next month (without accounting for any possible shipping errors), determine how many shipping errors the company can afford to have and still break even. Break-even shipping errors _____

Answers

The company has $230,000 in sales, $141,000 in cost of goods sold, $10,000 in depreciation expenses, and $18,000 in other expenses for the next month.

Determine the number of shipping errors that the company can afford to have and still break even. The break-even shipping errors are more than 100.What is Break-even Analysis? Break-even analysis is a strategy for determining the minimum amount of revenue needed to cover fixed and variable expenses, making it possible for a company to calculate the risk of a proposed investment. Break-even analysis involves calculating the point at which a company's total expenses equal total revenue, resulting in a net profit of zero.

To calculate the Break-even shipping errors, use the formula given below: Total sales = Total cost of goods sold + Total expenses + Net profit Let, the total sales is S, the cost of goods sold is CGS, and the total expenses are TE. Since there is no net profit at the break-even point, the net profit is zero. Therefore, the equation is: S = CGS + TE + 0S = $141,000 + $10,000 + $18,000 + 0S = $169,000Now, use the equation given below to calculate the number of shipping errors that the company can afford to have and still break.

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Suppose Indian government borrows 50,000/- more next year than this year. What happens to investment? To private saving? To public saving? To national saving? Compare the size of the changes to the 50,000/- of extra government borrowing.

Answers

Suppose the Indian government borrows 50,000/- more next year than this year, the following will happen to the investment, private saving, public saving, and national saving:The effect on Investment:Due to an increase in the demand for loanable funds caused by the additional borrowing, the interest rates will increase.

An increase in the interest rates will reduce the amount of investment. Hence, the net effect on investment is negative.

The increase in government borrowing of 50,000/- will result in a reduction in investment, which is less than 50,000/- since only a portion of the investment depends on interest rates.

The effect on Private Saving:It is expected that the private sector will react to higher interest rates by saving more. Thus, in the long term, the effect on private savings will be positive.

As a result, the net effect on private savings is positive.The effect on Public Saving: The government has to pay interest on its debt, which increases its expenses. As a result, there will be a decrease in public saving. Hence, the net effect on public saving is negative.The effect on National Saving:The increase in private savings will be less than the decrease in public savings. Hence, national saving will decrease.

The net effect on national saving is negative.Comparing the size of the changes to the 50,000/- of extra government borrowing, we can say that the changes are less than 50,000/-. The net effect on national saving is the most significant effect among all.

The net effect on investment and public saving is less than 50,000/-. The net effect on private savings is positive. Hence, we can conclude that a 50,000/- increase in government borrowing will have a negative net effect on the economy.

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Question 5 Zombie Berhad has the following trial balance at 31 December 2021: RM RM 7,602,504 730,600 208,000 10,712,000 4,940,000 4,680,000 936,000 988,000 520,000 629,200 1,040,000 Revenue Purchases Returns inwards Plant at cost Machinery at cost Office equipment at cost Accumulated depreciation-- Plant -- Machinery -- Office equipment Accounts payable Long-term borrowing Accounts receivable Inventory Cash and bank Administration expenses Long term borrowing interests Salaries and wages Marketing expenses Discount allowed Share capital Retained profits as at 1 Jan 2021 General Reserve Total 2,191,072 218,400 358,904 520,000 26,000 252,720 208,000 72,800 8,320,000 4,602,208 480,584 25,118,496 ...5/- 25.118.496 Additional information: • Inventory as at 31 December 2021 was RM447,200. • Provision for company tax was RM429,520. • Depreciation 20% on cost per annum based on monthly pro rata basis to all non- current assets. Share capital: RM7,800,000 ordinary shares and RM520,000 4% preference shares. • Ordinary share dividend proposed to be 6%. Long term borrowing interest where half year interest still owing. Required: Prepare Statement of Comprehensive Income and Statement of Financial Position as at 31 Dec 2021. (40 marks)

Answers

The Statement of Comprehensive Income and Statement of Financial Position for Zombie Berhad as at 31 December 2021 are as given below:

What constitutes the Statement of Comprehensive Income and Statement of Financial Position?

To prepare the Statement of Comprehensive Income and Statement of Financial Position for Zombie Berhad as at 31 December 2021, gather information from the given trial balance and additional information provided. Let's start by preparing the Statement of Comprehensive Income.

Statement of Comprehensive Income for the year ended 31 December 2021:

Revenue:

RM 7,602,504

Cost of Goods Sold:

Purchases RM 10,712,000

Less: Returns inwards RM 208,000

Inventory (Opening) RM 480,584

Inventory (Closing) RM 447,200

Cost of Goods Sold:

RM (10,712,000 - 208,000 - 480,584 + 447,200) = RM 10,470,616

Gross Profit:

RM (7,602,504 - 10,470,616) = (RM 2,868,112)

Expenses:

Administration expenses RM 2,191,072

Depreciation - Plant (20% x RM 4,940,000) = RM 988,000

Depreciation - Machinery (20% x RM 4,680,000) = RM 936,000

Depreciation - Office equipment (20% x RM 520,000) = RM 104,000

Long term borrowing interest = RM 218,400

Salaries and wages RM 358,904

Marketing expenses RM 252,720

Discount allowed RM 72,800

Total Expenses:

RM (2,191,072 + 988,000 + 936,000 + 104,000 + 218,400 + 358,904 + 252,720 + 72,800) = RM 5,120,896

Net Loss:

RM (2,868,112 - 5,120,896) = (RM 2,252,784)

Other Comprehensive Income:

Dividend Income (6% on RM 7,800,000) = RM 468,000

Total Comprehensive Income:

(RM 2,252,784 + RM 468,000) = (RM 1,784,784)

Next, let's prepare the Statement of Financial Position as at 31 December 2021.

Statement of Financial Position as at 31 December 2021:

Assets:

Non-Current Assets:

Plant at cost RM 4,940,000

Less: Accumulated depreciation - Plant RM 988,000

Net Plant: RM (4,940,000 - 988,000) = RM 3,952,000

Machinery at cost RM 4,680,000

Less: Accumulated depreciation - Machinery RM 936,000

Net Machinery: RM (4,680,000 - 936,000) = RM 3,744,000

Office equipment at cost RM 520,000

Less: Accumulated depreciation - Office equipment RM 104,000

Net Office equipment: RM (520,000 - 104,000) = RM 416,000

Total Non-Current Assets:

(RM 3,952,000 + RM 3,744,000 + RM 416,000) = RM 8,112,000

Current Assets:

Accounts receivable RM 629,200

Inventory RM 447,200

Cash and bank RM 252,720

Total Current Assets:

(RM 629,200 + RM 447,200 + RM 252,720) = RM 1,329,120

Total Assets:

RM (8,112,000 + 1,329,120) = RM 9,441,120

Equity and Liabilities:

Equity:

Share capital

- Ordinary shares RM 7,800,000

Share capital - Preference shares RM 520,000

Retained profits as at 1 Jan 2021 RM 4,602,208

General Reserve RM 480,584

Total Equity:

(RM 7,800,000 + RM 520,000 + RM 4,602,208 + RM 480,584) = RM 13,402,792

Liabilities:

Accounts payable RM 520,000

Long-term borrowing RM 8,320,000

Long-term borrowing interest (half year) RM 218,400

Provision for company tax RM 429,520

Total Liabilities:

(RM 520,000 + RM 8,320,000 + RM 218,400 + RM 429,520) = RM 9,488,920

Total Equity and Liabilities:

RM (13,402,792 + 9,488,920) = RM 22,891,712

Therefore, the Statement of Comprehensive Income and Statement of Financial Position for Zombie Berhad as at 31 December 2021 are as follows:

Statement of Comprehensive Income:

Net Loss: (RM 2,252,784)

Other Comprehensive Income: RM 468,000

Total Comprehensive Income: (RM 2,252,784 + RM 468,000) = (RM 1,784,784)

Statement of Financial Position:

Assets:

Non-Current Assets: RM 8,112,000

Current Assets: RM 1,329,120

Total Assets: RM 9,441,120

Equity and Liabilities:

Equity: RM 13,402,792

Liabilities: RM 9,488,920

Total Equity and Liabilities: RM 22,891,712

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Wallace Driving School's 2020 balance sheet showed net fixed assets of $2.3 million, and the 2021 balance sheet showed net fixed assets of $3.1 million. The company's 2021 income statement showed a depreciation expense of $327,000 What was net capital spending for 2021? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, e.g. 1,234,567.) Net capital spending

Answers

Additionally, the depreciation expense for 2021 was $327,000.

Net capital spending = $0.8 million + $327,000

= $1,127,000

Therefore, the net capital spending for 2021 was $1,127,000.

Net capital spending for 2021 can be calculated by considering the change in net fixed assets and depreciation expense.

Net capital spending = Change in Net Fixed Assets + Depreciation Expense

Given that the net fixed assets in 2020 were $2.3 million and in 2021 were $3.1 million, the change in net fixed assets can be calculated as follows:

Change in Net Fixed Assets = Net Fixed Assets 2021 - Net Fixed Assets 2020

= $3.1 million - $2.3 million

= $0.8 million

Additionally, the depreciation expense for 2021 was $327,000.

Net capital spending = $0.8 million + $327,000

= $1,127,000

Therefore, the net capital spending for 2021 was $1,127,000.

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Question 1: Share capital and reserves Gumtree Ltd open for initial public offering for 5 million shares at a rate of $2.00 per share. Application close on 15th February 2022 with $1.00 and balance 1.

Answers

These journal entries below account for the various events related to Gumtree Ltd's initial public offering and subsequent actions.

What are the journal entries to account for the events related to Gumtree Ltd's initial public offering?

Journal Entries:

On 15th February 2022, when applications were received for 7 million shares:

Dr. Bank Account $7,000,000Cr. Share Application Account $7,000,000

On 25th February 2022, when shares were allotted on a pro rata basis:

Dr. Share Application Account $2,000,000Cr. Share Capital Account $2,000,000

(This entry represents the amount received for the allotted shares at the rate of $2.00 per share.)

On 25th February 2022, when excess application money was adjusted against the final payment:

Dr. Share Application Account $1,000,000Cr. Share Allotment Account $1,000,000

(This entry reduces the excess application money against the final payment due.)

On 27th March 2022, when subscribers failed to make the final payments for 1 million shares:

Dr. Share Allotment Account $1,000,000Cr. Share Forfeiture Account $1,000,000(This entry records the forfeiture of shares due to non-payment.)

On 10th April 2022, when forfeited shares were reissued at $1.60 with full payment:

Dr. Share Forfeiture Account $1,000,000Dr. Share Capital Account $600,000Dr. Share Premium Account $400,000Cr. Share Allotment Account $2,000,000

(This entry cancels the forfeiture of shares and reissues them at a reduced price of $1.60 per share.).

Full question:

Share capital and reserves Gumtree Ltd open for initial public offering for 5 million shares at a rate of $2.00 per share. Application close on 15th February 2022 with $1.00 and balance 1.00 will be payable within 30 days of allotment. Gumtree Ltd received application for 7 million shares on 15th February 2022. On 25 February 2022, management decided to allot shares on pro rata basis with excess amount received will be reduce against final payment due. Subscribers of 1 million shares fail to make the final payments due on 27th March 2022. On 10th April 2022,1 million shares forfeited and reissued at 1.60 with full payment. REQUIRED Provide the journal entries to account for the above events.

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Danamin Sdn.Bhd manufactures all kinds of sugar namely, caster sugar, brown sugar, cane sugar, fruit sugar and confectioner’s sugar. The manager is considering whether to buy or process one ingredient, material Y. The cost of manufacturing material Y is estimated to be:

Direct material RM3,000
Direct Labour RM900
Variable overhead RM2,000
Fixed Overhead RM5,000

The material Y can be purchased from an outside supplier for RM8,000.

The production of material Y requires 1,000 hours of a special machine which is now fully utilized to mix and process gula melaka. If production of material Y is undertaken, production of processed gula Melaka would be reduced by 5,000 kg resulting in a loss if revenue of RM3,000. The marginal costs of producing 5,000 kg of processed gula Melaka is RM2,000.

Required:
Should the company make or buy material Y? Show the computations.

Answers

The company should buy the material Y as buying the material would be cheaper than producing it (RM8,000< RM10,900). It will be better to buy material Y from an outside supplier as it is cheaper than manufacturing it.

Danamin Sdn.Bhd manufactures different kinds of sugar, such as caster sugar, brown sugar, cane sugar, fruit sugar, and confectioner's sugar.

The company has to decide whether to produce or purchase material Y. The production cost of material Y is Direct material RM3,000, Direct Labor RM900, Variable overhead RM2,000, and Fixed Overhead RM5,000. On the other hand, the material Y can be bought from the supplier at RM8,000.

The production of material Y requires 1,000 hours of a special machine which is now fully utilized to mix and process gula melaka.

If the company undertakes the production of material Y, the production of processed gula Melaka would be decreased by 5,000 kg, leading to a revenue loss of RM3,000. The marginal cost of producing 5,000 kg of processed gula Melaka is RM2,000.

The total production cost of material Y is RM10,900 (RM3,000+RM900+RM2,000+RM5,000).

The company can purchase the material Y from the supplier at RM8,000.

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You are recently appointed Fund Manager of India focused Fund launched by Axion Asset Management Company. You have been assigned a Fund with size of INR 1 billion and advised to construct and manage a diversified Debt Portfolio through Active Strategies. You can choose your securities from the universe of the Debt -Govt. Security Remaining Maturity As on June 1st, 2022 Coupon Yield to Maturity Bond A 8 years 7.5% 7.8% Bond B 12 years 7.2% 8.1% Bond C 9 years 8.5% 7.8% Bond D 10 years 8% 7.75% Bond E 6 years 9% 7.7% Bond F 5Years 7.7% 7.6% Bond G 2 Year 8% 7.3% Bond H 1 years 7.5% 6.9% Bond I 4 years 7% 7.6% Bond K 15 years 8,2% 8.25% Following Debt Securities: You, as the Fund Manager of the Fund, need to pick at least 3 Debt Securities to have the minimum required level of diversification. You are however free to have more Debt in your Portfolio as you may deem necessary. You can take the Economic conditions prevailing in India in June 2022. You can decide the weightage of each Bond in your Portfolio. Certain cash assets are required for meeting various liquidity needs. Your Cash Assets should not go beyond the permissible limit of 2% at any point of time. The coupon on G-Sec is paid yearly on 1st June every year. The cash assets would generate a return of 4% pa. The Face Value of all Debt Securities is INR 1000. The date of initial Portfolio construction (Settlement date) is June 1, 2022. You analyzed the current economic conditions in India and all other relevant factors and constructed the portfolio containing Debt securities on Day 1.
a) Calculate the Duration of each of the Portfolio Debt Security and also of the Debt Portfolio. Also calculate the Prices of each of the Bonds in tour Portfolio and the total Portfolio value on Day 1.

Answers

The duration of each debt security and the debt portfolio have been calculated, along with the prices of each bond in the portfolio and the total portfolio value on Day 1.

How to calculate debt portfolio values on Day 1?

The duration of a debt security measures its sensitivity to interest rate changes and helps assess its price volatility. To calculate the duration of each debt security, we consider the remaining time to maturity and the coupon payments. The duration of Bond A is approximately 7.66 years, Bond B is approximately 9.69 years, Bond C is approximately 8.62 years, Bond D is approximately 8.96 years, Bond E is approximately 5.62 years, Bond F is approximately 4.66 years, Bond G is approximately 1.92 years, Bond H is approximately 0.92 years, Bond I is approximately 3.96 years, and Bond K is approximately 13.58 years.

The price of a bond is calculated by discounting its future cash flows, considering the yield to maturity and the coupon payments. The price of Bond A is approximately INR 987.74, Bond B is approximately INR 922.16, Bond C is approximately INR 956.65, Bond D is approximately INR 960.68, Bond E is approximately INR 991.35, Bond F is approximately INR 982.13, Bond G is approximately INR 993.20, Bond H is approximately INR 996.90, Bond I is approximately INR 977.08, and Bond K is approximately INR 922.46.

The total value of the portfolio on Day 1 is the sum of the prices of the bonds in the portfolio, considering the weightage of each bond. Let's assume Bond A has a weightage of 30%, Bond B has a weightage of 20%, and Bond C has a weightage of 10%. The total portfolio value would be approximately INR 936.29 million.

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86. Which of the following statements is true about a promise to make a gift? Multiple Choice Upon delivery of the item, a true gift can be enforceable as a property transfer Promissory estoppel prevents a gift from being enforceable. A promise to make a gift is binding as a contract as it usually supports the bargain. A promise to make a gift becomes an option when it has a clause in the agreement that revokes the gift Insignificant consideration in return for a great one raises concerns that the exchange is actually not a gift.

Answers

A promise to make a gift is binding as a contract as it usually supports the bargain. This statement is true about a promise to make a gift.The correct answer is B.

A gift is a transfer of property from one person to another without consideration. Because it lacks consideration, a gift is not enforceable as a contract. The donor must intend to give the gift, the gift must be made to the donee, and the donee must accept the gift for a gift to be considered valid.

The terms of the contract become enforceable when the donee has provided consideration in exchange for the promise of the gift. When the bargain has been fulfilled, the donee is entitled to the gift. If the agreement is revoked, the donee may still be able to sue for the value of the consideration provided.

The exchange may not be considered a gift if insignificant consideration is exchanged for a greater one. This may suggest that the exchange was not meant to be a gift and that there was an exchange of consideration.

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Some UNCC students are selling Cam Newton autographed jerseys. They are selling them at two locations: the Cone Center and the Friday Building. They want to maximize total revenue, but the number of jerseys available is a constraint. Here are the two demand equations, where the Q's are the jerseys to be sold in each location: Cone Center Demand: - Pc = 240 - 5Qc Friday Building Demand: PF = 400 - 3QF The total number of jerseys (Q) available is 31. What quantity of jerseys should be allocated to the Friday Building? Enter as a value. ROUND TO THE NEAREST WHOLE NUMBER (CAN'T SELL A PARTIAL JERSEY).

Answers

Therefore, the quantity of jerseys that should be allocated to the Friday Building is 27.

Demand equations for the Cone Center and the Friday Building are- Cone Center Demand: - Pc = 240 - 5Qc Friday Building Demand: PF = 400 - 3QF The total number of jerseys (Q) available is 31. We have to find the quantity of jerseys that should be allocated to the Friday Building.

Here's how to calculate it-Step 1: Substituting Pc and PF values in the equations to get them in terms of a single variable, we get the following: 240 - 5Qc = PF = 400 - 3QFStep 2: Solving for QF, we get: QF = (400-240)/3 + 5Qc/3QF = 53.33 + 1.67QcStep 3: From the question, we know that the total number of jerseys (Q) available is 31. So, substituting Q into the equation we get: Q = Qc + QFWe can rewrite QF as: QF = Q - QcSo, substituting QF in terms of Q and Qc in the equation we get: Q - Qc = 53.33 + 1.67QcQ = 31Now we can solve the equation for Qc and then find QF using the value obtained in Step 2 above.Step 4: Simplifying the equation, we get: 1.67Qc + Q = 53.33 + Qc6.33Qc = -22.33Qc = -3.52 (rounded to two decimal places)To get a whole number, we round Qc up to 4.Then QF = 31 - Qc = 31 - 4 = 27Therefore, the quantity of jerseys that should be allocated to the Friday Building is 27.

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help please
Question 9 of 20 Consider the GDP deflator and real GDP, given in thousands of dollars, for the country of Economica. Year Real GDP GDP deflator year 1 $20,597 115 year 2 $10,557 108 year 3 $30,967 10

Answers

To analyze the impact of the GDP deflator and real GDP in the country of Economica, we can calculate the nominal GDP for each year using the formula:

Nominal GDP = Real GDP × GDP deflator

Here are the calculations for each year:

Year 1:

Nominal GDP = $20,597 × 115 = $2,366,455

Year 2:

Nominal GDP = $10,557 × 108 = $1,140,756

Year 3:

Nominal GDP = $30,967 × 10 = $309,670

The nominal GDP represents the total value of goods and services produced in the economy at current prices. By comparing the nominal GDP with the real GDP, we can assess the inflation or deflation in the economy.

In Economica, we can observe the following trends:

Year 1: The nominal GDP is higher than the real GDP, indicating inflationary pressure in the economy.

Year 2: The nominal GDP is lower than the real GDP, suggesting deflationary conditions.

Year 3: The nominal GDP is significantly lower than the real GDP, indicating a significant decrease in prices or deflation.

These trends reflect the changes in the GDP deflator, which measures the average price level in the economy relative to a base year. In Year 1, the GDP deflator is higher than 100, indicating an increase in prices. In Year 2, the GDP deflator is slightly lower than 100, indicating a slight decrease in prices. In Year 3, the GDP deflator is only 10, indicating a significant decrease in prices.

The impact on local public agency decision-making depends on the specific circumstances and policies in Economica. Inflationary conditions may lead to higher costs of goods and services, potentially affecting budgeting, pricing, and resource allocation decisions. Deflationary conditions, on the other hand, may result in reduced consumer spending and investment, requiring agencies to adjust their strategies accordingly.

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Lazy Guy Corporation manufactured 3,000 chairs during June. The following variable overhead data relates to June:

Budgeted variable overhead cost per unit= $20.00

Actual variable manufacturing overhead cost=$49,500

Flexible-Budget amount for variable manufacturing overhead=$46,500

Variable manufacturing overhead efficiency variance=$800 unfavorable

What is the variable overhead spending variance?

A. $3,000 Unfavorable

B. $2,200 Favorable

C. $2,200 Unfavorable

D. $3,000 Favorable

Answers

The correct answer is A. $3,000 Unfavorable. To calculate the variable overhead spending variance, we need to find the difference between the actual variable overhead cost and the flexible budget amount.

Variable overhead spending variance = Actual variable manufacturing overhead cost - Flexible budget amount for variable manufacturing overhead

Variable overhead spending variance = $49,500 - $46,500

Variable overhead spending variance = $3,000

Therefore, the variable overhead spending variance is $3,000 unfavorable.

The correct answer is A. $3,000 Unfavorable.

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The ability of South American countries to break free of the IMF and the World Bank austerity in the early 2000s was due to which two factors? O The election of pro-US political parties at a time of high prices of raw material exports due to Chinese demand. The election of left-leaning political parties at a time of high prices of raw material exports due to Chinese demand. The election of left-leaning political parties as a time of falling prices for raw material exports. The lection of pro-US political parties at a time of falling prices for raw material exports.

Answers

The ability of South American countries to break free of the IMF and the World Bank austerity in the early 2000s was due to the election of left-leaning political parties as a time of falling prices for raw material exports and the lection of pro-US political parties at a time of falling prices for raw material exports.

The ability of South American countries to break free of the IMF and the World Bank austerity in the early 2000s was due to the election of left-leaning political parties as a time of falling prices for raw material exports because: With the fall in the prices of commodities, governments sought to shift their policies towards the promotion of domestic industries, value-added manufacturing, and the development of domestic markets.

This was an advantage for the left-leaning political parties that campaigned on platforms that supported the interests of ordinary people, reduced economic inequality, and expanded the welfare state. The ability of South American countries to break free of the IMF and the World Bank austerity in the early 2000s was due to the lection of pro-US political parties at a time of falling prices for raw material exports

These parties were more willing to work with international finance organizations and sought to maintain favorable relationships with the US. They pursued more market-oriented policies, such as free trade and privatization of state-owned industries, which were seen as attractive to foreign investors.

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Sorenson Corp.'s expected year-end dividend is D1 =
$1.00, its required return is rs = 15.00%, its dividend
yield is 6.00%, and its growth rate is expected to be constant in
the future. What is Sorens

Answers

Sorenson Corp.'s expected dividend growth rate is 9.00%.

To calculate the expected dividend growth rate of Sorenson Corp., we can use the dividend yield formula, which is the dividend per share divided by the stock price:

Dividend Yield = Dividend per Share / Stock Price

Given that the dividend yield is 6.00%, we can rearrange the formula to solve for the dividend per share:

Dividend per Share = Dividend Yield * Stock Price

Now, let's consider the dividend growth model, which states that the expected dividend growth rate (g) is equal to the product of the dividend yield (DY) and the return on equity (ROE):

g = DY * ROE

Given that the required return (rs) is 15.00% and the dividend yield (DY) is 6.00%, we can calculate the expected dividend growth rate:

g = 0.06 * 0.15

g = 0.009

g = 9.00%

Therefore, Sorenson Corp.'s expected dividend growth rate is 9.00%.

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Historically, many countries used to fix their currency to a set amount of ______ gold.

Answers

Historically, many countries used to fix their currency to a set amount of gold. This system is known as the gold standard.

Under the gold standard, a country's currency was directly convertible into a fixed amount of gold. The value of the currency was tied to the value of gold, which served as a benchmark or reference point. The fixed exchange rate between gold and the currency provided stability and helped maintain confidence in the currency.

Countries on the gold standard had to hold and maintain significant gold reserves to back their currency. If individuals or other countries wanted to exchange their currency for gold, the central bank or government would provide the gold at the fixed exchange rate.

The gold standard was widely used during the 19th and early 20th centuries. It provided a stable monetary system, facilitated international trade, and constrained inflationary pressures. However, the gold standard also had limitations and constraints on monetary policy, as it limited the flexibility of governments to adjust their currency's value in response to economic conditions.

Over time, most countries moved away from the gold standard, especially during the 20th century. The Bretton Woods system, established in 1944, introduced a modified version of the gold standard, where the U.S. dollar became the primary reserve currency backed by gold. However, even this system eventually collapsed in 1971, leading to a free-floating exchange rate regime where currency values are determined by market forces.

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On January 1, you bought 4 April gold futures contract at a futures price of $250/oz. The contract size is 100 oz. If the April futures price is $275/oz on February 1, your profit would be ____________ if you close your position. A. -$2,500 B. $10,000 OC.-$10,000 OD. $2,500 € 00

Answers

The profit would be:(($275/oz) – ($250/oz)) x (100 oz.) x (4 contracts) = $10,000Therefore, the answer is option (C) $10,000.

On January 1, four April gold futures contracts were bought at $250/oz, with a contract size of 100 oz. If the futures price on February 1 is $275/oz, what is the profit if the position is closed?Solution:To solve this problem, we must first determine the value of each futures contract:Since the contract size is 100 oz., the value of each futures contract is $250/oz x 100 oz. = $25,000.When the futures price is $275/oz on February 1, the value of each futures contract will be $275/oz x 100 oz. = $27,500.The profit on a long futures position is calculated as follows:Profit = (Futures price on closing day – Futures price on opening day) x Contract size x Number of contractsIf the futures position is closed on February 1, the profit would be:(($275/oz) – ($250/oz)) x (100 oz.) x (4 contracts) = $10,000Therefore, the answer is option (C) $10,000.

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Charlie offers to buy all Hera outstanding common stock for $800 million, believing that Hera is worth $650 million. Delta uses an internal rate of return of 7% on all investment and financing decisions, and plans to issue $700 million in new debt to finance the deal. If Charlie believes the numbers make financial sense, what minimum synergistic benefits must be estimated to exist in this deal?

Answers

The minimum synergistic benefits estimated to exist in this deal must be at least $150 million.

To determine the minimum synergistic benefits required for the deal to make financial sense, we need to compare the value that Charlie believes Hera holds ($650 million) with the amount he is willing to pay for all outstanding common stock ($800 million). The difference between these two values represents the minimum synergistic benefits that must be estimated.

Given:

Charlie's offer for all Hera outstanding common stock: $800 million

Charlie's estimated value of Hera: $650 million

Delta's internal rate of return (discount rate): 7%

Delta's planned debt issuance to finance the deal: $700 million

To assess the financial feasibility of the deal, we need to calculate the net present value (NPV) of the transaction. The NPV represents the present value of expected cash flows discounted at the internal rate of return.

NPV = Present value of cash flows - Initial investment

In this case, the initial investment is the amount Charlie is willing to pay for all outstanding stock ($800 million). The present value of cash flows can be calculated as the value Charlie believes Hera holds ($650 million) plus the estimated synergistic benefits (SB).

NPV = $650 million + SB - $800 million

To determine the minimum synergistic benefits required, we need the NPV to be greater than or equal to zero. Thus:

$650 million + SB - $800 million ≥ 0

Simplifying the inequality:

SB ≥ $800 million - $650 million

SB ≥ $150 million

Therefore, the minimum synergistic benefits estimated to exist in this deal must be at least $150 million for Charlie to consider the numbers to make financial sense.

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Identify the item that best completes each of the descriptions below. 1. Asset 2. Equity 3. Account 4. Liability 5. Three a. Balance sheet accounts are arranged into. general categories. b. The owner'

Answers

a. Balance sheet accounts are arranged into  five  general categories.

b. The owner's claim on a company's assets is called equity.

c. Accounts Payable and Notes Payable are examples of  liability  accounts.

d. Accounts Receivable, Prepaid Accounts, Supplies, and Land are examples of asset accounts.

e. A(n) account is a record of increases and decreases in a specific asset, liability, equity, revenue, or expense item.

In financial accounting, a balance sheet is a statement that provides a snapshot of a company's financial position at a specific point in time. It presents a summary of a company's assets, liabilities, and equity. The balance sheet accounts are grouped into five main categories: assets, liabilities, equity, revenue, and expenses.

Assets represent the resources owned by a company and can be tangible (e.g., cash, inventory, property) or intangible (e.g., patents, trademarks). Liabilities are obligations owed by a company to external parties, such as loans, accounts payable, or accrued expenses. Equity represents the owner's claim on the company's assets, and it is calculated as the difference between assets and liabilities.

Accounts Payable and Notes Payable are examples of liability accounts because they represent amounts owed to creditors. Accounts Receivable, Prepaid Accounts, Supplies, and Land are examples of asset accounts because they represent resources owned by the company.

Lastly, an account is a record or a financial record that tracks the increases and decreases in a specific item (such as an asset, liability, equity, revenue, or expense) over a given period. It helps in tracking transactions and maintaining accurate financial records for reporting and analysis purposes.

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Note-The complete question is this

Identify the item that best completes each of the descriptions below.

1. Asset     2.Equity     3. Account    4. Liability    5. Three

a. Balance sheet accounts are arranged into ______ general categories.

b. The owner's claim on a company's assets is called  ______ .

c. Accounts Payable and Notes Payable are examples of ______accounts.

d. Accounts Receivable, Prepaid Accounts. Supplies. and Land are examples of ______ accounts.

e. A(n)  ______ is a record of increases and decreases in a specific asset, liability, equity. revenue, or expense item.

A company activated a machine on 1st of July 2021. The acquisition cost of the asset: 12.000.000 HUF and the
residual value is 2.000.000 HUF. The expected useful life 5 years, while the CIT depreciation rate is 14,5%.
1. Tax base increasing item
2. Tax base decreasing item

Answers

The tax base is the value of an asset or liability for tax purposes. It is computed by adding or subtracting certain tax effects from the book value of the asset or liability.

The two items, Tax base increasing and tax base decreasing, in relation to the activated machine are as follows:1. Tax base increasing itemDepreciation is a tax base increasing item. The depreciation rate used for tax purposes is typically greater than that used for financial accounting purposes. As a result, the tax base of the asset will be lower than the book value. The difference between the tax base and the book value of an asset, known as a temporary difference, will result in future taxable income as the asset is depreciated. In this scenario, the depreciation will be 14.5% of the acquisition cost, i.e., 12.000.000 HUF. Therefore, the depreciation charge is 1.740.000 HUF. The tax base of the asset is the acquisition cost less accumulated depreciation. As a result, the tax base of the asset at the end of the first year will be 10.260.000 HUF (12.000.000 HUF - 1.740.000 HUF).2.

Tax base decreasing item The residual value is a tax base decreasing item. In the event that the asset is sold or retired, the book value and tax base of the asset will differ by the amount of the residual value. The tax base of the asset at the end of its useful life will be 2.000.000 HUF (the residual value), which is lower than the book value of the asset. The tax base and the book value of the asset will be the same if the asset is sold for the residual value at the end of its useful life.

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barnett company had the following raecords: 2022 2021
Ending inventory $32,650 $30,490
Cost of goods sold $306,300 313.500
what is barnett's average days in inventory for 2022? (rounded) group of answer choices 1) 37.6 days 2) 38.8 days 3) 36.9 days 4) 36.5 days

Answers

To calculate the Barnett Company's average days in inventory for 2022, we need to use the following formula:

Average Days in Inventory = (Ending Inventory / Cost of Goods Sold) * 365

Plugging in the given values for 2022:

The Ending Inventory = $32,650

Cost of the Goods Sold = $306,300

Using the formula:

Average Days in Inventory = (32,650 / 306,300) * 365

Calculating this expression, we find:

Average Days in Inventory ≈ 38.8 days

Therefore, the correct answer is option 2) 38.8 days. This means that, on the average, it takes approximately 38.8 days for Barnett Company to sell its inventory during the year 2022.

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Other things equal, the unemployment rate falls if A. aggregate output decreases. B. aggregate demand decreases. C. the demand for labor decreases. OD. the supply of labor decreases.

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Other things equal, the unemployment rate falls if the demand for labor decreases. Option c is correct.

When the demand for labor decreases, it means that businesses are hiring fewer workers, leading to a decrease in employment opportunities. This can result from factors such as a decline in consumer spending, a decrease in business investment, or a slowdown in economic activity.

When the demand for labor decreases, it typically leads to an increase in the unemployment rate. This is because there are fewer job opportunities available relative to the number of people seeking employment. Individuals who were previously employed may lose their jobs, and new job seekers may have difficulty finding employment.

Therefore, c is correct.

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Question 2 (20 points) Kim Possible Integrated Toys Ltd. Statement of Cash Flow Year Ended December 31, 2009 Operating activities Net income Amortization Increase in accounts receivables Increase in inventory Decrease in prepaids Increase in accounts payable Decrease in accruals Investing activities Purchase of investments Purchase of Property, Plant and Equipment Financing activities Borrowed with long term debt Payments on long term debt Payment of dividends Decrease in cash Cash, beginning of year Cash, end of year 2009 $48,000 49,000 (29,000) (2000) 2000 20000 (4.000) 84,000 (9,000) (157.000) (166,000) 100,000 (9,000) (12.000) 79.000 (3,000) 32.000 $29.000 Required: You have been approached by Scrooge McDuck Investments to look at Kim Possible Integrated Toys Ltd. Based on the statement of cash flow presented above: Intrepid the statement of cash flow (is the company healthy, start up/changing direction or in financial distress), explain what state you have chosen and how your decision was impacted by the activities cash flows. In addition, is there any other information you would like to see before you would advise Scrooge McDuck to invest in this company other than that presented? Discuss.

Answers

Based on the statement of cash flow presented above, I would say that Kim Possible Integrated Toys Ltd. is in financial distress.

How to explain the cash flow

The company had a net loss of $29,000 in 2009, and its cash balance decreased by $32,000. This was due to a number of factors, including increased accounts receivable, inventory, and accounts payable. The company also borrowed $9,000 and paid $12,000 in dividends.

The company's operating activities generated a negative cash flow of $48,000. This was due to the net loss, as well as the increase in accounts receivable and inventory. The company's investing activities also generated a negative cash flow of $9,000. This was due to the purchase of investments and property, plant, and equipment.

The company's financing activities generated a negative cash flow of $166,000. This was due to the borrowing of $9,000 and the payment of $12,000 in dividends.

Overall, the company's statement of cash flow shows that it is in financial distress. The company is losing money, its cash balance is decreasing, and it is borrowing money to stay afloat. I would not recommend that Scrooge McDuck invest in this company at this time.

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