the lower-of-cost-or-market method of determining the value of ending inventory can be applied on an item by item, by major classification of inventory, or by the total inventory.
T/F

Answers

Answer 1

The statement, "The lower-of-cost-or-market method of determining the value of ending inventory can be applied on an item by item, by major classification of inventory, or by the total inventory" is true.

This method is used to determine the value of ending inventory by comparing the cost of the inventory with its market value.

It can be applied in the following ways:
1. Item by item: Each individual item's cost is compared to its market value, and the lower value is used.
2. Major classification of inventory: Inventory items are grouped into major classifications, and the lower-of-cost-or-market method is applied to each group.
3. Total inventory: The total cost of the entire inventory is compared to its overall market value, and the lower value is used.

In each case, the goal is to value inventory at the lower of cost or market value to ensure that inventory is not overvalued on the financial statements.

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Related Questions

A _____________ is a group of people who agree to save their money together and make loans to each othert at a relatively low rate of intrest

Answers

A credit union is a financial cooperative that allows its members to pool their money together and provide loans to one another at a lower interest rate than what traditional banks offer.

Credit unions are not-for-profit organizations that operate with the goal of serving their members and providing them with affordable financial services. Members of credit unions typically have a common bond, such as living in the same community or working in the same industry. Credit unions are often able to offer lower interest rates on loans because they are owned and operated by their members, so there are no outside shareholders looking to profit off of the money being lent out. By working together and leveraging the power of their collective resources, credit union members are able to save money and obtain loans at a more affordable rate than what is typically available through traditional banks.

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Pizza Co has the following information related to Stockholders Equity. The number of Treasury shares are ____.
Authorized Shares 2,000
Par Value $1 Issued Shares 900 utstanding Shares 800 Treasury Shares ? A. 100 Treasury Shares B. 1,100 Treasury Shares C. 1,700 Treasury Shares D. Cannot be determined

Answers

The number of Treasury shares for Pizza Co is 100 (Option A). Stockholders' Equity refers to the portion of a company's assets that are owned by its shareholders.

This includes both common stock and retained earnings. In the case of Pizza Co, the information related to Stockholder's Equity indicates that the company has authorized 2,000 shares of common stock with a par value of $1 per share. Out of these authorized shares, Pizza Co has issued 900 shares. This means that these shares have been sold to investors and are considered outstanding shares. However, out of the outstanding shares, only 800 are currently in circulation. The remaining 100 shares have been repurchased by the company and are held as Treasury Shares. Therefore, the number of Treasury shares for Pizza Co is 100, which is option A.

In conclusion, the long answer to your question is that based on the information provided, Pizza Co has repurchased 100 shares and currently holds them as Treasury Shares.

1. Authorized Shares: 2,000
2. Par Value: $1
3. Issued Shares: 900
4. Outstanding Shares: 800
5. Treasury Shares:?

To find the Treasury shares, follow these steps:

Step 1: Identify the number of Issued Shares (900).
Step 2: Identify the number of Outstanding Shares (800).
Step 3: Calculate the difference between Issued Shares and Outstanding Shares (900 - 800).

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what types of deficiencies exist when using dso and an aging schedule to monitor collections over time?

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It is untrue that a company does not require an aging schedule when calculating its DSO. An essential tool for tracking current and past due accounts receivable is an aging schedule, which aids in identifying any accounts that might be in danger of not being collected.

An accounting table called an aging schedule lists the receivables of a business in chronological order according to their due dates. An aging schedule, which is frequently generated by accounting software, can assist a business determine whether its clients are paying on time. Days Sales Outstanding (DSO) is a measure of how long it typically takes for a company to recover its account receivables or convert credit sales into cash.

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Henderson and Carl mutually agree that they will not be able to perform their contract obligations and therefore elect to discontinue the contract. This is considered a(n)_______. a) concurrent breach. b) novation. c) concurrent condition. d) mutual rescission. e) anticipatory breach.

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Henderson and Carl mutually agree that they will not be able to perform their contract obligations and therefore elect to discontinue the contract. This is considered a(n) D) mutual rescission

Mutual rescission refers to an settlement among the parties to terminate a settlement voluntarily. in this situation, both Henderson and Carl have agreed that they may not be capable of satisfy their obligations under the agreement and have jointly decided to stop the contract. This form of settlement is a shape of mutual rescission, which lets in the events to stop the contract with none legal results.

Mutual rescission is a commonplace solution when both parties agree that the agreement is not possible or superb. it is essential to be aware that mutual rescission calls for the settlement of each parties, and the phrases of the agreement have to be documented in writing to keep away from any future misunderstandings.

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This is an operating activity. 2- A machine with a cost of. 1-A machine with a cost of $148,000 and accumulated depreciation of $103,000 is sold for $59,000 cash. The amount that should be reported as a source of cash under cash flows from investing activities is: Multiple Choice $45,000.

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The amount to be reported as a source of cash under cash flows from investing activities for a machine with a cost of $148,000, accumulated depreciation of $103,000, and sold for $59,000 cash.

The amount that should be reported as a source of cash under cash flows from investing activities is calculated by considering the machine's net book value and the cash received from the sale. The net book value is the cost of the machine minus accumulated depreciation, which is $148,000 - $103,000 = $45,000. Since the machine was sold for $59,000 cash, which is higher than its net book value, the difference represents a gain on the sale.

So, the amount to be reported as a source of cash under cash flows from investing activities is the cash received from the sale, which is $59,000.

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A project's NPV profile will cross the horizontal axis at:
a) the cost of debt.
b) the cost of capital.
c) the internal rate of return.
d) zero.

Answers

Option d) zero, as the NPV profile represents the net present value of a project over a range of discount rates. When the NPV profile crosses the horizontal axis, it indicates the point where the project's cash inflows equal its cash outflows. This point is also known as the project's breakeven point.

The NPV profile of a project is typically shaped like a downward-sloping curve, with the y-axis representing the net present value and the x-axis representing the discount rate. The point at which the curve crosses the x-axis represents the discount rate at which the project's net present value is zero, or the breakeven point.

Therefore, the correct answer is option d) zero, as this is the point at which the project's cash inflows equal its cash outflows and the project neither creates nor destroys value. The other options - the cost of debt, the cost of capital, and the internal rate of return - may be relevant in calculating the discount rate for the NPV calculation, but they do not represent the point at which the NPV profile crosses the horizontal axis.

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a stock had returns of 6 percent, 0 percent, -13 percent, 11 percent, -9 percent, and 14 percent over the past six years. What is the average retum and standard deviation for this stock?

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The average return for this stock over the past six years is 1.5 percent per year, while the standard deviation is 3.04 percent.

To calculate the average return for this stock, we can simply add up the returns for each year and divide by the number of years (in this case, 6). Doing so gives us a total return of 9 percent, or an average return of 1.5 percent per year.
Calculating the standard deviation is a bit more complex, but it allows us to measure the degree of variation in the stock's returns. To do this, we need to first calculate the variance, which is done by subtracting the average return from each individual return, squaring the difference, and then adding up all the squared differences. We then divide the variance by the number of years and take the square root to get the standard deviation.
In this case, the variance comes out to be 58.32, and dividing by 6 gives us a standard deviation of 3.04 percent. This means that the stock's returns have varied by an average of 3.04 percentage points from the average return each year. These metrics can be useful for investors in evaluating the risk and potential return of a particular stock or investment.

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To calculate the average return, we add up all the returns and divide by the number of years:Average return = (6% + 0% - 13% + 11% - 9% + 14%) / 6 = 9/6 = 1.5%

To calculate the standard deviation, we need to first calculate the variance:Variance = [(6% - 1.5%)^2 + (0% - 1.5%)^2 + (-13% - 1.5%)^2 + (11% - 1.5%)^2 + (-9% - 1.5%)^2 + (14% - 1.5%)^2] / 6

Variance = (18.06 + 2.25 + 196.84 + 87.21 + 132.25 + 153.76) / 6

Variance = 90.16

Then we take the square root of the variance to get the standard deviation: Standard deviation = sqrt(90.16) = 9.50%

Therefore, the average return for the stock is 1.5% and the standard deviation is 9.50%.

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what would the new equilibrium price of tutoring services be if carlos decided to stop tutoring?

Answers

If Carlos decided to stop tutoring, the equilibrium price of tutoring services would likely increase, assuming all other factors remain constant.

What would happen to the equilibrium price of tutoring services if Carlos stopped tutoring?

In a market with multiple providers of tutoring services, the price is determined by the intersection of the supply and demand curves.

Carlos is one of the providers of tutoring services in the market, and his decision to stop tutoring would reduce the overall supply of tutoring services.

Assuming that the demand for tutoring services remains constant, a decrease in supply would lead to an increase in the equilibrium price of tutoring services.

This is because there would be fewer tutors available to meet the demand, and those who remain would have more bargaining power to charge higher prices.

Therefore, if Carlos were to stop tutoring, the remaining tutors would likely charge higher prices to maintain their profit margins in the face of increased demand for their services.

The extent of the price increase would depend on the elasticity of demand for tutoring services and the degree of competition among the remaining tutors.

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You’re comparing 4 strategies for a 365-day investment. Which one offers the highest holding period yield (the yield over the entire period)?
· 365-day CD with a MMY of 9.86%
· 182.5 day CD at 9.63% MMY, then reinvested at same MMY for remaining 182.5 days
· 91.25 day CD at 9.57% MMY, reinvested in 91.25 day CDs at same MMY until 365 days.
· 30.42 month CD at 9.44% MMY, reinvested in 1 month CDs at same MMY until end of 12 m

Answers

You’re comparing 4 strategies for a 365-day investment. The highest holding period yield is "91.25 day CD at 9.57% MMY, reinvested in 91.25 day CDs at same MMY until 365 days". The correct option is C.

To compare the holding period yield of each strategy, calculate the effective annual yield (EAY) of each investment and then use that to calculate the holding period yield.

First, let's calculate the EAY for each strategy:

Holding period yield = [tex][(1 + EAY/100)^n - 1] * 100%[/tex]

For the 365-day CD with a MMY of 9.86%, the EAY is simply 9.86%.

For the 182.5 day CD at 9.63% MMY, the EAY:

[tex]((1 + 0.0963/2)^2 - 1) * 100% = 9.85%.[/tex]

For the 91.25 day CD at 9.57% MMY, the EAY:

[tex]((1 + 0.0957/4)^4 - 1) * 100% = 9.87%.[/tex]

For the 30.42 month CD at 9.44% MMY, the EAY:

[tex]((1 + 0.0944/12)^12 - 1) * 100% = 9.73%.[/tex]

Next, let's calculate the holding period yield for each strategy:

For the 365-day CD with a MMY of 9.86%, the holding period yield is also 9.86%.

For the 182.5 day CD at 9.63% MMY, the holding period yield:

[tex]((1 + 0.0985/2)^2 - 1) * 100% = 10.01%.[/tex]

For the 91.25 day CD at 9.57% MMY, the holding period yield:

[tex]((1 + 0.0987/4)^4 - 1) * 100% = 10.03%.[/tex]

For the 30.42 month CD at 9.44% MMY, the holding period yield:

[tex]((1 + 0.0973/12)^12 - 1) * 100% = 9.88%.[/tex]

Therefore, the correct option is C.

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a company sells 400 units for $4 per unit. when the company increases its prices to $5, it’s demand drops to 200 units. what is the price elasticity of demand? quizlet

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To calculate the price elasticity of demand for a company when it increases its prices, follow these steps:

1. Calculate the percentage change in quantity demanded:
  (New Quantity - Old Quantity) / Old Quantity = (200 - 400) / 400 = -0.5

2. Calculate the percentage change in price:
  (New Price - Old Price) / Old Price = ($5 - $4) / $4 = 0.25

3. Compute the price elasticity of demand:
  Price Elasticity of Demand = % Change in Quantity Demanded / % Change in Price = -0.5 / 0.25 = -2

The price elasticity of demand for the company when it increases its prices from $4 to $5 per unit is -2, which indicates that demand is elastic, meaning that changes in price significantly affect the quantity demanded.

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The price elasticity of demand for this company's product is -2, which indicates that the demand is elastic and responsive to price changes.

To calculate the price elasticity of demand for the company's product, follow these steps:

1. Determine the initial quantity demanded (Q1) and initial price (P1): Q1 = 400 units, P1 = $4 per unit.
2. Determine the final quantity demanded (Q2) and final price (P2): Q2 = 200 units, P2 = $5 per unit.
3. Calculate the percentage change in quantity demanded: (Q2 - Q1) / Q1 = (200 - 400) / 400 = -0.5, or a 50% decrease.
4. Calculate the percentage change in price: (P2 - P1) / P1 = ($5 - $4) / $4 = 0.25, or a 25% increase.
5. Calculate the price elasticity of demand:

percentage change in quantity demanded / percentage change in price = (-0.5) / 0.25 = -2.

The price elasticity of demand is -2.

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what factors determine whether self-managed teams will be effective or ineffective?A. Organizational supportB. A team championC. Team normsD. All of the above

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The factors that determine whether self-managed teams will be effective or ineffective are D. All of the above.

How can such teams be effective ?

Organizational aid is crucial for the proper functioning of self-managed groups. This assistance involves providing all necessary resources, including training programs and incentives to help motivate the teams to perform their best.

Furthermore, having a team champion or mentor who not only advocates for but also wholeheartedly believes in the success of each team member can provide much-needed guidance that boosts efficiency. At last, initiating and enforcing set regulations regarding expected conduct and performance levels can ensure optimal collaboration with shared objectives.

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During an audit of a publicly-held company, the auditors should obtain written confirmation regarding debenture transactions from the trustee. (True or False)

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The statement is True as During an audit of a publicly-held company, the auditors should obtain written confirmation regarding debenture transactions from the trustee.

What are these?

Debentures are a type of long-term debt instrument issued by companies that typically have a fixed interest rate and maturity date.

To ensure that the financial statements accurately reflect the company's financial position, auditors are required to verify all significant transactions, including debenture transactions.

Obtaining written confirmation from the trustee is important because the trustee is responsible for administering the debenture on behalf of the debenture holders and can provide valuable information about the terms of the debenture, any interest payments made, and any defaults or breaches of the debenture agreement.

This information is necessary to ensure that the company's financial statements are accurate and complete, and that the company is complying with all relevant regulations and accounting standards.

Hence, the statement is true.

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Paul is a director on the board of Quality Tire Corporation. As a director, Paul may not
a.
delegate work to corporate officers.
b.
engage in self-dealing.
c.
act in accord with his own knowledge and training.
d.
use prudent business judgment in the conduct of corporate affairs.

Answers

As a director on the board of Quality Tire Corporation, Paul may not engage in self-dealing. Self-dealing refers to a situation where a director or officer of a company uses their position to gain personal benefits or profit at the expense of the corporation.

It is considered a breach of the fiduciary duty owed by directors and officers to act in the best interests of the corporation. Therefore, it is important for Paul to avoid any conflicts of interest and refrain from engaging in any actions that may benefit himself over the corporation.
While Paul cannot delegate work to corporate officers, he can still use his knowledge and training to act in the best interests of the corporation and use prudent business judgment in the conduct of corporate affairs. These actions are part of his fiduciary duty as a director.
In summary, Paul cannot engage in self-dealing as a director on the board of Quality Tire Corporation. He must act in the best interests of the corporation and avoid any conflicts of interest.

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The federal False Claims Act can be beneficial for both the government and whistleblowers because both can benefit financially from successful qui tam lawsuits ?True or False

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True. The federal False Claims Act is a law that allows individuals to file qui tam lawsuits on behalf of the government against companies or individuals that have defrauded the government.

If the lawsuit is successful, the government can recover damages and the whistleblower who initiated the lawsuit can receive a portion of the recovery, typically between 15-30%. This incentivizes individuals with knowledge of fraud against the government to come forward and report it, which helps the government recover funds that were fraudulently obtained. The False Claims Act has been a successful tool for the government in combating fraud, waste, and abuse, and has resulted in the recovery of billions of dollars. Overall, the False Claims Act benefits both the government and whistleblowers financially, and serves as an important deterrent against fraud and corruption.

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When dividends are declared in 1 fiscal year and paid in the next fiscal year, the liability for the dividend should be recorded as of the _____. (Points : 5) A. date the dividend is declared B. last day of the fiscal year C. date of record D. date of payment

Answers

When dividends are declared in one fiscal year and paid in the next fiscal year, the liability for the dividend should be recorded as of the date the dividend is declared. The correct option is A.

This is because the declaration of a dividend creates a legal obligation on the part of the company to pay the dividend to its shareholders. As a result, the liability for the dividend is recognized on the date it is declared, and not on the date it is paid. Recording the liability for the dividend on the date it is declared is also consistent with the matching principle in accounting. The matching principle requires that expenses be recognized in the same period as the related revenues.

In the case of dividends, the expense (i.e. the dividend payment) is matched with the revenue (i.e. the earnings that generated the dividend) in the period in which the dividend is declared. It is important to note that the date of record and date of payment are also important dates in the dividend process.

The date of record is the date on which shareholders must hold the stock in order to receive the dividend, while the date of payment is the date on which the dividend is actually paid to shareholders. However, from an accounting perspective, the liability for the dividend is recognized on the date it is declared, which is typically prior to the date of record and date of payment. The correct option is A.

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Payne Corporation has the following accounts as of December 31, 2018: Total Assets $ 60,000 Total Liabilities 20,000 Total Equity 40,000 Compute the debt to equity ratio at December 31, 2018.

Answers

This means that Payne Corporation has 50 cents in debt for every dollar it has in equity. An essential measure of a company's financial leverage and solvency is its debt to equity ratio. An organisation with a higher debt to equity ratio has more debt than equity, which could be riskier for investors. A lower debt to equity ratio, on the other hand, denotes a company's better financial standing and decreased reliance on debt funding.

The debt to equity ratio is a financial ratio that measures the proportion of a company's total liabilities to its equity. It is calculated by dividing total liabilities by total equity. In the case of Payne Corporation, the debt to equity ratio at December 31, 2018 can be calculated as follows:

Debt to Equity Ratio = Total Liabilities / Total Equity
Debt to Equity Ratio = $20,000 / $40,000
Debt to Equity Ratio = 0.5 or 50%

This means that for every dollar of equity that Payne Corporation has, it also has 50 cents of debt. The debt to equity ratio is an important indicator of a company's financial leverage and solvency. A higher debt to equity ratio indicates that a company has more debt relative to its equity, which may make it riskier for investors. Conversely, a lower debt to equity ratio suggests that a company has a stronger financial position and is less reliant on debt financing.

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Why would a monopolistically competitive firm advertise?

Answers

A monopolistically competitive firm would advertise in order to differentiate their product from those of their competitors.

Since there are many firms producing similar but not identical products in a monopolistically competitive market, advertising can be an effective way to attract customers and gain market share. By advertising, a firm can create a unique brand image and increase brand recognition, which can ultimately lead to increased sales and profitability. Additionally, advertising can help firms inform consumers about the features and benefits of their product, as well as any promotions or deals that may be available.

This can help to sway consumers towards purchasing their product over those of their competitors. Therefore, in order to be successful in a monopolistically competitive market, firms must differentiate themselves from their competitors through effective advertising and branding strategies.

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identify the value of ln if 100,000 lobsters were caught in year 1 and 300,000 were caught in year 2.

Answers

The value of ln (natural logarithm) if 100,000 lobsters were caught in year 1 and 300,000 were caught in year 2 is 1.099.

To identify the value of ln (natural logarithm) related to the increase in the number of lobsters caught from year 1 to year 2:

1. Calculate the growth rate: Divide the number of lobsters caught in year 2 (300,000) by the number caught in year 1 (100,000).
  Growth rate = 300,000 / 100,000 = 3

2. Find the natural logarithm (ln) of the growth rate:
  ln(3)

Using a calculator, the value of ln(3) is approximately 1.099. So, the value of ln for the increase in the number of lobsters caught from 100,000 in year 1 to 300,000 in year 2 is approximately 1.099.

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Controls that relate primarily to the safeguarding of assets are:
A. physical controls.
B. mechanical controls.
C. electronic controls.
D. automated controls.

Answers

Controls that relate primarily to the safeguarding of assets are physical controls. Option A is correct.

Physical controls are tangible measures that are put in place to protect assets from theft, damage, or loss. These controls include security cameras, locks, safes, and other physical barriers that prevent unauthorized access to assets.

Physical controls are an essential component of any organization's overall risk management strategy. By putting these controls in place, organizations can reduce the risk of asset loss, which can have significant financial and operational implications. For example, if a company's inventory is stolen or damaged, it may result in lost revenue, increased costs, and damage to the company's reputation.

In addition to physical controls, organizations may also implement other types of controls to safeguard their assets, such as electronic controls, automated controls, and mechanical controls. However, these controls typically focus on other areas of risk management, such as data security, compliance, and operational efficiency.

Overall, controls play a critical role in safeguarding assets and managing risk. By implementing a comprehensive control framework that includes physical controls and other types of controls, organizations can better protect their assets and ensure their continued success.

Option A is correct.

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tends to tie into all of the other budgets. a. the sales budget b. the purchasing budget c. the operating budget d. the cash budget

Answers

The operating budget is closely linked to all other budgets and is a crucial part of the overall financial planning process for any business.

The operations budget is the one that tends to tie into all of the other budgets. The operating budget is a thorough financial plan that describes a company's planned earnings and expenses for a specific time period, usually a year.

Budgets for sales, production, manufacturing, marketing, and administration are all included.

The operating budget is crucial because it serves as a framework for organising the activities of the organization's various departments. The sales budget, for example, outlines the estimated sales revenue for the period, which is subsequently used to calculate the production budget.

In turn, the production budget determines the purchasing budget for raw materials and supplies required for production.

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The budget that tends to tie into all of the other budgets is the operating budget.

The operating budget is the comprehensive financial plan that outlines the expected revenues and expenses of a business for a specific period, typically a year. It includes detailed budgets for each operating department, such as marketing, production, and administration, and ties them together to create a unified budget for the entire organization. The operating budget is crucial for the management team as it provides a roadmap for achieving the company's strategic goals and objectives. It is also used as a basis for performance evaluation and control. The operating budget is closely linked to other budgets such as the sales budget, purchasing budget, and cash budget, as it provides the overall financial context for these budgets.

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Able Company's unit manufacturing cost is:
Variable Costs
$50
Fixed Costs
25
A special order for 2,000 units has been received from a foreign company. The unit price requested is $55. The normal unit price is $80. If the order is accepted, unit variable costs will increase by $2 for additional freight costs. If the order is accepted, incremental profit (loss) will be ____

Answers

If the order is accepted, incremental profit (loss) will be is  -$44,000.

To determine the incremental profit (loss) if Able Company accepts the special order for 2,000 units, we need to calculate the difference in revenue and costs.

1. Calculate the revenue from the special order:
Unit price requested ($55) x 2,000 units = $110,000

2. Calculate the additional freight costs:
$2 per unit x 2,000 units = $4,000

3. Calculate the total variable costs:
(Variable Costs $50 + additional freight costs $2) x 2,000 units = $104,000

4. Calculate the fixed costs:
Fixed Costs $25 x 2,000 units = $50,000

5. Calculate the total costs:
Total variable costs $104,000 + fixed costs $50,000 = $154,000

6. Calculate the incremental profit (loss):
Revenue from special order $110,000 - total costs $154,000 = -$44,000

If the order is accepted, the incremental profit (loss) will be -$44,000.

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The following information is provided for Blossom Company and Ayayai Corporation. (in $ millions) Blossom Company Ayayai Corporation Net income 2022 $120 $440 Net sales 2022 1375 4510 Total assets 12/31/20 1090 2300 Total assets 12/31/21 1170 3060 Total assets 12/31/22 1175 4000 What is Blossom's asset turnover for 2022? (Round answer to 2 decimal places, e.g. 15.20.) 0.32 times 3.13 times 1.17 times 0.58 times

Answers

Blossom's asset turnover for 2022 is approximately 1.17 times.

Blossom's asset turnover for 2022 can be calculated using the following formula:
Asset Turnover = Net Sales / Average Total Assets
First, we need to find the average total assets for 2022. To do this, we will take the total assets at the beginning of the year (12/31/21) and the end of the year (12/31/22), and then find the average:
Average Total Assets = (Total Assets 12/31/21 + Total Assets 12/31/22) / 2
Average Total Assets = (1170 + 1175) / 2
Average Total Assets = 2345 / 2
Average Total Assets = 1172.5
Next, we will use the net sales for 2022 and the average total assets to find the asset turnover:
Asset Turnover = Net Sales / Average Total Assets
Asset Turnover = 1375 / 1172.5
Asset Turnover ≈ 1.17 times

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generally, a positive correlation exists between a project’s returns and the returns on the firm’s other assets. if this correlation is , stand-alone risk will be a good proxy for within-firm risk.

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A positive correlation between a project's returns and the returns on a firm's other assets generally means that when one asset performs well, it is likely that the others will as well.

This can be beneficial for the firm as a whole, as it suggests that their overall portfolio is well-diversified and not overly reliant on any one particular asset. However, when it comes to evaluating the risk of a specific project within the firm, it may not be sufficient to simply look at its stand-alone risk. While stand-alone risk can be a useful measure of risk in some situations, it does not account for the fact that the performance of one asset within a firm can be influenced by the performance of other assets. This is why within-firm risk, or the risk associated with a specific project within the larger context of the firm's portfolio, can be a better proxy for evaluating the risk of a project. By taking into account the potential impact of other assets within the firm, within-firm risk can provide a more comprehensive picture of the risk associated with a specific project.

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What is the principle distinction between explicit costs and implicit costs?

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The main difference between explicit costs and implicit costs is that explicit costs are the actual out-of-pocket expenses that a firm pays for resources such as wages,

Rent, utilities, and materials, while implicit costs are the opportunity costs of using resources that the firm already owns or could have used in their next best alternative.

Explicit costs are easily measurable and visible on a company's balance sheet as they are tangible and require a direct payment.

On the other hand, implicit costs are harder to measure because they do not require a direct payment and are not recorded on the company's balance sheet.

For example, the implicit costs of a firm's owner-manager's time, effort, and expertise in running the business or the opportunity cost of using an asset for one purpose instead of another.

Both explicit and implicit costs are important considerations for firms as they impact the firm's profitability and decision-making process.

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A waiter or waitress does not bring you food and warm smile because you are hungry, but because of the: a. Utility b. Incentive c. Marginal Cost d. Diminishing Return

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The answer to this question is "b. Incentive." A waiter or waitress is motivated to bring you food and a warm smile because of the incentive of earning a salary or tips from their job.

They are not doing it solely because you are hungry, but because they want to provide good service and potentially earn more money. This is a common example of how incentives drive behavior in many industries and professions. The concept of utility also plays a role in this scenario, as the waiter or waitress is providing a service that is useful to the customer, but the main driving force behind their actions is the incentive to earn money. Answering more than 100 words, incentives play a significant role in human behavior and can be seen in various aspects of life, from work to education to personal relationships. Understanding the power of incentives can be a valuable tool in motivating oneself or others to achieve certain goals or behaviors.

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a retailer buys a particular product for $6. to make a profit, the retailer adds $3 to cover operating expenses and provide a profit. the percentage markup on the $9 selling price is

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The percentage markup on the $9 selling price of the product is 50%.

To determine the percentage markup, we need to calculate the cost and profit percentage. The cost of the product is $6, and the retailer adds $3 to cover operating expenses and provide a profit, resulting in a selling price of $9. The profit percentage is calculated by dividing the profit by the cost and then multiplying the result by 100. In this case, the profit is $3, which is 50% of the cost of $6. Therefore, the percentage markup on the $9 selling price is 50%.

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T/F: research indicates that consumers are more likely to purchase products when disclaimers are presented very quickly, especially for unknown or untrusted brands.

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The given statement, "Research indicates that consumers are more likely to purchase products when disclaimers are presented later in the purchasing process after trust has been established with the brand" is False because this is particularly true for unknown or untrusted brands.

Research actually suggests the opposite. Consumers are more likely to be skeptical of a product or brand when disclaimers are presented very quickly, particularly when the brand is unknown or untrusted.

In such cases, a quick disclaimer may not give consumers enough time to process the information or to build trust in the brand.

In contrast, presenting disclaimers more prominently and clearly can increase trust and credibility in a brand, especially when the disclaimer is relevant to the product or claim being made. This can lead to greater consumer confidence and, ultimately, increased sales.

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Home Express bought a delivery truck on January 1st 2020. The following are the details: Truck cost: $65,000 Residual Value: $5,000 Useful Life years: 5 Estimate Useful Miles: 50,000 If Home Express uses the activity-based method of depreciation and the truck is driven 10,000 miles on December 31, 2020? OA $10,000 B. $13,000 $12,000 $11,000 D

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Using the activity-based method of depreciation, we need to calculate the depreciation rate per mile. This can be done by subtracting the residual value from the original cost and dividing it by the estimated useful miles, which gives us ($65,000 - $5,000) / 50,000 = $1.20 per mile.

Since the truck was driven 10,000 miles on December 31, 2020, we can calculate the depreciation expense for the year as $1.20 per mile * 10,000 miles = $12,000. Therefore, the correct answer is C. $12,000.

It's important to note that the residual value is the estimated value of the asset at the end of its useful life. It is used in calculating depreciation expense as the amount that the asset is expected to be worth when it is disposed of. Additionally, miles driven is a key factor in determining the depreciation expense for an asset as it reflects the amount of wear and tear on the asset. Answering in more than 100 words, we can say that depreciation is an important accounting concept that allows businesses to allocate the cost of an asset over its useful life, reflecting the wear and tear on the asset as it is used to generate revenue.

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economists use the term money to refer to: question 17 options: a) income. b) profits. c) assets used for transactions. d) earnings from labor.

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Economists use the term money to refer to assets used for transactions.

Money is defined as a medium of exchange, a unit of account, and a store of value. It is a means of payment that is accepted by society as a whole. It can be in the form of paper currency, coins, or digital currency. Economists study the role of money in the economy and how it affects economic activity. Money can impact the level of economic growth, inflation, and interest rates. It is an essential factor in macroeconomic policies, such as monetary policy. In conclusion, understanding the concept of money is crucial for economists, as it plays a vital role in the functioning of the economy.

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Christopher filled a bucket with soap and water before he began washing his mother's car. He put the soap and 5 pints of hot water in the bucket before filling the rest of the bucket with cold water from a garden hose. The number of pints of water in the bucket is given by the formula P(t) = t + 5, where P(t) is the number of pints of water in the bucket, and t is the number of seconds Christopher ran the hose into the bucket. What does the slope of the formula represent?


A


number of cups of soap in bucket



B


number of pints bucket will hold



C


number of pints of hot water in bucket



D


number of pints of water that came out of hose per second

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The correct answer is D. The slope of the formula represents the number of pints of water that came out of the hose per second.

In the formula P(t) = t + 5, the variable t represents the number of seconds Christopher ran the hose into the bucket. The value of P(t) represents the number of pints of water in the bucket after t seconds.

The slope of the formula is the coefficient of the t term, which is 1. This means that for each second Christopher ran the hose, the number of pints of water in the bucket increased by 1.

Therefore, the slope of the formula represents the rate at which the number of pints of water in the bucket is changing with respect to time, specifically the number of pints of water that came out of the hose per second..

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