The incorrect statement concerning the function of money is d. Money does not lose value when inflation occurs.
Money serves various functions in an economy, including acting as a medium of exchange, a unit of account, a store of value, and a standard of deferred payment. While money helps facilitate transactions and provides a measure of value for goods and services (a), it also helps overcome the challenge of a double coincidence of wants (b) by providing a universally accepted medium of exchange. Additionally, money saves time in purchasing goods and services (c) by eliminating the need for barter and reducing transaction costs. However, it's important to note that money can lose value during periods of inflation. Inflation erodes the purchasing power of money over time, as the general price level increases. Therefore, option d is incorrect as money's value can indeed be affected by inflation.
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Your client, Summerford, Inc., has a debt agreement with Valley City Bank that includes a number of restrictions and covenants. Violation of any restriction or covenant results in the entire amount of the debt becoming due immediately. For each of the following, provide audit procedures that will address whether Summerford has met the restriction or covenant.
a. A current ratio of at least 1.5 to 1 must be maintained at year end.
b. No dividends may be paid in years in which there is a net loss. When there is net income, no more than one half of the net income may be paid out in dividends.
c. The accounts receivable inventory serve as security on the loan.
d. The total of the president's and vice president's salaries may not exceed $800,000 during the duration of the loan.
e. Monthly payments as per the agreement are due by the 10th of the following month.
a. To address whether Summerford has met the current ratio restriction, the auditor can perform the following audit procedures: - Obtain the trial balance and financial statements of Summerford
of Summerford at year-end.
- Calculate the current ratio by dividing current assets by current liabilities. - Compare the calculated current ratio with the required minimum ratio of 1.5 to 1 specified in the debt agreement.
- Investigate any significant variances or discrepancies and discuss with management. - Review supporting documentation and relevant accounts to assess the accuracy and classification of current assets and liabilities.
b. To address compliance with dividend restrictions, the auditor can perform the following audit procedures:
- Obtain the income statement for the year and identify if there was a net loss or net income. - Calculate the maximum allowable dividend payout based on one-half of the net income, if applicable.
- Compare the actual dividends paid, as disclosed by the client, with the allowable limit. - Review board minutes or dividend declarations to verify the accuracy of dividend payments.
- Investigate any nces of non-compliance and discuss with management.
c. To address the accounts receivable inventory serving as security, the auditor can perform the following audit procedures: - Obtain the loan agreement and review the terms and conditions related to the accounts receivable inventory as security.
- Inspect the supporting documentation for the accounts receivable, including invoices, sales contracts, and customer records. - Perform confirmation procedures with selected customers to verify the existence and ownership of the accounts receivable.
- Evaluate the appropriateness of the valuation and classification of the accounts receivable and assess the sufficiency of the allowance for doubtful accounts.
d. To address the salary restriction for the president and vice president, the auditor can perform the following audit procedures: - Obtain the employment contracts or agreements for the president and vice president.
- Review the payroll records and documentation supporting their salaries. - Compare the cumulative salaries paid to the president and vice president with the specified limit of $800,000.
- Verify the accuracy of the payroll calculations and ensure compliance with any related bonus or incentive arrangements. - Discuss with management any potential nces of non-compliance and assess their explanations and justifications.
e. To address compliance with the monthly payment due date, the auditor can perform the following audit procedures:
- Obtain the loan agreement and review the terms and conditions related to the monthly payments. - Review bank statements or other supporting documentation to verify the timing and amount of the monthly payments.
- Compare the payment dates recorded by the client with the specified due date of the 10th of the following month. - Investigate any delays or discrepancies and discuss with management.
- Reconcile the payments made to the loan agreement to ensure accuracy and completeness.
It's important to note that these audit procedures are general examples and may need to be tailored based on the specific circumstances and terms of the debt agreement. Additionally, auditors may need to consider other relevant procedures and obtain sufficient and appropriate audit evidence to support their conclusions.
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Eastman Kodak's and Sears' long-term industry success gave rise to
Question 36 options:
a)
high-performance cultures.
b)
unethical and greed-driven cultures.
c)
clashing subcultures.
d)
bureaucratic cultures.
e)
insular and change-resistant cultures.
Eastman Kodak's and Sears' long-term industry success gave rise to insular and change-resistant cultures.
What is a Corporate culture?
Corporate culture is an organization's set of shared ideals, traditions, and norms. Corporate culture examples include a focus on customer service, a supportive workplace, and ethical behavior. Other instances include emphasizing productivity, teamwork, and technology utilization.
Clan culture, adhocracy culture, market culture, and hierarchical culture were the 4 forms of culture they recognized.
A supportive environment at all organizational levels, policies that promote respect, trust, empathy, and support are all characteristics of a strong workplace culture.
Employees in a culture that is driven by purpose feel deeply responsible for it: Teams are more motivated by purpose, which also influences their decisions and directs daily behavior.
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when the price level rises because the AD curve shifts rightward, the economy experiences ____
When the price level rises because the Aggregate Demand (AD) curve shifts rightward, the economy experiences inflation. Inflation is the general increase in prices over time, resulting in a decrease in the purchasing power of money.
An increase in aggregate demand can be caused by factors such as increased consumer spending, government expenditure, or net exports. This increase in demand leads to upward pressure on prices, as businesses respond to higher demand by raising prices to maximize profits. As a result, the overall price level in the economy rises.
Inflation can have various impacts on the economy, including reduced purchasing power, uncertainty in planning and investment, and redistribution of income and wealth. Central banks often use monetary policy tools, such as adjusting interest rates or implementing open market operations, to manage inflation and stabilize the economy.
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(Preparation of Operating Activities Section-Direct Method) Krauss Company's income statement for the year ended December 31, 2017, contained the following condensed information Service revenue $840,000 Operating expenses (excluding depreciation) $624,000 Depreciation expense 60.000
Loss on sale of equipment 26,000 710,000 Income before income taxes 130,000
Income tax expense 40,000 Net income 90,000 Krauss's balance sheet contained the following comparative data at December 31 2017 2016 Accounts receivable $37,000 $54,000 Accounts payable 41,000 31,000
Income taxes payable 4,000 8,500 (Accounts payable pertains to operating expenses.) Instructions Prepare the operating activities section of the statement of cash flows using the direct method. E23-6 (LO2,3) (Preparation of Operating Activities Section-Indirect Method) Data for Krauss Company are presented in E23-5. Instructions Prepare the operating activities section of the statement of cash flows using the indirect method
The net cash provided by operating activities using the direct method for Krauss Company is $244,000.
For Krauss Company, the operating activities section of the statement of cash flows using the direct method can be prepared as follows:
Cash received from customers:
Service revenue $840,000
Less: Decrease in accounts receivable ($54,000 - $37,000) $17,000
Cash received from customers $823,000
Cash paid for operating expenses:
Operating expenses (excluding depreciation) $624,000
Add: Increase in accounts payable ($41,000 - $31,000) $10,000
Less: Decrease in income taxes payable ($8,500 - $4,000) $4,500
Cash paid for operating expenses $629,500
Cash paid for income taxes:
Income tax expense $40,000
Less: Decrease in income taxes payable ($8,500 - $4,000) $4,500
Cash paid for income taxes $35,500
Cash paid for interest:
N/A
Cash received from other operating activities:
Loss on sale of equipment $26,000
Add: Depreciation expense $60,000
Total $86,000
Net cash provided by operating activities:
Cash received from customers $823,000
Cash paid for operating expenses ($629,500)
Cash paid for income taxes ($35,500)
Cash received from other operating activities $86,000
Net cash provided by operating activities $244,000
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the value of net exports equals the value of a. national saving – net capital outflow. b. national saving – domestic investment. c. national saving. d. public saving.
The value of net exports equals the value of option a: national saving minus net capital outflow.
Net exports represent the difference between a country's exports and imports. It measures the value of goods and services that a country sells to the rest of the world minus the value of goods and services it buys from the rest of the world.
Option a states that net exports equal national saving minus net capital outflow. National saving represents the portion of a country's income that is not consumed but instead saved. It includes savings by households, businesses, and the government. Net capital outflow refers to the difference between the purchase of foreign assets by domestic residents and the purchase of domestic assets by foreigners.
This equation suggests that a country's net exports can be influenced by its saving behavior and capital flows. If a country saves more than it invests domestically (positive net capital outflow), it would have surplus funds to invest abroad, resulting in a decrease in net exports. Conversely, if a country invests more domestically than it saves (negative net capital outflow), it would need to borrow from abroad, leading to an increase in net exports.
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because riskier assets offer ____ returns, a bank's strategy to increase its return will typically entail a(n) ____ in the overall credit risk of its asset portfolio.
Because riskier assets offer higher returns, a bank's strategy to increase its return will typically entail an increase in the overall credit risk of its asset portfolio.
In order to generate higher returns, banks may choose to invest in riskier assets that have the potential for greater profitability. Riskier assets, such as high-yield bonds or stocks of volatile companies, often come with higher levels of credit risk. This means that there is a greater likelihood of default or non-payment by the borrower or issuer of the asset.
By increasing the overall credit risk of its asset portfolio, the bank is exposing itself to a higher probability of losses. However, the potential for higher returns is also greater. This strategy reflects the trade-off between risk and return that banks must navigate in their pursuit of profitability.
Banks typically employ risk management practices to mitigate the potential negative impacts of increased credit risk. These practices include diversification of the asset portfolio, rigorous credit analysis and underwriting processes, and ongoing monitoring and management of credit exposures. By carefully managing the credit risk associated with riskier assets, banks aim to strike a balance between increasing returns and maintaining a prudent level of risk.
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Consistent with ASC Topic 842, at the inception of the lease, lessees must recognize a "right-of-use" asset for which type of lease(s)?
(a) Finance leases
(b) Finance leases and short-term leases
(c) Finance leases and operating leases
(d) Finance, short-term, and operating leases
The correct answer is (d) Finance, short-term, and operating leases.
According to ASC Topic 842, lessees are required to recognize a "right-of-use" asset at the inception of the lease for all types of leases, including finance leases, short-term leases, and operating leases. The recognition of the "right-of-use" asset represents the lessee's control over the underlying leased asset during the lease term.
Finance leases are leases that transfer substantially all the risks and rewards of ownership to the lessee, while operating leases are leases that do not meet the criteria of a finance lease. Short-term leases have a lease term of 12 months or less.
ASC Topic 842 aims to provide a more transparent and comprehensive approach to lease accounting, requiring lessees to recognize lease assets and lease liabilities on their balance sheets for most leases.
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Silvia, a manager, came into your office last week to talk about increasing her budget. She regularly gives bonuses and small prizes when her employees meet their production goals. (Referent, legitimate, reward, coercive, expert)
Silvia is using the reward power base to motivate her employees. Reward power is a type of influence or control that someone has over others based on their ability to offer rewards or positive incentives.
In this scenario, Silvia is utilising her managerial authority to provide bonuses and little rewards to her employees who meet their production targets.
By doing so, she instills inspiration in her employees and encourages them to work hard in order to meet their goals.
Managers can use reward power to influence and encourage their personnel. Managers may establish a healthy work atmosphere and inspire employees to be more productive and involved in their job by rewarding good performance.
This method is frequently more effective than utilising coercive power, which entails the threat of punishment or negative repercussions for bad performance.
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The type of power Silvia is using is "reward power." She is offering bonuses and small prizes to her employees when they meet their production goals, which is an example of using rewards to influence behavior.
Reward power is a type of power that is based on a person's ability to give rewards or positive consequences for compliance. This power can be used to motivate employees to achieve their goals or to follow the manager's directives. It is a type of positive reinforcement that can be effective in motivating employees to work harder and to be more productive. However, managers should be careful to ensure that the rewards are given fairly and equitably to all employees and that they do not lead to negative consequences such as resentment or jealousy among team members.
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portia company is a retailer of hammers. portia pays $3.95 for each hammer and sells them for $8.15. monthly fixed costs are $25,200. the hammer cost is the only variable cost.
To determine the breakeven point in units for Portia Company, we can use the formula:
Breakeven Point (in units) = Fixed Costs / Contribution Margin per Unit
First, let's calculate the contribution margin per unit:
Contribution Margin per Unit = Selling Price per Unit - Variable Cost per Unit
Selling Price per Unit = $8.15
Variable Cost per Unit = $3.95
Contribution Margin per Unit = $8.15 - $3.95 = $4.20
Now, we can calculate the breakeven point in units:
Breakeven Point (in units) = $25,200 / $4.20 = 6,000 units
Therefore, Portia Company needs to sell 6,000 hammers to cover its fixed costs and reach the breakeven point.
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describe how non-US farmers have responded to the pressure from US farmers’ enhanced ability in growing food using advances in aerospace engineering technology (UAVs, GPS).
Non-US farmers have responded to the pressure from US farmers’ enhanced ability in growing food using advances in aerospace engineering technology such as UAVs (Unmanned Aerial Vehicles) and GPS (Global Positioning System) in various ways.
Some farmers have also embraced the use of these technologies in their farming practices to remain competitive in the global market. They have adopted precision agriculture techniques that allow for more efficient use of resources, increased yields, and improved crop quality.
Other farmers have opted to focus on producing unique crops and niche products that are not easily grown using the high-tech methods employed by US farmers. These farmers have leveraged their local knowledge and expertise to create value-added products that cater to the specific needs of their customers.
In some cases, non-US farmers have also formed partnerships with US farmers to share knowledge and expertise. This collaboration has allowed farmers from both sides to learn from each other and adopt new farming practices that improve their productivity and sustainability.
Overall, non-US farmers have responded to the pressure from US farmers’ enhanced ability in growing food using advances in aerospace engineering technology by adopting new farming practices, focusing on unique crops, and forming partnerships to remain competitive in the global market.
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can you conjecture why the authors did not include the birm bixed effect in their basic specibication?
It's possible that the authors did not include the "firm fixed effect" in their basic specification for a few reasons.
First, they might have wanted to keep the model simple and easy to interpret. Adding fixed effects can make the analysis more complex and challenging to understand, especially for readers who are not familiar with the concept.
Second, the authors might have believed that the variables they included in the basic specification were sufficient to control for any unobserved factors related to the firm. This would mean that the firm fixed effect would have little or no additional explanatory power and would not significantly improve the model's accuracy.
Third, including fixed effects can lead to multicollinearity issues, which can cause unstable estimates and make it difficult to draw clear conclusions from the results. By excluding the firm fixed effect, the authors might have aimed to avoid such issues and ensure that their findings were robust.
Lastly, there may have been data limitations or computational constraints that prevented the authors from including the firm fixed effect. This could include lack of data on certain firms or the large size of the dataset, making it computationally challenging to include fixed effects in the analysis.
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Without knowing the specific context of the study or paper being referred to, it is difficult to provide a definitive answer. However, in general, the decision to include or exclude fixed effects in a statistical analysis depends on the research question being asked and the data being used.
Fixed effects can be useful in accounting for unobserved or time-invariant heterogeneity across observations, such as differences between individuals, firms, or countries. Including fixed effects can also help to control for endogeneity or omitted variable bias.That being said, including fixed effects in a regression model can also increase the complexity of the analysis and reduce the degrees of freedom, potentially leading to overfitting or estimation problems. Additionally, including fixed effects can limit the generalizability of the results beyond the specific sample used in the analysis. Therefore, the decision to include or exclude fixed effects should be based on a careful consideration of the research question, the available data, and the potential benefits and drawbacks of including fixed effects.
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walls of metal-framed buildings are strengthened by diagonal straps or the use of plywood or osb sheathing at the corners. T/F
True. Walls of metal-framed buildings are strengthened by diagonal straps or the use of plywood or OSB sheathing at the corners.
In metal-framed buildings, additional reinforcement is often required to enhance the structural integrity of the walls. This reinforcement can be achieved through the use of diagonal straps or the application of plywood or oriented strand board (OSB) sheathing at the corners.
Diagonal straps are metal components that are installed diagonally across the corners of the building's walls. These straps help to strengthen and stabilize the walls by providing additional support against lateral forces such as wind or seismic activity.
Alternatively, plywood or OSB sheathing can be used to reinforce the walls. These materials are typically attached to the exterior surface of the metal framing at the corners, creating a solid and rigid structure. The sheathing acts as a bracing element, distributing and resisting the forces acting on the walls, thus enhancing their strength and stability.
Both diagonal straps and the use of plywood or OSB sheathing at the corners are common methods employed in metal-framed buildings to strengthen the walls. These measures help ensure the structural integrity and safety of the building, particularly in regions prone to high winds or seismic activity. Therefore, it is true that these techniques are used to strengthen the walls of metal-framed buildings.
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prepare journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system.
The journal entries for given merchandising transactions are Nov 5: Inventory Dr. $8,500 and Accounts Payable Cr. $8,500; Nov 7: Accounts Payable Dr. $300 and Inventory Cr. $300; and Nov 15: Accounts Payable Dr. $8,200 and Cash Cr. $8,200.
Here are the journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system:
Nov 5: Purchased 850 units of product at a cost of $10 per unit. Terms of the sale are 3/10, n/60; the invoice is dated November 5.
Inventory (Dr) $8,500
Accounts Payable (Cr) $8,500
This entry records the purchase of 850 units of product at a cost of $10 per unit. The total cost of the purchase is $8,500, which is debited to Inventory. The corresponding credit entry is made to Accounts Payable, which is the liability account that tracks the amount owed to the supplier.
Nov. 7: Returned 30 defective units from the November 5 purchase and received full credit.
Accounts Payable (Dr) $300
Inventory (Cr) $300
This entry reverses the initial entry made on November 5 for the 30 defective units that were returned. The cost of the returned units is $300, which is debited to Accounts Payable, reducing the amount owed to the supplier. The corresponding credit entry is made to Inventory, reducing the quantity and cost of the units in inventory.
Nov. 15: Paid the amount due from the November 5 purchase, minus the return on November 7.
Accounts Payable (Dr) $8,200
Cash (Cr) $8,200
This entry records the payment made to the supplier for the November 5 purchase, less the return made on November 7. The amount paid is $8,200, which is debited to Accounts Payable, reducing the amount owed to the supplier. The corresponding credit entry is made to Cash, which is the asset account that tracks the payment made to the supplier.
Note: The question is incomplete. The complete question probably is: Prepare journal entries to record each of the merchandising transactions assuming that the company records purchases using the gross method and a periodic inventory system. 5 Purchased 850 units of product at a cost of $10 per unit. Terms of the sale are 3/10, n/60; the invoice is dated November 5. Nov. 7 Returned 30 defective units from the November 5 purchase and received full credit. Nov. 15 Paid the amount due from the November 5 purchase, minus the return on November 7. Nov.
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when each location of a hash table can represent more than one value, that location is called a(n)
When each location of a hash table can represent more than one value, that location is called a collision.
A collision occurs when two or more keys are hashed to the same index in the table. In such a scenario, a collision resolution strategy is used to determine the location of the value. There are two main types of collision resolution strategies: open addressing and chaining.
In open addressing, when a collision occurs, the algorithm searches for the next available empty slot in the table and inserts the value there. This process is repeated until an empty slot is found. However, if the table is full, the algorithm fails to insert the value. On the other hand, in chaining, when a collision occurs, the algorithm creates a linked list of values at the same location in the table. Each node of the list contains a value and a reference to the next node in the list.
It is important to note that the occurrence of collisions can significantly affect the performance of a hash table. Therefore, choosing an appropriate hash function that distributes the keys uniformly across the table can minimize the number of collisions. Additionally, selecting an efficient collision resolution strategy can further improve the performance of the hash table.
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fedex and united parcel service (ups) compete in many of the same markets and have similar types of truck and airplane fleets, similar levels of financial capital, and other similarities. these tangible and intangible resources between the two firms describe the:
The tangible and intangible resources shared by FedEx and United Parcel Service (UPS) describe the competitive parity between the two firms. They compete in similar markets and possess comparable truck and aeroplane fleets, financial capital, and other resources. This similarity in resources creates a level playing field where neither company has a distinct advantage over the other based on their tangible and intangible assets.
FedEx and UPS are direct competitors in the logistics and package delivery industry. They operate in overlapping markets and offer similar services, making their tangible resources, such as truck and aeroplane fleets, crucial for their operations. Both companies have invested heavily in building extensive transportation networks, with fleets of trucks and cargo planes to facilitate timely and efficient deliveries.
Furthermore, FedEx and UPS possess similar levels of financial capital. They have substantial resources at their disposal to invest in infrastructure, technology, marketing, and other strategic initiatives. This financial parity enables both companies to make comparable investments and compete effectively in the market.
In addition to tangible resources, intangible assets also play a significant role in shaping the competitive landscape between FedEx and UPS. Both companies have established strong brand identities and customer loyalty over the years. They have built reputations for reliability, quality service, and innovative solutions. These intangible resources, such as brand equity and customer relationships, contribute to their competitive parity.
Considering the shared tangible and intangible resources, it can be concluded that FedEx and UPS have similar competitive advantages and face comparable challenges in the industry. The competition between these two companies is primarily driven by factors other than resource disparities, such as operational efficiency, service differentiation, pricing strategies, and customer experience.
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fitb. online auctions are an example of ____ e-commerce because one person auctions an item to another person.
Online auctions are an example of C2C (consumer-to-consumer) e-commerce because one person auctions an item to another person.
In C2C e-commerce, individuals directly engage in transactions with each other through an online platform, without the involvement of a middleman or a business entity. These platforms provide a virtual marketplace where individuals can list items for sale and others can bid on them.
Online auctions have gained popularity due to their convenience, wider reach, and the ability to connect buyers and sellers from different geographical locations. This form of e-commerce allows individuals to sell their used or unwanted items, while buyers can bid and potentially acquire goods at competitive prices.
Online auctions fall under the category of C2C e-commerce because they facilitate direct transactions between individual sellers and buyers. Unlike B2C (business-to-consumer) or B2B (business-to-business) e-commerce, where businesses are involved in selling products or services, C2C e-commerce involves individuals acting as both sellers and buyers. In an online auction, the seller sets a starting price or reserve price for an item and potential buyers bid on it. The highest bidder at the end of the auction wins the item.
The auction platform provides a platform for individuals to interact, place bids, and conduct transactions. This form of e-commerce has become popular with the rise of online marketplaces and auction platforms, which enable individuals to reach a larger audience and potentially get better prices for their items. Overall, online auctions exemplify the C2C model of e-commerce, facilitating direct transactions between individuals in a virtual marketplace.
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a developing country that exports nearly 75 of all its raw materials has
A developing country that exports nearly 75% of all its raw materials faces certain challenges. A developing country that relies heavily on raw material exports should consider a range of strategies to promote sustainable and diversified economic growth.
Such a country may be heavily reliant on the export of raw materials, which can make it vulnerable to fluctuations in global commodity prices. Additionally, a focus on raw material exports can result in a lack of diversification in the economy, which can limit long-term growth prospects.
To address these challenges, the country may need to consider strategies to diversify its economy and promote the development of value-added industries. This could involve investing in education and training programs to develop a skilled workforce, promoting entrepreneurship and innovation, and improving infrastructure to facilitate business growth.
Another consideration is the impact of raw material extraction on the environment and local communities. The country may need to implement policies and regulations to ensure that extraction activities are conducted in a sustainable and socially responsible manner.
Overall, a developing country that relies heavily on raw material exports should consider a range of strategies to promote sustainable and diversified economic growth.
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You have been asked to develop a pro forma statement of cash flow for West Office Plaza. The information given to you is listed below. Property Information: WEST OFFICE PLAZA Rentable Area Age Number of Stories Number of Tenants 312,000 square feet 8 years 15 40 Financial Information: Base Rent Average Other Income/Parking/Storage Expenses Recoverable from Tenants Current Vacancy $ 20 per square feet $ 2.10 per square feet $ 3.10 per square feet 5 Expenses: Management/Administration/Security/Ownership $ 696,20€ Property Taxes $ 678,000 Insurance $. 431,200 General Operations/Leasing Expense/Marketing $ 670,000 Utilities $ 1,162, 100 Janitorial/Cleaning $ 492,000 Business Taxes $ 113,000 Other : Recurring CAPEX/Improvement Allowance $703,000 Required: a. Develop a pro forma statement of cash flow for a base year showing net operating income (NOI) for West Office Plaza.
The pro forma statement of cash flow for West Office Plaza for the base year shows a net operating income (NOI) of $4,925,000. This is calculated by subtracting the total expenses of $3,277,320 (management/administration/security/ownership, property taxes, insurance, general operations/leasing expense/marketing, utilities, janitorial/cleaning, business taxes, and recurring CAPEX/improvement allowance) from the total revenue of $8,202,320 (base rent of $20 per square foot for 312,000 square feet, average other income/parking/storage of $2.10 per square foot, and recoverable expenses from tenants of $3.10 per square foot, multiplied by 312,000 square feet). The current vacancy rate was not given, so it is assumed to be 0% for the base year.
To develop a pro forma statement of cash flow for West Office Plaza, follow these steps:
1. Calculate Total Potential Rent: Rentable Area (312,000 sq ft) x Base Rent ($20/sq ft) = $6,240,000
2. Calculate Vacancy Loss: Total Potential Rent x Vacancy Rate (5%) = $312,000
3. Calculate Effective Rental Income: Total Potential Rent - Vacancy Loss = $5,928,000
4. Calculate Other Income: Rentable Area x Other Income ($2.10/sq ft) = $655,200
5. Calculate Total Income: Effective Rental Income + Other Income = $6,583,200
6. Calculate Recoverable Expenses: Rentable Area x Recoverable Expenses ($3.10/sq ft) = $967,200
7. Calculate Total Operating Expenses: Sum of all listed expenses = $4,841,500
8. Calculate Net Operating Income (NOI): Total Income - (Total Operating Expenses - Recoverable Expenses) = $6,583,200 - ($4,841,500 - $967,200) = $2,708,900
The pro forma statement of cash flow for a base year showing net operating income (NOI) for West Office Plaza is $2,708,900.
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The following are selected data from Great White Corporation's year-end financial statements. Net Income $350,000 Sales $815,000 COGS $425,000 Operating Income $275,000 Total Assets $215,000 What is the Operating profit margin for Great White Corp.? a. 52.15% b.33.74% c. 26.38% d. 42.94%
To calculate the operating profit margin for Great White Corporation, we need to divide the operating income by the sales and then multiply by 100 to get the percentage. So, operating profit margin = (Operating Income/Sales) x 100.
Operating profit margin = (275,000/815,000) x 100 = 33.74%.
This means that for every dollar of sales, Great White Corporation is earning a profit of 33.74 cents. Operating profit margin is a key profitability ratio that helps to measure a company's operating efficiency and profitability.
A higher operating profit margin indicates that the company is generating more profit per dollar of sales, which is a positive sign for investors and stakeholders.
In this case, Great White Corporation has an operating profit margin of 33.74%, which is a good indication of its operating efficiency.
However, it is important to consider other factors such as industry benchmarks, competitors, and economic conditions to get a comprehensive understanding of the company's financial health and performance.
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The answer is option (b) 33.74%. Great White Corporation's operating profit margin is 33.74%, which means that for every dollar of sales, the company earns 33.74 cents of operating profit.
To calculate the operating profit margin, we need to divide the operating income by sales and express the result as a percentage:
Operating profit margin = (Operating Income / Sales) x 100
Plugging in the given values:
Operating profit margin = (275,000 / 815,000) x 100 = 33.74%
Therefore, the answer is option (b) 33.74%. Great White Corporation's operating profit margin is 33.74%, which means that for every dollar of sales, the company earns 33.74 cents of operating profit.
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if you grant a nonpossessory interest to eagle logging to enter your land and remove timber from ten acres, you have granted eagle a profit.T/F?
True, if you grant a nonpossessory interest to Eagle Logging to enter your land and remove timber from ten acres, you have granted Eagle a profit.
Granting a nonpossessory interest, specifically a profit, to Eagle Logging means that you have given them the right to enter your land and extract timber from a specified portion of it. A profit is a type of nonpossessory interest where the holder is entitled to the produce or profit derived from the land rather than having actual possession or ownership of the land itself. In this case, by granting Eagle Logging the right to remove timber from ten acres of your land, you have essentially granted them the profit associated with that timber extraction
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is $970,000. new leasing company is in the 25 percent tax bracket. there are no transaction costs to the lease. each firm can borrow at 6 percent. a. what is quartz’s reservation price?
The Quartz's reservation price is $43,650.
We need to calculate Quartz's reservation price for leasing the asset. The key terms here are:
1. Asset value: $970,000
2. Tax bracket: 25%
3. Borrowing rate: 6%
First, let's determine the after-tax borrowing rate for Quartz:
After-tax borrowing rate = Borrowing rate * (1 - Tax bracket)
After-tax borrowing rate = 6% * (1 - 0.25) = 6% * 0.75 = 4.5%
Now, we can calculate the reservation price. The reservation price represents the maximum price that Quartz would be willing to pay for the lease without incurring a loss. Since the reservation price equals the present value of after-tax interest payments, we can use the following formula:
Reservation price = Asset value * (After-tax borrowing rate)
Reservation price = $970,000 * 0.045 = $43,650
Quartz's reservation price is $43,650.
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An improvement in school quality translates into an increase in which model parameter?
A) H
B) z
C) b
D) 1-u
The given options (H, z, b, 1-u) are not familiar model parameters in this context. If you provide more information about the specific model or context you are referring to, I can try to help you determine which parameter may be affected by an improvement in school quality.
When discussing the relationship between school quality and model parameters, it would depend on the specific model being referred to. Different models may incorporate different variables and parameters to represent various aspects of the system being analyzed. Without specific information about the model, it is challenging to determine exactly which parameter would be affected by an improvement in school quality.
However, in educational research and economic models, an improvement in school quality is often associated with positive outcomes such as student achievement, graduation rates, or economic productivity. These outcomes can be influenced by a range of factors, including teacher quality, curriculum, resources, and school environment.
In some models, an improvement in school quality could lead to changes in parameters related to student performance or educational attainment. For example, it could result in an increase in the parameter representing academic achievement or educational attainment levels.
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calculate the monthly payment on a $55,000, 7 year loan assuming an apr of 5 percent compounded monthly. (needs: nper, rate, pv)
The monthly payment for a $55,000 loan with a 7-year term and a monthly compounded APR of 5% is $765.71.
We must apply the present value of an annuity formula to get the monthly loan payment:
PMT is calculated as PV * (r * (1 + r)n) / ((1 + r)n - 1).
Where PMT stands for the monthly payment, PV for the loan's principle or present value, r for the interest rate, and n for the number of payments each month.
In this instance, the loan's current value or principle is $55,000, its annual percentage rate is 5% compounded on a monthly basis, and its duration is 7 years, or 84 months.
We divide the APR by 12 to get the monthly interest rate:
r = 0.05 / 12 = 0.004167
We multiply the number of years by 12 to get the total number of monthly payments:
n = 7 * 12 = 84
We can now solve for PMT by entering these values into the formula:
PMT = 55,000 * (0.004167 * (1 + 0.004167)^84) / ((1 + 0.004167)^84 - 1) = $765.71
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To calculate the monthly payment on a $55,000, 7-year loan assuming an APR of 5% compounded monthly, we can use the PMT function in Excel or a financial calculator.
The nper (number of periods) is 7 years * 12 months per year = 84 months. The rate is 5% / 12 = 0.004167 per month. The pv (present value) is $55,000. Using these values, we can calculate the monthly payment as: =PMT(0.004167, 84, -55000) . This gives us a monthly payment of approximately $785.15. Therefore, the borrower would need to make monthly payments of $785.15 for 84 months to fully pay off the loan.
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assume hamburgers and hamburger buns are complements. if a tax is imposed on hamburgers, how will that affect the market for hamburger buns?
If a tax is imposed on hamburgers, the market for hamburger buns is likely to be negatively affected due to their complementary relationship.
Hamburgers and hamburger buns are considered complements, meaning they are typically consumed together. When a tax is imposed on hamburgers, the price of hamburgers increases. This increase in price leads to a decrease in the demand for hamburgers, as consumers are now less willing to pay the higher price. Consequently, the decrease in demand for hamburgers reduces the demand for hamburger buns, as fewer hamburgers are being purchased and consumed.
The imposition of a tax on hamburgers indirectly affects the market for hamburger buns through the change in demand. As the demand for hamburgers decreases, the quantity demanded for hamburger buns also decreases. This can lead to a decrease in the price of hamburger buns as suppliers try to adjust to the reduced demand. In addition, the decrease in demand may also result in lower production levels for hamburger buns, as producers respond to the changing market conditions. Overall, the tax on hamburgers can have a negative impact on the market for hamburger buns due to their complementary relationship and the subsequent changes in demand and supply.
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true/false. A second party certification of ISO 9000 for a firm implies that: A company that has won the Malcolm Baldrige National Quality Award audits the firm.
False. A second-party certification of ISO 9000 for a firm does not necessarily imply that a company that has won the Malcolm Baldrige National Quality Award audits the firm.
False. A second-party certification of ISO 9000 for a firm does not necessarily imply that a company that has won the Malcolm Baldrige National Quality Award audits the firm. ISO 9000 is a set of international standards that outline the requirements for a quality management system (QMS). The certification process involves a third-party auditor conducting an assessment to determine if the company's QMS meets the ISO 9000 standards. This certification provides a level of assurance to customers and stakeholders that the company is committed to quality and continuous improvement. On the other hand, the Malcolm Baldrige National Quality Award is a prestigious award in the United States that recognizes companies that have demonstrated excellence in quality management and overall performance. The award is given by the National Institute of Standards and Technology (NIST) and the recipients are chosen based on a rigorous evaluation process that involves a panel of judges. While there may be some overlap in the evaluation criteria for ISO 9000 and the Malcolm Baldrige National Quality Award, they are separate processes and do not necessarily involve each other. Therefore, a company that has obtained ISO 9000 certification does not automatically mean that they have been audited by a company that has won the Malcolm Baldrige National Quality Award.
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In a Treasury bond quote with a $1000 face value, you find the bid is equal to 100:24 and the ask is equal to 100:26. You could buy this bond for $1008.125.a. Trueb. False
The given statement "In a Treasury bond quote with a $1000 face value, you find the bid is equal to 100:24 and the ask is equal to 100:26" is true, because means that the bond could be purchased for $1,008.125 ($1,000 x 1.008125), which matches the answer given in the question.
To understand why, let's first break down the bid and ask prices. The bid price of 100:24 means that a buyer is willing to purchase the bond for $1,002.50 per $1,000 face value. The ask price of 100:26 means that a seller is willing to sell the bond for $1,003.125 per $1,000 face value.
To calculate the midpoint price, which is the price at which the bond could be traded, we add the bid and ask prices and divide by 2. So, the midpoint price would be:
(100:24 + 100:26) / 2 = 100:25
To convert this price into a decimal, we divide by 32 (since there are 32 1/32nds in a full point):
100 + 25/32 = 100.78125
This means that the bond could be purchased for $1,007.8125 ($1,000 x 1.0078125). However, the question asks for the price to buy the bond, not the midpoint price.
To calculate the price to buy the bond, we need to adjust for the bid-ask spread. The buyer must pay the ask price of 100:26, while the seller receives the bid price of 100:24. The difference between these two prices is 2/32 or 0.0625.
To account for the bid-ask spread, we add this difference to the ask price:
100 + 26/32 + 0.0625 = 100.828125
This means that the bond could be purchased for $1,008.125 ($1,000 x 1.008125), which matches the answer given in the question. Therefore, the statement "You could buy this bond for $1008.125" is true.
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Complete question:
In a Treasury bond quote with a $1000 face value, you find the bid is equal to 100:24 and the ask is equal to 100:26. You could buy this bond for $1008.125.
a. True
b. False
Fill in the blanks to complete the passage below about pharmaceutical firms and price discrimination.the executive order meant that pharmaceutical firms would no longer be able to use price discrimination strategies. in order to price discriminate, two conditions regarding the ___ must be met. Companies must be able to:1. ________, and2. ________ of the good or service between customers
In order to price discriminate, two conditions regarding the market must be met. Companies must be able to identify different customer groups with different price elasticities, and they must be able to prevent the arbitrage of the good or service between customers.
The first condition means that companies must be able to distinguish between customers who are willing to pay a higher price for a product or service and those who are not. This is often done through market research and segmentation, where the company divides its customers into different groups based on their needs, preferences, and willingness to pay. The second condition means that companies must be able to prevent customers from reselling the product or service at a lower price to others. This can be done through various means such as contracts, licenses, and product design. However, this practice can lead to discrimination against certain groups, such as low-income individuals or those with limited access to healthcare.
Therefore, the executive order aims to prevent such discrimination and ensure that all consumers have access to affordable healthcare.
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To record the accrued interest on a note payable at the end of the accounting period, a journal entry should be written to debit :
A Interest Expense B. Notes Payable C. Interest Payable D. Cash
To record the accrued interest on a note payable at the end of the accounting period, a journal entry should be written to debit Interest Expense.
When a company has an outstanding note payable and has accrued interest on that note at the end of the accounting period, the accrued interest needs to be recorded in the company's books. The accrued interest represents the interest expense that has been incurred but not yet paid. The other options listed are not appropriate for recording the accrued interest on a note payable.
Notes Payable represents the principal amount owed on the note, not the interest. Interest Payable is the liability account used to record the accrued interest that is owed but not yet paid. Cash is not involved in this transaction since it represents the payment of the note, not the accrued interest. Therefore, the correct choice is to debit Interest Expense.
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did the introduction of b or c have a greater effect in decreasing the portfolio volatility? why is this the case?
It's not possible to answer this question without more information about what "b" and "c" refer to in this context.
The effectiveness of a particular strategy or investment in reducing portfolio volatility depends on a wide range of factors, such as the specific assets involved, market conditions, and the goals and risk tolerance of the investor.
However, in general, there are a few strategies that can be effective in reducing portfolio volatility.
Diversification is one of the most commonly used strategies, as it involves investing in a variety of different assets across different sectors and industries.
By spreading out investments in this way, investors can reduce their exposure to the risks of any one particular asset or sector.
Additionally, some investors may choose to hedge their portfolios by using financial instruments like options or futures contracts, which can help protect against downside risk.
Ultimately, the effectiveness of any particular strategy in reducing portfolio volatility depends on a wide range of factors, and there is no one-size-fits-all approach.
Investors should carefully consider their goals, risk tolerance, and individual circumstances when determining the best strategies for their portfolios.
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assuming the company is in the 50% tax bracket, what is the company's reported earnings per common share? a $5.00
b $4.50
c $3.50
d $2.00
Without the necessary information, it is not possible to determine the company's reported earnings per common share from the given s (a $5.
to determine the company's reported earnings per common share, we need more information such as the net income of the company and the number of outstanding common shares.
the reported earnings per common share is calculated by dividing the net income attributable to common shareholders by the weighted average number of outstanding common shares. without these specific details, we cannot accurately calculate the earnings per common share.
additionally, the company being in the 50% tax bracket does not directly provide information to calculate the reported earnings per common share. the tax bracket indicates the tax rate applied to the company's taxable income but does not directly affect the reported earnings per share calculation. 00, b $4.50, c $3.50, d $2.00).
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