who is the company's auditor? (see the report of independent registered public accounting firm.) what does the report indicate about the amounts reported in the company's financial statements?

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Answer 1

The report of the independent registered public accounting firm indicates the auditor of the company. The report also indicates that the auditor has conducted an audit of the company’s financial statements for the period specified in the report.

The report provides an opinion on whether the company’s financial statements are presented fairly in all material respects in accordance with generally accepted accounting principles. It also indicates that the auditor has determined that the amounts reported in the company's financial statements are reasonable and appropriate.

This means that the auditor has assessed the accuracy and integrity of the amounts reported in the company's financial statements and believes them to be a fair representation of the company's financial position.

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Related Questions

Current assets include which of the following? (Select all that apply.) a. Intangible assets. b. Short term investments. c. Cashd. Property and equipment.

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Current assets include cash, short term investments, and intangible assets. It is worth noting that property and equipment are fixed assets. The correct answer is option a.

What are current assets?

Current assets are assets that can be easily turned into cash within one year or a company's normal operating cycle. These assets include cash, short-term investments, accounts receivable, and inventories. Other current assets include marketable securities and prepaid expenses.Intangible assets are not classified as current assets, despite being included in current assets in financial statements. Although intangible assets are not liquid, they are still assets. Patents, trademarks, copyrights, and other intangible assets are examples of intangible assets.

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The emphasis in those firms with a customer orientation is to meet consumer rather than on promotion and sales. Blank 1: wants, needs, demand, or expectations

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The emphasis in firms with a customer orientation is to meet the needs of consumers. Here option B is the correct answer.

A customer-oriented approach is based on the belief that the primary goal of a business should be to identify and meet the needs of its customers, rather than focusing solely on promotion and sales.

Customer needs are the things that customers require to solve a particular problem or achieve a specific goal. Understanding customer needs requires companies to conduct market research, listen to customer feedback, and gather data on customer behavior.

A customer-oriented approach means that companies must be responsive to changing customer needs and preferences. This requires companies to be flexible and agile, and to have systems in place to quickly adapt to changing market conditions.

By focusing on meeting customer needs, companies with a customer orientation can build strong, long-term relationships with their customers, which can lead to increased customer loyalty, repeat business, and positive word-of-mouth referrals. Ultimately, this approach can lead to increased sales and profits for the business.

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Complete question:

The emphasis in those firms with a customer orientation is to meet consumer _________ rather than on promotion and sales.

A - wants

B - needs

C - demand

D - expectations

Ivan, a sales manager, just finished reading some sales statistics comparing his company's performance to that of competitors. The statistics summarize a mass of raw figures into a few meaningful measures that Ivan will use to determine whether he needs to change his sales strategy. The statistics in the printout are
A. information, while the raw figures used to compute the statistics are data B data, while the raw figures used to compute the statistics are information. C. less useful to Ivan than the raw figures would have been, since summarizing the figures necessarily reduces their accuracy D.an example of how managers have a tendency to oversimplify by reducing complex issues into a few simple numbers.

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Ivan, a sales manager, just finished reading some sales statistics comparing his company's performance to that of competitors.

The statistics summarize a mass of raw figures into a few meaningful measures that Ivan will use to determine whether he needs to change his sales strategy. The statistics in the printout are information. The statement "Ivan, a sales manager, just finished reading some sales statistics comparing his company's performance to that of competitors. The statistics summarize a mass of raw figures into a few meaningful measures that Ivan will use to determine whether he needs to change his sales strategy. The statistics in the printout are information" can be classified as an explanation. A sales manager should always keep themselves up-to-date with the latest sales statistics to keep track of their sales performance and compare their sales with those of their competitors. Sales statistics provide information on the sales revenue of a company or product, the growth rate, and the market share, which help the sales manager to determine whether he or she should change the sales strategy. Hence, the statistics in the printout are information.

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institutional portfolio managers have been allocating an increasing percentage of thier funds to common stock postions. this is an indication that thier marlet sentimaent s:

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When institutional portfolio managers are allocating an increasing percentage of their funds to cash and cash equivalent positions, this indicates that they have a bearish sentiment towards the market. Therefore, the correct option is C.


Institutional portfolio managers are financial institutions and investment companies that manage large investments on behalf of individuals, organizations, and corporations, including pension funds and non-profit organizations. Institutional portfolio managers, as professional money managers, are responsible for managing a significant amount of the money invested in stocks, bonds, and other securities, aiming to maximize investment returns while reducing investment risks.

Cash and cash equivalents are short-term, highly liquid investments that are easy to convert into cash. Money market funds, Treasury bills, commercial paper, and certificates of deposit are all examples of cash and cash equivalents. They're also used by businesses to manage their short-term cash needs.

The attitude or general feeling of investors toward a particular financial market or economy is referred to as market sentiment. It refers to the total mood or opinion of investors with regard to a particular security or the market as a whole.

Institutional portfolio managers' cash and cash equivalent positions are a signal of market sentiment, and an increase in their allocation indicates a bearish market sentiment. Because cash and cash equivalents are not subjected to market fluctuations, institutional portfolio managers may reallocate funds to cash and cash equivalents in anticipation of a possible market downturn. By doing so, they are taking defensive measures by investing in cash and cash equivalents in order to protect themselves from losses in the market.

Hence, the option C is correct.

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what would be the annual percentage yield for a savings account that earned $79 in interest on $1,000 over the past 365 days? (enter your answer as a percent rounded to 1 decimal place.)

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Answer:

The annual percentage yield for a savings account that earned $79 in interest on $1,000 over the past 365 days is 7.9%.

Explanation:

The annual percentage yield for a savings account that earned $79 in interest on $1,000 over the past 365 days would be 7.9%.To calculate the annual percentage yield, the following formula is used:

[tex]Annual Percentage Yield = (Interest / Principal) x (365 / Number of Days)[/tex]

In this question, the principal amount is $1,000, and the interest earned over the past 365 days is $79.Annual

[tex]Percentage Yield = (Interest / Principal) x (365 / Number of Days)[/tex]

[tex]Annual Percentage Yield = ($79 / $1,000) x (365 / 365)[/tex]

[tex]Annual Percentage Yield = 0.079 or 7.9%[/tex]

Therefore, the annual percentage yield for the savings account is 7.9%.

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Which of the following items are normally classified as a current liability for a company that has a 15-month operating cycle?
1. Salaries payable.
2. Note payable due in 19 months.
3. FICA taxes payable.
4. Note payable maturing in 3 years.
5. Note payable due in 10 months.
6. Portion of long-term notes due in 15 months.

Answers

The following items are normally classified as a current liability for a company that has a 15-month operating cycle:

Salaries payableFICA taxes payableNote payable due in 10 months

Correct answers are options A, C, and E.

For a company with a 15-month operating cycle, a liability is considered current if it will be paid within the next 15 months. Salaries payable and FICA taxes payable are both current liabilities as they will be paid within the 15-month cycle. The note payable due in 10 months is also a current liability. The note payable due in 19 months and the portion of long-term notes due in 15 months are not current liabilities, as they will not be paid within the operating cycle. The note payable maturing in 3 years is a long-term liability, and not classified as a current liability.

Therefore, the correct answers are options A, C, and E.

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In the context of the managerial (leadership) grid for leadership effectiveness, which of the following managers has low concern for both production and people?
Multiple Choice
The sweatshop manager
The impoverished manager
The status quo manager
The country club manager

Answers

In the managerial or the leadership grid for leadership effectiveness, the manager who has low concern for both production and people is the Impoverished Manager. Thus, option b is correct.

The Managerial Grid is a model that was developed by Robert R. Blake and Jane Mouton in the early 1960s. The managerial grid includes five leadership styles:

Impoverished Manager - A leader with low concern for both production and people. This means that they use a "delegate and disappear" management style.

They avoid making decisions or taking responsibility and let their employees handle everything. As a result, both the production and the people side of the organization suffer.

They tend to be indifferent towards both tasks and people, leading to a lack of direction and motivation within the team.

In the context of the managerial grid for leadership effectiveness, the "impoverished manager" has a low concern for both production and people.

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aspen corporation uses uses the high-low method to analyze mixed costs. The following information relates to the production data for the first six months of the year.Month Cost HoursJanuary $4,515 300February $4,825 400March $5,540 550April $4,485 200May $5,685 800June $5,230 500How should the cost function be properly stated?Y = $2,025 + $2.50H.Y = $3,890 + $2.00H.Y = $4,085 + $2.00H.Y = $5,260 + $2.50H.

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The cost function for Aspen Corporation should be stated as Y = $2,025 + $2.50H, where Y is the total cost and H is the number of hours.

This can be determined by using the high-low method. The high and low cost amounts are $5,685 and $4,485 respectively. The corresponding hours are 800 and 200 respectively. Thus, the variable cost per hour is calculated by subtracting the total cost at the lower level of activity from the total cost at the higher level of activity, and then dividing by the difference in activity levels: ($5,685 - $4,485) / (800 - 200) = $2.50.

The fixed cost is calculated by subtracting the variable cost at the lower level of activity from the total cost at the lower level of activity: $4,485 - ($2.50 x 200) = $2,025. Therefore, the cost function should be stated as Y = $2,025 + $2.50H.

To complete the question above, How should the cost function be properly stated?

a) Y = $2,025 + $2.50H.

b) Y = $3,890 + $2.00H.

c) Y = $4,085 + $2.00H.

d) Y = $5,260 + $2.50H.

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According to the rule of 70, a country will double its real GDP per capita in 20 years if it grows at an average of per year. OA 7.0% Β. 3.5 % Ο 2.0% Ο OD 5.0%

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In the following question, among the given options, Option B). "3.5%" According to the rule of 70, a country will double its real GDP per capita in 20 years if it grows at an average of 3.5% per year.

What is the Rule of 70? The rule of 70 is a simple way of estimating the amount of time it will take for a certain variable to double. The formula is simple: divide 70 by the percentage increase. For example, if something is expected to increase by 5% per year, divide 70 by 5 to get 14. It will take 14 years for that variable to double.

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The Rule of 70 states that the number of years it takes a country to double its real GDP per capita is equal to 70 divided by the average annual growth rate.

For example, if a country has an average annual growth rate of 5.0%, it will take 70/5.0 or 14 years to double its real GDP per capita. Similarly, if the average annual growth rate is 7.0%, the country will double its real GDP per capita in 70/7.0 or 10 years.

Conversely, if the country has an average annual growth rate of 2.0%, it will take 70/2.0 or 35 years to double its real GDP per capita. Therefore, the correct answer to the question is 5.0%.

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denthrill inc., a company that manufactures toothpaste, conducts a survey to find out the most important factor that consumers look for while buying toothpaste. through the survey, it is found that consumers are most particular about the flavor of the toothpaste. taking this into consideration, denthrill inc. introduces a variety of flavored toothpaste in the market. which of the following has the company used to satisfy its target market? A. consumer behavior B. international marketing C. economic factors D. global adaptation

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Denthrill Inc. introduced a variety of flavored toothpaste in the market to satisfy its target market. The company has used consumer behavior to satisfy its target market.

What is Consumer Behavior?

Consumer behavior is the study of how people make decisions to spend their available resources (time, money, and effort) on consumption-related items. Consumer behavior research often focuses on the consumer's decision-making process when making a purchase.

What is the significance of Consumer Behavior?

The significance of consumer behavior lies in the fact that knowing and understanding consumer behavior helps a company to improve its products and services. By understanding consumer behavior, companies can determine how their consumers make buying decisions, the needs and wants of their consumers, and what they expect from their products and services.

What is Market Targeting?

Market targeting is the process of identifying and evaluating a particular market's attractiveness and the company's ability to serve that market successfully. Market targeting strategies are used by companies to identify their target market, which helps them to focus their marketing efforts on that particular segment. The four basic market targeting strategies are undifferentiated marketing, differentiated marketing, concentrated marketing, and micromarketing.

What is Product Development?

Product development is the process of creating and improving a product or service for a particular market. The product development process involves identifying customer needs and preferences, creating a product design that meets those needs, testing the product to ensure its functionality, and then launching the product to the market. It is a strategic approach that helps companies to differentiate their products from their competitors by providing superior products to their customers.

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in a limited partnership, each limited partner's liability for the partnership's debts is: group of answer choices unlimited. limited to the amount he or she invested into the partnership. limited to his or her personal net worth. limited to the total amount invested by all partners. limited to his or her total earnings received from the partnership.

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In a limited partnership, each limited partner's liability for the partnership's debts is limited to the amount he or she invested into the partnership.

A limited partnership is a type of partnership that involves at least one general partner and one or more limited partners. The limited partner's liability is limited to the amount of money they invested in the partnership. This implies that limited partners are responsible for their own financial investments in the business, but not for any debts incurred by the general partner(s).

A general partner, on the other hand, is responsible for managing the company and has unlimited personal responsibility for any liabilities incurred by the business. In terms of operations, limited partners are similar to shareholders in a corporation; they don't have a say in the day-to-day operations of the partnership, but they can benefit from the partnership's success.

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When the simple interest method is used to determine finance charges, the interest is calculated based on the. a. future value of the installments.
b. average outstanding balance.
c. actual balance of the loan.
d. present value of all finance charges.
e. future value of all finance charges.

Answers

When the simple interest method is used to determine finance charges, the interest is calculated based on b. the average outstanding balance.

Simple interest is a formula that calculates the interest paid on the principal sum only. Simple interest is determined by multiplying the loan amount by the interest rate and the loan term. Then, the amount of interest owed is determined by subtracting the original loan amount from the total due.Simple interest is used to determine finance charges. Interest is calculated based on the average outstanding balance when the Simple Interest method is used to determine finance charges. This is how to calculate the average outstanding balance: Average Outstanding Balance = (Beginning Balance + Ending Balance) ÷ 2

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The Crater Manufacturing Company recorded overhead costs of $14,192 at an activity level of 4,250 machine hours and $8,760 at 2,310 machine hours. The records also indicated that overhead of $9,735 was incurred at 2,610 machine hours. What is the variable cost per machine hour using the high-low method to estimate the cost equation? $2.80 $3.34. O $2.72 O $3.73

Answers

The high-low method is a common technique used to estimate cost equations. This method uses the highest and lowest activity levels to calculate the variable cost per unit (in this case, machine hour). To do this, we must first calculate the total overhead cost change between the two points.

The total overhead cost change is calculated by subtracting the overhead costs at the lower activity level (8,760) from the overhead costs at the higher activity level (14,192). This yields a total overhead cost change of 5,432. We then calculate the activity level change by subtracting the lower activity level (2,310) from the higher activity level (4,250). This yields an activity level change of 1,940.

The variable cost per machine hour is then calculated by dividing the total overhead cost change (5,432) by the activity level change (1,940). This yields a variable cost per machine hour of $2.80.

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Lincolnshire Lumber sells boards for many uses including wood floors. For floors, the boards are sold to local installers or do-it-yourself homeowners. The boards go through up to four processes, although only the first two are completed for all sales.
Lincolnshire employs 10 workers in the Flooring Department who are each trained and experienced in all four processes. Each employee works 35 hours per week for 50 weeks per year. Lincolnshire allocates 10 percent of the workers' time to training and staff meetings, The total annual cost for Flooring, excluding the cost of the wood itself but including the tools, machinery, labor and so on, is $737,100.
The supervisor of the flooring department estimates the following time for each of the four processes for a unit of wood as sold:
Cutting: 11 minutes
Planing: 18 minutes
Distressing (optional): 24 minutes
Staining (optional): 27 minutes
During the year, Flooring received orders for 12,000 units. Of these, 7,000 units were distressed and 9,500 units were stained.
Required:
a. What is the cost per minute for activities in Flooring?
Note: Round your answer to 2 decimal places.
b. What is the cost of a unit that is cut, planed, and stained?
Note: Round your intermediate calculations and final answer to 2 decimal places.
c. How many minutes of unused capacity did Flooring have for the year?
d. What was the cost of the unused capacity in Flooring?
Note: Round your intermediate calculations to 2 decimal places and round your final answer to the nearest whole dollar.

Answers

Activities in Flooring cost $0.53 per minute. A unit that has been cut, planed, and stained costs $22.17. Over the entire year, Flooring had 105,000 minutes of unused capacity.

What rules apply to Indian real estate?

Let's first understand the basic principles of Indian real estate law. RERA controls the purchase of real estate in India. The Real Estate (Regulation and Development) Act, 2016, and the organization established under it, the Real Estate Regulatory Authority, or RERA, regulate the development, marketing, and sale of real estate projects.

Total annual cost for Flooring = $737,100

Total annual worker hours = 10 workers x 35 hours/week x 50 weeks = 17,500 hours

Total available minutes = 17,500 hours x 60 minutes/hour = 1,050,000 minutes

Adjusted available minutes (accounting for 10% of time for training and staff meetings) = 1,050,000 minutes x 0.9 = 945,000 minutes

Cost per minute = Total annual cost for Flooring / Adjusted available minutes = $737,100 / 945,000 = $0.53/minute

tal available minutes = 1,050,000 minutes

Adjusted available minutes = 945,000 minutes

Total used minutes = 12,000 units x (11 + 18) minutes/unit = 348,000 minutes

Total optional distressing minutes = 7,000 units x 24 minutes/unit = 168,000 minutes

Total optional staining minutes = 9,500 units x 27 minutes/unit = 256,500 minutes

Total used minutes = 348,000 + 168,000 + 256,500 = 772,500 minutes

Unused capacity = Adjusted available minutes - Total used minutes = 945,000 - 772,500 = 172,500 minutes

Unused capacity for the year = 172,500 minutes / 60 minutes/hour = 2,875 hours

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maple leaf production manufactures truck tires. the following information is available for the last operating period. maple leaf produced and sold 92,000 tires for $40 each. budgeted production was 100,000 tires. standard variable costs per tire follow. direct materials: 4 pounds at $2 $ 8.00 direct labor: 0.4 hours at $18 7.20 variable production overhead: 0.18 machine-hours at $10 per hour 1.80 total variable costs $ 17.00 fixed production overhead costs: monthly budget $1,350,000 fixed overhead is applied at the rate of $15.00 per tire. actual production costs: direct materials purchased and used: 384,000 pounds at $1.80 $ 691,200 direct labor: 35,200 hours at $18.40 647,680 variable overhead: 17,280 machine-hours at $10.20 per hour 176,256 fixed overhead 1,360,000 required: a. prepare a cost variance analysis for each variable cost for maple leaf productions. b. prepare a fixed overhead cost variance analysis. c. (appendix) prepare the journal entries to record the activity for the last period using standard costing. assume that all variances are closed to cost of goods sold at the end of the operating period.

Answers

Leaf Productions variable cost variance analysis: materials cost variance: $44,800 unfavorable, labor cost variance: $33,600 unfavorable, production overhead variance: $8,544 unfavorabl.

For the Maple Leaf Productions variable cost variance analysis:
Direct materials:
Actual cost: $691,200
Standard cost: ($2/pound x 4 pounds x 92,000 tires) = $736,000
Materials cost variance: $44,800 unfavorable

Direct labor:
Actual cost: $647,680
Standard cost: ($18.40/hour x 0.4 hour x 92,000 tires) = $681,280
Labor cost variance: $33,600 unfavorable

Variable production overhead:
Actual cost: $176,256
Standard cost: ($10/hour x 0.18 hour x 92,000 tires) = $184,800
Production overhead variance: $8,544 unfavorable

For the Maple Leaf Productions fixed overhead cost variance analysis:
Budgeted fixed overhead cost: $1,350,000
Applied fixed overhead cost: ($15/tire x 92,000 tires) = $1,380,000
Fixed overhead variance: $30,000 unfavorable

Appendix: Journal Entries to Record Activity for Last Period using Standard Costing:
Debit Credit

Inventory (DM) $691,200
Accrued Wages Payable $647,680
Production Overhead (VOH) $176,256
Fixed Overhead (FOH) $1,380,000
Cost of Goods Sold (COGS) $3,094,136
Inventory (Finished Goods) $3,094,136

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disney is able to realize cost savings by sharing resources or transferring core competencies across its businesses. this is known as what? a. synergy b. market power c. economies of scope d. vertical integration

Answers

We know that Disney, as a company, can save costs by sharing resources through its businesses, this is an example of synergy. Alternative a. is the correct alternative.

Why is it important for a company to have synergy?

It is crucial for companies to have synergy since it can significantly benefit their organizations, including reducing expenses and increasing productivity. Collaboration can also enable businesses to acquire knowledge, pool expertise, and save costs.

Through the sharing of assets, resources, and expertise, Disney can lower costs while increasing efficiency, as indicated in the question's context. This is why synergy is critical in business.

In conclusion, alternative a. is the correct alternative.

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circle or highlight the main idea and underline the controlling idea in each of the following topic sentences. 1. exercising three times a week is the only way to maintain good physical health. 2. sexism and racism are still rampant in today's workplace. 3. raising the legal driving age to twenty-one would decrease road traffic accidents. 4. owning a business is the only way to achieve financial success. 5. dog owners should be prohibited from taking their pets on public beaches.

Answers

1. Main idea- exercising

Controlling idea- good health

2. Main idea- sexism and racism

Controlling idea- workplace

3. Main idea- driving age

Controlling idea- traffic accidents

4. Main idea- business

Controlling idea- financial success

5. Main idea- dog owners

Controlling idea- public beaches

What is controlling idea?

A controlling idea or the main idea holds a significant position when you are writing something.

Something is about a controlling concept. It serves as the basis on which you can build your article, book, or film. By clearly stating the paragraph's core topic, the governing idea in a body paragraph aids in its unity.

An essay's body paragraphs should each include one main idea. In other words, only one topic should be covered in each paragraph. The reader will be introduced to the paragraph's major idea in the topic sentence, and the supporting phrases and facts that follow should all be related to that theme. The paragraph would be concluded with a sentence that summarised the major concept and allowed the reader to go on to the next section of the essay.

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Which of the following are correctly worded statements about the variable River_List Price given the sample we have? Check all that apply. There may be more than one answer.
Date is here https://www.statcrunch.com/app/index.php?dataid=1288079&groupid=2407
We are 90% confident that the interval (402.754,531.515) covers the population mean list price of condos with a view.
There is a 95% chance that the population mean μfalls within $77,442 of $467,134.
There is a 90% chance that the population proportion is a value between $402,754 and $531,515.
We are 99% confident that the interval (389.692,544.576) covers the population proportion of condos with a view.
All of the above.
None of the above.

Answers

The correct statement about the variable River_List Price given the sample we have are: We are 90% confident that the interval (402.754,531.515) covers the population mean list price of condos with a view.

There is a 90% chance that the population proportion is a value between $402,754 and $531,515.The variable River_List Price is provided with the sample, and there are many valid statements related to the same.

The following are the correctly worded statements about the variable River_List Price given the sample we have are: We are 90% confident that the interval (402.754,531.515) covers the population mean list price of condos with a view.

There is a 90% chance that the population proportion is a value between $402,754 and $531,515.Thus, the correct options are 1 and 3, and the correct answer is "Which of the following are correctly worded statements about the variable River_List Price given the sample we have are: We are 90% confident that the interval (402.754,531.515) covers the population mean list price of condos with a view and there is a 90% chance that the population proportion is a value between $402,754 and $531,515."

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income statement which separately reports variable costs from fixed costs is known as a(n) multiple choice question. a.fixed format b.variable format c.standard formatd.contribution format

Answers

The income statement that separately reports variable costs from fixed costs is known as a contribution format income statement.

What is an income statement?

An income statement is a financial statement that reveals the profitability of a company over a particular period of time. The statement shows the company's revenues, expenditures, net income, and earnings per share (EPS). The income statement is also known as the profit and loss statement (P&L).

What is a contribution format income statement?

A contribution format income statement is a financial statement that classifies a company's costs according to their variability rather than their function. As a result, it categorizes expenses into either variable or fixed. This income statement separates variable costs from fixed costs to allow for a more accurate analysis of the cost behavior of the firm.

The contribution margin, or the amount of money remaining after variable costs are subtracted from sales revenue, is also reported on a contribution format income statement. In a contribution format income statement, only variable costs are deducted from sales revenue to arrive at the contribution margin.

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A university is trying to determine how much it should charge for tickets to basketball games to help offset the expenses of the new arena. The cost to build the arena including labor, materials, etc. was $ 92 million. Each year the maintenance cost is expected to increase by 5% as the building get older. The maintenance cost of the first year is $ 150,000. Utilities are expected to average about S 200,000 per year and labor costs $ 300,000. The average attendance at basketball games over the year is expected to be 100,000 people (or 100,000 tickets sold to events) which is expected to grow 1% over the life of the arena Assuming the arena has no other source of income besides regular ticket sales for basketballs games, what should the university charge so that it can recover its investment (6% cost of borrowing)? The university expects the arena to be used for 40 years and to have no appreciable salvage value?

Answers

The university should charge for tickets to basketball games in order to help offset the expenses of the new arena. The cost to build the arena including labor, materials, etc. was $92 million. Additionally, the maintenance cost of the first year is $150,000, with the average annual utilities cost at $200,000 and labor costs at $300,000.

The average attendance at basketball games over the year is expected to be 100,000 people (or 100,000 tickets sold to events), and is expected to grow 1% over the life of the arena.

Assuming the arena has no other source of income besides regular ticket sales for basketballs games, the university must charge a price that allows it to recover its investment and 6% cost of borrowing over the expected life of the arena, which is 40 years. The price of the tickets must be such that the revenue from the sale of tickets is able to cover the costs of building, maintaining, and operating the arena, plus the cost of borrowing for the total length of the arena’s lifetime.

To calculate the exact amount that should be charged for each ticket, the total amount of revenue needed should be calculated first. This amount can be determined by multiplying the total cost to build the arena plus the total costs of maintenance, utilities, and labor over the lifetime of the arena (40 years) by the rate of interest (6%). This amount can then be divided by the total number of tickets sold over the lifetime of the arena to arrive at the cost per ticket.

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miguel is the inventory-control manager at an electric skateboard company. he places an order for bearings and mounting hardware based on the firm's daily needs rather than procuring massive quantities once a month because the company has limited storage space. which of the following approaches to inventory control has miguel implemented in this scenario?
A) batch processing system
B) perpetual inventory system
C) computer-assisted manufacturing
D) just-in-time inventory management

Answers

Just-in-time inventory management is the inventory control approach that Miguel has implemented in this scenario. Therefore, option D is correct.

Inventory control is the method of ensuring that inventory levels are maintained at optimal levels so that goods are delivered when they are required while reducing storage and holding expenses. To accomplish this, inventory control uses different techniques such as the just-in-time inventory management system.

Just-in-time inventory management is a technique that aids in the minimization of stock holding costs by producing or buying goods only when they are required for the next stage of production. This method necessitates precise control of each stage of production, which necessitates good communication between producers and suppliers.

JIT encourages suppliers to provide resources and components in the exact amount and at the precise time they are required in the manufacturing process, reducing the inventory carrying cost. In this scenario, Miguel uses this approach because the company has limited storage space, and he orders bearing and mounting hardware based on daily needs rather than procuring massive quantities once a month.

Hence, Option d is correct answer.

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Is the sentence below gramatically correct or does it contain a comma splice?

Answers

The sentence below contains a comma splice, which is an error in grammar.

To fix the sentence, you can either separate the two independent clauses into two separate sentences, or you can use a comma followed by a coordinating conjunction (e.g., for, and, nor, but, or, yet, so).

For example, "I went to the store, and I bought some milk."

Clause: A clause is a group of words that contain a subject and a verb that have a relationship. This relationship is crucial; a clause conveys information about what that subject is or is doing, rather than simply being a random grouping of words. Because a clause expresses an action or a state of being, a clause can often—but not always—function as an independent sentence.

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in which way do employees waste time on social media? multiple choice shopping online sending emails to coworkers

Answers

Employees can waste time on social media in various ways. These include spending too much time on activities such as shopping online, browsing non-work related content, or chatting with friends and colleagues.



It's important to be mindful of how much time is being spent on social media, as it can have a negative impact on productivity and morale. Companies should take steps to limit the amount of time employees spend on social media, such as establishing policies that restrict access and implementing time limits on usage.


Additionally, sending emails to colleagues that are unrelated to work can also be a time waster. By taking a proactive approach to addressing this issue, employers can help ensure that their employees are able to make the most of their time at work and stay productive.

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Correct question is "in which way do employees waste time on social media? multiple choice options

shopping online, sending e-mails to coworkers, calling customers, conducting webinars and surfing internet"

A learning management system is best described as
Multiple Choice
A. a software application that automates the administration, development, and delivery of training programs.
B. a process for determining the appropriateness of training by evaluating the characteristics of the organization.
C. a team of trainers and human resource professionals who are responsible for planning and conducting the training programs in an organization.
D. the process of evaluating the organization, individual employees, and employees' tasks to determine what kinds of training, if any, are necessary.
E. the process of determining individuals' needs and readiness for training.

Answers

A learning management system is best described as the correct option a.) software application that automates the administration, development, and delivery of training programs.

What is a learning management system (LMS)? A learning management system (LMS) is a software system that helps you automate the administration, documentation, monitoring, and delivery of educational courses, training programs, or learning and development programs. LMSs allow you to offer a learning experience that is tailored to individual student's needs while still maintaining control over your business processes.

Managers of corporate and educational organizations use LMSs to provide online training and certification programs for employees or students. The software serves as a platform for producing, hosting, and presenting educational content to users. LMSs are built to be flexible, with the ability to adapt to the specific needs of your business.

An LMS can be utilized in any number of ways, including creating and distributing course material, tracking employee progress, and facilitating communication between students and instructors.

The correct option is a.) software application that automates the administration, development, and delivery of training programs.

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Important differences between the domestic and foreign environments may make a wholesale transfer overseas of the successful domesting merketing mix impossible
(True/False)

Answers

The important differences between the domestic and foreign environments can make a wholesale transfer overseas of the successful domestic marketing mix impossible. Thus the statement is true.

A domestic market is a market that operates within the borders of a country. A domestic market's consumers, as well as a company's operations, are confined to a single country's boundaries.

Marketing products and services to these local consumers are known as domestic marketing. It is the act of introducing a company's goods or services to customers in the same country.

Domestic marketing can be done using a variety of marketing strategies, depending on the company's goals and the target audience.

International marketing is a marketing approach that focuses on selling goods and services outside the firm's domestic market. International marketing aims to expand the business into new regions by providing products and services that are unique and appealing to a diverse range of customers in other countries.

International marketing is concerned with understanding the cultural differences and nuances that influence purchasing behavior in other countries. The successful domestic marketing mix and overseas transfer.

One of the key reasons why it may be difficult to successfully transfer a domestic marketing mix overseas is due to the important differences between the domestic and foreign environments.

As a result, what works well in one country may not be as effective in another. Therefore, the statement is True.

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how to calculate the existing wacc of all equity or unlevered firm?

Answers

The following formula can be used to calculate WACC.                                 WACC = Re * E/V + Rd * (1-T) * D/V    (   Where,     Re is the cost of equity, E is the market value of equity ,D is the market value of debt          , V is the total value of the firm ,  Rd is the cost of debt  ,  T is the corporate tax rate)

WACC (Weighted Average Cost of Capital) is the average cost of all of a company's capital sources, weighted by their relative importance in the company. It is used to evaluate investment options, including capital budgeting, stock analysis, and capital structure assessment. WACC can be calculated using a variety of methods, including All Equity or Unlevered Firm. The following are the steps to compute WACC of an all-equity or unlevered firm:                                          

 Step 1: Determine the risk-free rate of returnThe risk-free rate is the rate that an investor would anticipate on a risk-free investment. It is determined by the current yield on Treasury bills or bonds that are considered to be free of credit risk.            

 Step 2: Determine the expected return of the market.The expected return of the market is the return that an investor anticipates to receive from the overall market, which is frequently measured by the S&P 500. It is essential to identify the rate of return that is appropriate for the size of the company being evaluated.                                                                          Step 3: Determine the cost of equity. Determine the cost of equity by using the Capital Asset Pricing Model (CAPM). This formula will help you determine the cost of equity in order to include it in the WACC calculation. The formula is as follows:R = Rf + (Rm – Rf) β                              Step 4: Determine the WACC.All of the costs of a firm's capital sources are weighted in the WACC calculation. This includes the cost of equity as well as the cost of debt, among other things. The following formula can be used to calculate WACC.                                                                             WACC = Re * E/V + Rd * (1-T) * D/VWhere,Re is the cost of equityE is the market value of equityD is the market value of debtV is the total value of the firmRd is the cost of debtT is the corporate tax rate. Once you've calculated these four measures, you may plug in the values to calculate the all-equity WACC.

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Which of the following is true for a homeowner with a 30-year fixed nominal interest rate mortgage? (Hint: With a fixed nominal interest rate, how does the real interest rate change with inflation - the homeowner will benefit from rising inflation - the homeowner will lose if inflation rises - None of the other answers
- the homeowner will not be affected by inflation or deflation

Answers

The following is true for a homeowner with a 30-year fixed nominal interest rate mortgage is e. the homeowner will not be affected by inflation or deflation.

A 30-year fixed nominal interest rate mortgage is a home loan that provides monthly payments to borrowers at a fixed interest rate for the entire 30-year term of the loan. With a fixed nominal interest rate mortgage, the homeowner will not be affected by inflation or deflation. The nominal interest rate is unaffected by changes in inflation or deflation, and this means that the interest rate on the mortgage will stay constant over the entire life of the loan.

As a result, the real interest rate will vary depending on the inflation rate. The real interest rate rises when the inflation rate falls, and the real interest rate falls when the inflation rate rises. As a result, a homeowner with a fixed nominal interest rate mortgage will not be affected by inflation or deflation since the nominal interest rate will remain constant over the entire 30-year term of the loan.

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An economy in which a central authority draws up a plan that establishes what will be produced, how, and when, sets production goals, and makes rules for distribution is
A. a modern socialist economy.
B. a laissez-faire economy.
C. a command or traditional socialist economy.
D. a capitalist economy

Answers

The economy in which a central authority draws up a plan that establishes what will be produced, how, and when, sets production goals, and makes rules for distribution is a C: "command or traditional socialist economy".

A command or traditional socialist economy is one in which the government has complete control over the economy. The state directs all major economic activities and production decisions, and private ownership of property is minimal.

In such economies, the government typically owns and manages essential industries, such as oil and gas, transportation, and electricity generation, as well as other essential infrastructure, such as roads, bridges, and public utilities. The government also sets the prices of goods and services, wages, and salaries in a command or traditional socialist economy.

So, option C is the correct answer.

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A period of economic decline that follows the highest point in a business cycle is called a(n)
answer: contraction

Answers

Contraction refers to the period of economic recession that follows the peak of a business cycle.

What exactly is economic contraction?

There are two sides to the economy: recession and boom. Reccession means that the majority of businesses are losing money, causing people to have low purchasing power. On the other hand, a thriving economy means that all businesses are doing well, and as a result, people's purchasing power is higher. The business cycle has four faces: expansion, peak, contraction, and trough. Contraction is a component of the business cycle. In economics, contraction refers to a phase in the business cycle whereby the economic growth as a whole is in downturn. A contraction usually occurs after the real economy has peaked but before it begins to decline.

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Freedonia has a comparative advantage In the production ofwhile Desonia has a comparative advantage in the production of Suppose that Freedonia and Desoria specialize in the production of the goods which each has a comparative advantage. After specialization, the two countrles can produce a total million pounds of potatoes and pounds of coffee

Answers

Comparative advantage is a term used in global commerce which means a country can make something with less cost than another. When a country focuses on making what they're good at and trades with others, everyone gets more stuff and it's more efficient.

Comparative advantage is a concept in international trade that describes a situation where a country can produce a good or service at a lower opportunity cost than another country. This means that a country can produce a particular good more efficiently or at a lower cost than another country, even if it does not have an absolute advantage in producing that good. When countries specialize in producing goods in which they have a comparative advantage, and then trade with each other, both countries can benefit from increased efficiency and access to a wider range of goods and services.

Therefore, in conclusion it can be said that comparative advantage is a concept in international trade that refers to a country's ability to produce a good or service at a lower opportunity cost than another country. Specialization in producing goods in which a country has a comparative advantage and then trading with other countries can result in increased efficiency and access to a wider range of goods and services, leading to mutual benefits for all countries involved.

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The question is :

What is comparative advantage in international trade?

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