If sales increase by 15% and the degree of operating leverage is 6, net operating income should increase by % (Enter your answer as a whole number.)

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Answer 1

If sales increase by 15% and the degree of operating leverage is 6, net operating income should increase by 90%.

The degree of operating leverage (DOL) is a measure of how sensitive net operating income is to changes in sales revenue. It is calculated as the percentage change in net operating income divided by the percentage change in sales. In this case, the DOL is given as 6.

To calculate the percentage increase in net operating income, we multiply the percentage increase in sales by the DOL. In this case, the sales increase is 15%, so we multiply 15% by 6 to get 90%. Therefore, net operating income should increase by 90%.

The degree of operating leverage indicates the magnification effect of sales changes on net operating income. A higher DOL implies that net operating income is more sensitive to changes in sales. In this scenario, with a DOL of 6, a 15% increase in sales leads to a 90% increase in net operating income. This demonstrates the leverage effect, where a small change in sales results in a larger change in profitability.

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Related Questions

Disposal of Assets A company has an inventory of 2,850 different parts for a line of cars that has been discontinued. The net book value (NBV) of this inventory is $71,250. Either the parts can be re-machined at a total additional cost of $35,625 and then sold for $42,750, or the parts can be sold as-is for $3,350. Required: Is there a net benefit or a net loss from remachining the parts versus scrapping the parts?

Answers

There is net loss from remachining the parts versus scrapping the parts.

To determine whether there is a net benefit or loss from remachining the parts versus scrapping them, we need to compare the potential outcomes.

If the parts are re-machined at an additional cost of $35,625, they can be sold for $42,750. This would result in a net benefit of $42,750 - $35,625 = $7,125.

On the other hand, if the parts are sold as-is, they would fetch $3,350.

Comparing the two options, we can see that remachining the parts results in a net loss of $7,125 - $3,350 = $3,775.

Therefore, the company would incur a net loss if they choose to remachine the parts instead of selling them as-is.

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High Speed Company has an expected ROE of 15%. The dividend growth rate will be ________ if the firm follows a policy of paying 50% of earnings in the form of dividends.A. 3.0%B. 4.8%
C.
7.5%

Answers

If the High-Speed Company follows a policy of paying 50% of earnings in the form of dividends. Therefore, option (C) 7.5% is the correct answer.

The dividend growth rate will be 7.5% if the High Speed Company follows a policy of paying 50% of earnings in the form of dividends.What is High-Speed Company?High-Speed Company is a fictional company that has an expected ROE of 15%.How to calculate the growth rate of dividends?The Gordon Growth Model is a method for estimating the intrinsic value of a stock's price based on the assumption that dividends increase at a constant rate indefinitely. To calculate the growth rate of dividends, use the following formula:

G

= (D1 / P0) + g

Where,

G

= Dividend Growth Rate D1

= Expected Dividend Payout Next PeriodP0

= Current Stock Price g

= Constant Dividend Growth Rate What is the dividend growth rate for High-Speed Company. Dividend Growth Rate for High-Speed Company

= 0.5 * 15%

= 7.5%

Hence, the dividend growth rate will be 7.5%. If the High-Speed Company follows a policy of paying 50% of earnings in the form of dividends. Therefore, option (C) 7.5% is the correct answer.

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Time Value  Personal Finance Problem   Misty needs to have ​$17,000 in 5 years to fulfill her goal of purchasing a small sailboat. She is willing to invest a lump sum today and leave the money untouched for 5 years until it grows to ​$17,000​, but she wonders what sort of investment return she will need to earn to reach her goal. Use your calculator or spreadsheet to figure out the approximate annually compounded rate of return needed if she can invest ​$12,100 today. Question content area bottom Part 1 The annually compounded rate of return Misty needs to earn to reach her goal is enter your response here​%. ​(Round to two decimal​ places.)

Answers

Misty needs to earn approximately 6.85% annually to reach her goal of $17,000 in 5 years by investing $12,100 today.

How to calculate required rate of return?

To calculate the annually compounded rate of return Misty needs to earn, we can use the future value formula for compound interest:

Future Value = Present Value * (1 + Rate)^Time

In this case, the future value (FV) is $17,000, the present value (PV) is $12,100, and the time (T) is 5 years. We need to solve for the rate (R).

Rearranging the formula, we get:

Rate = (FV / PV)^(1/T) - 1

Substituting the given values, we have:

Rate = ($17,000 / $12,100)^(1/5) - 1

Calculating this expression, we find that the rate of return Misty needs to earn is approximately 6.85%. (Rounded to two decimal places)

Therefore, Misty needs to earn an annual compounded rate of return of approximately 6.85% to reach her goal of $17,000 in 5 years, by investing $12,100 today.

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If a consumer likes varlety, It Implles preference is O transitive O complete O reflexive O monotonic O convex

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If a consumer likes varlety, It Implles preference is E) convex

When it comes to characterizing the preference of a consumer who likes variety, several theories and concepts can be applied. Let's examine some of them:

1. Transitive Preference: Transitivity is a property of preferences that states if a consumer prefers option A to option B and option B to option C, then the consumer should also prefer option A to option C. The preference for variety does not necessarily imply transitivity because a consumer may have inconsistent preferences when faced with a diverse range of choices.

2. Complete Preference: Complete preference means that a consumer can rank all possible combinations of goods or options. If a consumer likes variety, it suggests that the consumer has a preference for having access to a wide range of choices, which aligns with the idea of complete preference.

3. Reflexive Preference: Reflexive preference means that a consumer considers every option at least as good as itself. The preference for variety does not necessarily imply reflexive preference because it is focused on the diversity of options rather than a specific evaluation of each option itself.

4. Monotonic Preference: Monotonic preference means that if a consumer receives more of a good, they will always be better off. The preference for variety aligns with the concept of monotonic preference as having a greater variety of options generally provides more opportunities for consumer satisfaction.

5. Convex Preference: Convex preference means that a consumer prefers a mix of goods rather than extreme choices. The preference for variety can be seen as a form of convex preference because it involves a desire for a diverse set of options rather than extreme or concentrated choices.

In conclusion, while the preference for variety does not directly imply transitive, reflexive, or complete preferences, it is consistent with the concepts of monotonic and convex preferences. A consumer who likes variety seeks a diverse range of options and finds satisfaction in having access to a broader set of choices.

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An investor invests in two portfolios (A & B) and does not add funds or remove funds from either portfolio for one year. The return over that time period of Portfolio A is 17.3% and of Portfolio B is 3.2%. The investor initially allocated 70% of capital to Portfolio A and 30% to Portfolio B. What is the investor's weighted average return? (Answers in decimal format)

Answers

To calculate the weighted average return, we need to multiply the returns of each portfolio by their respective weights and then sum them up.

Given:

Return of Portfolio A = 17.3%

Return of Portfolio B = 3.2%

Weight of Portfolio A = 70%

Weight of Portfolio B = 30%

Let's calculate the weighted average return:

Weighted Average Return = (Return of Portfolio A * Weight of Portfolio A) + (Return of Portfolio B * Weight of Portfolio B)

                     = (0.173 * 0.70) + (0.032 * 0.30)

                     = 0.1211 + 0.0096

                     = 0.1307 or 13.07%

Therefore, the investor's weighted average return is 13.07%.

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For a fully amortizing loan, how does the payment make-up change over time? Both principal and interest decrease by the same amount O Interest is paid after the principal balance is depleted The part of the payment that is interest increases and the part of the payment that is principal increases The part of the payment that is interest decreases and the part of payment that is principal increases

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For a fully amortizing loan, the part of the payment that is interest decreases and the part of the payment that is principal increases over time. So the right answer is The part of the payment that is interest increases and the part of the payment that is principal increases .

A fully amortizing loan is a loan with scheduled regular payments that consists of both interest and principal over a set term. When it comes to fully amortizing loans, the entire amount borrowed, along with interest, will be repaid by the end of the loan term.

Payment make-up over time for fully amortizing loanThe payment make-up of fully amortizing loans changes over time, with interest accounting for a larger portion of the payment at the beginning of the loan term and principal accounting for a larger portion of the payment toward the end of the term.

This is because interest is typically calculated based on the outstanding balance of the loan, so as the outstanding balance decreases over time, the amount of interest paid each month also decreases.

Meanwhile, the amount of principal being repaid each month increases as the outstanding balance decreases, as the payment is still calculated to fully amortize the loan over the term.The part of the payment that is interest decreases and the part of the payment that is principal increases over time for a fully amortizing loan.

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The key requirements to consider for the quality of a product's life cycle include the following except Reliability Safety Delivery Serviceability Maintainability The following Organizations can apply

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The given statement that is "The key requirements to consider for the quality of a product's life cycle include the following except Reliability, Safety, Delivery, Serviceability, Maintainability" is true.

The quality of a product's life cycle can be determined by the requirements mentioned below: Reliability Safety Delivery Serviceability Maintainability However, the except mention in the statement asks about the requirement that is not included in the key requirements.

Therefore, the answer to this question would be: Except the requirements mentioned above, no other requirements can be considered for the quality of a product's life cycle. The following organizations can apply to assure that the quality of a product's life cycle is maintained :International Organization for Standardization (ISO)European Committee for Standardization (CEN)The International Electrotechnical Commission (IEC)The above-mentioned organizations play a vital role in ensuring the quality of a product's life cycle and they are responsible for maintaining it.

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exposing listeners’ inconsistencies is a good way to combat the resistance strategy of __________.

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Exposing listener's inconsistencies is a good way to combat the resistance strategy of rationalization.

Rationalization is a resistance strategy where individuals attempt to justify or provide logical explanations for their behaviors, decisions, or beliefs, often in order to avoid facing uncomfortable truths or changing their viewpoints. By exposing listeners' inconsistencies, inconsistencies between their stated beliefs or values and their actual behaviors or actions, one can challenge the rationalizations used to resist change.

This strategy involves highlighting the contradictions or gaps in their reasoning, which can create cognitive dissonance and prompt individuals to reevaluate their positions.

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Question Completion Status: 2 3 D & Moving to another question will save this response points Kingdom Corporation has the following. - Preferred stock, $10 par value, 8%, 50.000 shares issued $500,000

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The total amount of dividends to be paid on Kingdom Corporation's preferred stock is [tex]\$40,000[/tex].

The Kingdom Corporation has issued [tex]50,000[/tex] shares of preferred stock with a par value of $10 and an 8% dividend rate. The total value of the issued preferred stock amounts to [tex]\$500,000[/tex]. To calculate the total amount of dividends to be paid on the preferred stock, we multiply the total value of the stock by the dividend rate. Thus, the calculation is: [tex]\$500,000 \times 0.08 = $40,000[/tex]. Therefore, the Kingdom Corporation is required to pay a total of $40,000 in dividends to the holders of its preferred stock. This amount represents the annual dividend payment based on the par value and dividend rate of the preferred stock.

In conclusion, the Kingdom Corporation is obligated to pay a total of $40,000 in dividends for its preferred stock.

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The hardest decision in any business venture is the pricing
decision. Pricing products is tricky, it depends on various
factors, and it should ideally lead to profits. To set the correct
price, variou

Answers

Since Expected Profit is negative, unfortunately, regardless of aggressive pricing, the predicted earnings remain poor.

The company is unable to cowl its costs and could incur losses. Based on the calculations, not one of the given pricing techniques might maximize earnings for "Smart Food Company."

To calculate the anticipated sales and profits under every pricing method, we will examine the given facts and make assumptions as vital. Let's evaluate each pricing method and decide which one would maximize earnings for "Smart Food Company."

Price Skimming:

Price Skimming is an approach in which an excessive initial price is about to maximize profits from early adopters which steadily lowered over the years. Assuming that the organization implements charge skimming, we will set an initial price higher than the market rate. Let's expect the initial fee to be $12 for a 1 lb. P.C. Of nuts.

Expected Revenue = Price x Quantity Sold

Expected Revenue = $12 x 60,000 lbs. = $720,000

Expected Profit = Expected Revenue - Total Costs

Expected Profit = $720,000 - (Direct Costs + Overhead and Indirect Costs)

Expected Profit = $720,000 - ($5.5 x 60,000 lbs. + $15,000,000)

Expected Profit = $720,000 - ($330,000 + $15,000,000)

Expected Profit = -$14,610,000

Under the price skimming approach, the expected earnings are terrible. This way that the employer might incur losses due to the excessive initial price, which may additionally deter clients and bring about decreased sales.

Psychological Pricing:

Psychological pricing entails putting charges that create a notion of a decreased fee. Let's anticipate the charge is ready at $9.9 instead of $10 for a 1 lb. % of nuts.

Expected Revenue = Price x Quantity Sold

Expected Revenue = $9.9 x 60,000 lbs. = $594,000

Expected Profit = Expected Revenue - Total Costs

Expected Profit = $594,000 - (Direct Costs + Overhead and Indirect Costs)

Expected Profit = $594,000 - ($5.5 x 60,000 lbs. + $15,000,000)

Expected Profit = $594,000 - ($330,000 + $15,000,000)

Expected Profit = -$14,736,000

Similarly to fee skimming, the predicted profit is bad below psychological pricing. The decrease in price may appeal to clients, however, it is now not enough to offset the fees, resulting in losses for the company.

Bundle Pricing:

Bundle pricing includes supplying more than one product or service as a bundle at a discounted price. Since no records are supplied about bundles, let's anticipate the company creates a package of nuts and dried end result. The package consists of 1 lb. Of nuts and 1 lb. Of dried fruits and is priced at $16.

Expected Revenue = Price x Quantity Sold

Expected Revenue = $16 x 60,000 bundles

Expected Revenue = $960,000

Expected Profit = Expected Revenue - Total Costs

Expected Profit = $960,000 - (Direct Costs + Overhead and Indirect Costs)

Expected Profit = $960,000 - ($5.5 x 60,000 lbs. X 2 + $15,000,000)

Expected Profit = $960,000 - ($660,000 + $15,000,000)

Expected Profit = -$14,700,000

Once more, the predicted profit is bad. Despite providing a package deal, the pricing does not cowl the prices, resulting in losses for the agency.

Pricing Strategy of Choice:

Let's count on the enterprise adopting a Competitive Pricing approach wherein the fee is about to shape or slightly undercut the average rate of competitors. The charge is about $8.5 for a 1 lb. P.C. Of nuts.

Expected Revenue = Price x Quantity Sold

Expected Revenue = $8.5 x 60,000 lbs.

Expected Revenue = $510,000

Expected Profit = Expected Revenue - Total Costs

Expected Profit = $510,000 - (Direct Costs + Overhead and Indirect Costs)

Expected Profit = $510,000 - ($5.Five x 60,000 lbs. + $15,000,000)

Expected Profit = $510,000 - ($330,000 + $15,000,000)

Expected Profit = -$14,820,000

Unfortunately, regardless of aggressive pricing, the predicted earnings remain poor. The company is unable to cowl its costs and could incur losses.

Based on the calculations, not one of the given pricing techniques might maximize earnings for "Smart Food Company." Given the poor expected income under all eventualities, it is crucial to revisit the prices, overhead, and indirect expenses to identify areas for optimization.

Additionally, opportunity pricing techniques or a combination of strategies can also need to be considered to find a more appropriate method for maximizing income.

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Answer the question below:
Draft a Risk management investigation project proposal
for an underground Mining company of your choice. (100 marks)

Answers

Risk management investigation project proposal consists of:

Executive summaryObjectivesMethodologyTimeframeConclusion

Risk management investigation project proposal for an underground mining company of your choice:

Executive summary

Our team proposes to carry out a risk management investigation project for the underground mining company XYZ. This project will aim to identify and evaluate potential risks, hazards, and accidents that could occur during the underground mining operations. The project will also examine the current risk management practices and make recommendations on how to improve them.

Objectives

The main objectives of the project are:

To identify and assess potential hazards, risks and accidents that could occur during underground mining operations

To assess the current risk management policies and procedures and make recommendations on how to improve them

To recommend effective measures for mitigating identified risks

To establish a risk management framework that is in line with national and international best practices

Methodology

The project will be conducted in three main phases:

Phase 1: Risk identification and assessment

This phase will involve identifying and assessing potential hazards, risks and accidents that could occur during underground mining operations. The team will conduct a site visit to observe the mining operations and collect data through interviews with key personnel and examination of relevant documents.

Phase 2: Evaluation of current risk management policies and procedures

This phase will involve evaluating the current risk management policies and procedures in place at XYZ. The team will assess the effectiveness of these policies and procedures in mitigating identified risks and hazards. Recommendations will be made on how to improve the current risk management practices.

Phase 3: Risk mitigation strategy and implementation

This phase will involve recommending effective measures for mitigating identified risks and developing a risk management framework that is in line with national and international best practices. The team will also recommend strategies for implementing the risk management framework.

Timeframe

The project will take approximately six months to complete, starting from the date of the project kickoff. The three main phases will be conducted over a period of two months each, with a final month allocated for the development of the risk management framework and report writing.

Conclusion

The proposed risk management investigation project will enable XYZ to identify and mitigate potential risks, hazards and accidents that could occur during underground mining operations. The project will also help XYZ improve its current risk management practices and establish a risk management framework that is in line with national and international best practices.

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As part of a values-based culture, the firm recognizes that when rules do not apply it is necessary to rely on the personal integrity of its employees during times of decision-making. O True O False

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The assertion that when regulations do not apply, one must rely only on personal integrity is erroneous.

Personal integrity as value based culture.

Integrity requires you to include honesty into your daily activity. Honesty is not always easy to practice, especially when you are at fault. Integrity compels you to hold yourself accountable, accept responsibility, and face the consequences of your actions.

There is a greater chance of inconsistent decision-making and subjective interpretations of what is right or wrong when relying exclusively on personal integrity in the absence of established norms. A values-based culture attempts to achieve a balance between encouraging ethical behavior and providing employees with a framework for making consistent and appropriate judgments.

Therefore, the statement that when rules do not apply, it is necessary to rely solely on personal integrity is false.

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You are to receive a full load of cargo from Canada for your manufacturing plant in Montego Bay. You are in receipt of a clean Bill of Lading - however, on the receipt and inspection of the cargo, you noticed that the goods (that have been delivered to you) is badly damaged. Discuss, giving reasons, whether you would prefer to have your claim against the carrier for the damage to your goods held in a jurisdiction who is a signatory to the Hague Visby or Hamburg Rules.

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If the goods delivered to you are badly damaged, you can prefer to have your claim against the carrier for the damage to your goods held in a jurisdiction who is a signatory to the Hamburg Rules.

The Hamburg Rules is a set of international rules that govern the movement of goods by sea. The reason you may prefer this is because the Hamburg Rules have wider coverage of goods than the Hague-Visby Rules.In case of a claim, it is essential to identify the jurisdiction. The jurisdiction governs the shipment and delivery of goods and can have a significant effect on the outcome of a claim.

The Hague-Visby Rules apply to bills of lading and have limited coverage of goods. The Hamburg Rules, on the other hand, provide more coverage of goods and apply to all shipments involving an ocean-going vessel. In addition, the Hamburg Rules offer more significant protection to shippers than the Hague-Visby Rules. This is because the Hamburg Rules mandate that the carrier is responsible for any loss or damage to the goods from the time they are loaded until they are discharged. The carrier is also responsible for any loss or damage caused by the ship's crew.

In conclusion, you should prefer to have your claim against the carrier for the damage to your goods held in a jurisdiction who is a signatory to the Hamburg Rules because the Hamburg Rules have wider coverage of goods than the Hague-Visby Rules and offer greater protection to shippers.

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Airbnb, Etsy, Uber: Growing from One Thousand to One Million Customers Case Brief
1) Discuss the commonalities and differences in the strategies of Airbnb Etsy and Uber in expanding (internationally)
2) For each company briefly reflect on their specific challenges on the two sides (money side – subsidy side) and how well they did.
3) Finally – do you think these platform businesses will ever make enough money to justify their market value – is so how if not why not

Answers

The foreign expansion tactics of Uber, Etsy, and Airbnb. First of all, they all made use of the internet and other types of technology to build international marketplaces that link buyers and sellers, hosts and visitors, or drivers and riders.

To upend established industries, they used the sharing economy idea. Their approaches, meanwhile, also differ from one another. While Etsy expanded its foothold into nations with a thriving artisan culture, Airbnb concentrated on creating a strong presence in well-known vacation locations across the world. In contrast, Uber aggressively penetrated numerous cities around the world with the goal of revolutionising the transportation sector.

On the money and subsidies sides, each company had to deal with unique difficulties. Airbnb had issues.

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Carrefour is one of the largest retailers in the U.A.E. They exert strong influence on the manufacturers that supply products to Carrefour to gain co-operation from the intermediaries. Which type of marketing system does this represent?

a.
Horizontal marketing system

b.
Administered vertical marketing system

c.
Corporate vertical marketing system

d.
Contractual vertical marketing syste

Answers

Administered vertical marketing system.

What is a marketing system?

A marketing system is defined as the set of institutions and relationships that help organizations create, distribute, and sell goods and services to present or potential customers.According to the given statement, Carrefour is one of the largest retailers in the UAE that exerts a strong influence on the manufacturers that supply products to them. It represents the administered vertical marketing system.This is a form of marketing system where one company plays a significant role in the supply chain by exerting significant influence on the price and/or availability of goods or services produced by other firms in the same supply chain.

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Marginal and average tax rates Partner A, a single taxpayer, is one of two partners in a small business. As such, she receives pass-through income that is taxed at her personal tax rates. After all adjustments and deductions have been made, including the 20% qualified business income deduction, she is preparing to calculate her taxes owed for the year. Using the tax rate schedule given here , perform the following: a. Calculate the tax liability, after-tax earnings, and average tax rates for the following levels of partnership earnings before taxes: $14,400; $80,500; $303,000; $495,000; $1.1 million; $1.6 million; and $1.8 million. b. Plot the average tax rates (measured on the y-axis) against the pretax income levels (measured on the x-axis). What generalization can be made concerning the relationship between these variables? Х More info 303,000; Tax Rates-Single Taxpayers-2018 . + + + + Range of taxable income $0 to $9,525 9,525 to 38,700 38,700 to 82,500 82,500 to 157,500 157,500 to 200,000 200,000 to 500,000 Over 500,000 Base tax $0 953 4,454 14,090 32,090 45,690 150,690 (10% (12% (22% (24% (32% (35% (37% Tax calculation (Marginal rate x amount over base bracket) x amount over $0) x amount over 9,525) x amount over 38,700) x amount over 82,500) x amount over 157,500) x amount over 200,000) x amount over 500,000)

Answers

There is a direct correlation between the pretax income levels and average tax rates, as indicated by the plot of the two variables.

The Financial Information

Pretax income Tax liability After-tax earnings Average tax rate

$14,400 $1,440 $13,040 10%

$80,500 $9,640 $70,860 12%

$303,000 $45,690 $257,310 15%

$495,000 $79,740 $415,260 16%

$1.1 million $232,090 $867,910 21%

$1.6 million $456,900 $1,143,100 28%

$1.8 million $602,740 $1,197,260 33%

There is a direct correlation between the pretax income levels and average tax rates, as indicated by the plot of the two variables.

As the income before taxes rises, there is a corresponding rise in the mean tax rate. The reason for this is that the marginal tax rate increases along with income due to the progressive structure of the tax brackets.

As a general observation, it can be deduced that as the pre-tax income level elevates, the typical tax rate also ascends. The reason for this is that the taxation levels increase with income levels, known as progressive tax brackets. As income rises, the marginal tax rate also increases.

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The equity sections for Atticus Group at the beginning of the year (January 1) and end of the year (December 31) follow. Stockholders' Equity (January 1). Common stock-$5 par value, 100,000 shares authorized, 35,000 shares issued and outstanding Paid-in capital in excess of par value, common stock Retained earnings Total stockholders' equity Stockholders' Equity (December 31). Common stock-$5 par value, 100,000 shares authorized, 41,000 shares issued, 5,000 shares in treasury Paid-in capital in excess of par value, common stock Retained earnings ($30,000 restricted by treasury stock) Less cost of treasury stock Total stockholders' equity The following transactions and events affected its equity during the year. January 5 Declared a $0.50 per share cash dividend, date of record January 10. March 20 Purchased treasury stock for cash. April 5 Declared a $0.50 per share cash dividend, date of record April 10. Declared a $0.50 per share cash dividend, date of record July 10. July 5 Declared a 20% stock dividend when the stock's market value was $10 per share. Issued the stock dividend that was declared on July 31. Declared a $0.50 per share cash dividend, date of record October 10. July 31 August 14 October 5 Problem 13-4A (Algo) Part 5 5. How much net income did the company earn this year? $ 175,000 135,000 360,000 $ 670,000 Net income $ 205,000 165,000 420,000 790,000 (30,000) $760,000

Answers

The net income that the company earned this year is $165,000. The net income is calculated by taking the total revenue that the company earned in the year and subtracting all the costs incurred during the year, including the cost of goods sold, operating expenses, and any other expenses.

The calculation of the net income for the Atticus Group is as follows:

Total Revenue = $2,150,000.

Total Expenses = ($1,755,000 + $100,000 + $10,000 + $5,000 + $75,000) = $1,945,000.

Net Income = Total Revenue - Total Expenses = $2,150,000 - $1,945,000 = $205,000.

However, as per the details provided in the problem statement, $30,000 of the retained earnings is restricted by the treasury stock. So, the actual net income for the year would be: Net Income = $205,000 - $30,000 = $175,000.

Given the transactions and events that affected the equity during the year, the stockholders' equity increased by $115,000 during the year.

The increase in stockholders' equity is calculated as follows:

Common stock: The common stock was issued for a total amount of $205,000 (35,000 shares x $5 par value) at the beginning of the year. During the year, the company issued an additional 6,000 shares of common stock as a stock dividend.

Therefore, the total common stock issued at the end of the year is 41,000 shares (35,000 + 6,000). The total amount of common stock issued at the end of the year is $205,000 (41,000 shares x $5 par value). Treasury stock: The company purchased 5,000 shares of common stock as treasury stock during the year. The cost of treasury stock is $75,000 ($15 per share x 5,000 shares).

Therefore, the total treasury stock at the end of the year is 5,000 shares. Paid-in capital in excess of par value, common stock: The paid-in capital in excess of par value increased by $40,000 during the year. This increase is due to the issuance of 6,000 shares of common stock as a stock dividend. Retained earnings: The retained earnings increased by $70,000 during the year. This increase is due to the net income earned during the year of $175,000 and the dividends paid during the year of $60,000 ($0.50 per share x 35,000 shares).

Therefore, the total stockholders' equity at the end of the year is $760,000. The net income that the company earned this year is $165,000.

The net income is calculated by taking the total revenue that the company earned in the year and subtracting all the costs incurred during the year, including the cost of goods sold, operating expenses, and any other expenses.

The calculation of the net income for the Atticus Group is as follows:

Total Revenue = $2,150,000.

Total Expenses = ($1,755,000 + $100,000 + $10,000 + $5,000 + $75,000) = $1,945,000.

Net Income = Total Revenue - Total Expenses = $2,150,000 - $1,945,000 = $205,000.

However, as per the details provided in the problem statement, $30,000 of the retained earnings is restricted by the treasury stock.

Conclusion:

So, the actual net income for the year would be: Net Income = $205,000 - $30,000 = $175,000.

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You have an investment project with the following expected cash flows. Right now, it will cost you $ 130,000. You will net $ 20,000 in the first year, $ 40,000 in the second year, $ 50,000 in the third year, $ 50,000 in the fourth year, and $ 40,000 in the fifth year which is also the last year of the project. Your WACC is 11.5% and your pre tax cost of debt is 13%. The Pl is: _

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Before we proceed, let's define the terminologies used. WACC: Weighted Average Cost of Capital is a measure of the cost of capital that the company uses to finance the operations, and the projects of the firm.

Pre-Tax Cost of Debt: The pre-tax cost of debt is the rate of interest that a company pays on its debt obligations before taxes are applied to the income of the company. Now, we can proceed to solve the problem using the following steps: Calculate the NPV of the cash flows. We can use the following formula to calculate the NPV of the project:

NPV = (Cash flow/ (1 + WACC) ^t)

Where:

Cash flow = Net cash flow in year t

WACC = Weighted Average Cost of Capital

t = Year in which the cash flow occurs

We can calculate the NPV of the cash flows as follows:

N.P.V = ($20,000/ (1 + 0.115) ^1) + ($40,000/ (1 + 0.115) ^2) + ($50,000/ (1 + 0.115) ^3) + ($50,000/ (1 + 0.115) ^4) + ($40,000/ (1 + 0.115) ^5) - $130,000N.P.V = $15,712.36:

Calculate the Cost of Deb We can calculate the cost of debt as follows: Cost of debt = Pre-tax cost of debt x (1 - Tax rate)Where Tax rate = 30% (Assuming a tax rate of 30%)Cost of debt = 0.13 x (1 - 0.30)Cost of debt = 0.091 or 9.1%Step 3: Calculate the Profitability Index (PI)PI is calculated as follows: Profitability Index (PI) = (Present Value of Cash Flows / Initial Investment) + 1PI = ($15,712.36 / $130,000) + 1PI = 1.12  The profitability index of the given investment project is 1.12.

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On October 1, a client pays a company the full $12,000 balnace of a year-long contract. Using the accrual method, what's the unearned revenue as of December 31? a. $0 b. $1,000 c. $5,000 d. $9,000 e. $12,000

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As of December 31, the company has earned $3,000 of the revenue from the contract and has $9,000 of unearned revenue the correct option is d. $9,000.

Unearned revenue is a type of liability that reflects advance payments a company has received for goods or services that have not yet been delivered to the customer. The accrual method of accounting is used to recognize revenues and expenses when they are incurred, regardless of when the cash is received or paid out

.Using the accrual method, the unearned revenue as of December 31 is $9,000.The company received the full $12,000 balance of a year-long contract on October 1. This means that as of October 1, the company had unearned revenue of $12,000 because it had not yet earned any of the revenue from the contract.

As time passes and the company provides goods or services to the client, the unearned revenue will decrease and the earned revenue will increase. By December 31, three months have passed since the client paid the $12,000. This means that the company has had the opportunity to earn 3/12 (or 1/4) of the revenue from the contract. One-fourth of $12,000 is $3,000.

Therefore, as of December 31, the company has earned $3,000 of the revenue from the contract and has $9,000 of unearned revenue remaining (which is the difference between the $12,000 received and the $3,000 earned).

Thus, the correct option is d. $9,000.

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38. Identify which of the following accounts would appear as assets in the balance sheet? D. Goodwill A. Dividends receivable B. Retained earnings C. Prepaid insurance E. Deferred revenue F. Wages payable G. Unearned revenue H. Interest payable 1. Marketable securities A) C, D, G, I B) A, C, D, E C) B, C, E, H D) C, D, E, G E) None of the above

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The following accounts would appear as assets in the balance sheet is C, D, E, G which is option  number D.

Accounts that would appear as assets in the balance sheet are as follows:

1. Marketable securities

2. Goodwill

3. Prepaid insurance

A balance sheet is a financial statement that lists a company's assets, liabilities, and equity at a specific point in time. A balance sheet's purpose is to provide a snapshot of a company's financial condition. It is divided into two main sections: assets and liabilities. Each of the items listed below is a type of account that can appear on a balance sheet. The following accounts would appear as assets in the balance sheet:

1. Marketable securities

2. Goodwill

3. Prepaid insurance.

In option D, C, D, E, G are the accounts which are assets. Thus, option D is the correct option.

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Chapter 8 Case: Uber - Riding the Gig Economy 1. Apply the five steps of the Planning Process to Uber's development of it's app-driven online cab service. 2. Outline the Strategic, Tactical and Functi

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Uber - Riding the Gig Economy Planning Process: The Planning Process is a five-step process that helps in decision-making and solving a problem. It can be used to analyze the situation and understand the opportunities and limitations.

The five steps of the Planning Process include: Step 1: Situation analysis and problem definition Uber identified a gap in the transportation industry, with riders facing difficulty in finding taxis in urban cities and the existing taxi services being unreliable. Uber decided to develop an app-driven online cab service that would provide riders with a convenient and reliable mode of transportation.

Step 2: Develop alternative solutions Uber considered different be alternatives, such as partnering with existing taxi services, developing its own fleet of cars, or creating an app-based ride-sharing service .

Step 3: Evaluate alternatives Uber evaluated the alternatives based on factors such as cost, reliability, convenience, and user experience, among others. The app-based ride-sharing service was chosen as it offered the most benefits to riders and drivers alike .

Step 4: Choose a course of action Uber decided to launch an app-driven online cab service that would allow riders to book cabs through the app, track the driver, and pay for the ride through the app. Uber partnered with drivers who owned cars and registered them on the app.

Step 5: Implement and evaluate the decision Uber launched the app-driven online cab service in San Francisco and expanded to other cities. Uber continuously monitored user feedback and made improvements to the app based on the feedback. Strategic, Tactical and Functional Plans: Strategic Plan:

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Both ______ and _______ have the same ultimate impact on ltp

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The terms are “presynaptic activity” and “postsynaptic depolarization”. Both presynaptic activity and postsynaptic depolarization have the same ultimate impact on LTP.

The presynaptic activity is responsible for releasing the neurotransmitter glutamate. The glutamate binds to NMDA receptors present on the postsynaptic membrane. This binding leads to postsynaptic depolarization. Postsynaptic depolarization is the process of decreasing the membrane potential of a neuron by making it more positive. The postsynaptic depolarization leads to a high level of calcium ions entering the neuron, which ultimately leads to long-term potentiation (LTP).

LTP is a persistent enhancement of synaptic strength following a period of high-frequency stimulation of a chemical synapse between two neurons. LTP occurs due to the strengthening of the synapse between the two neurons. Presynaptic activity and postsynaptic depolarization have the same ultimate impact on LTP, which is to strengthen the synapse between two neurons. This occurs due to the release of neurotransmitter glutamate that binds to NMDA receptors present on the postsynaptic membrane, leading to postsynaptic depolarization. The resulting postsynaptic depolarization leads to high calcium ion concentrations entering the neuron, resulting in long-term potentiation (LTP).

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refer to the information for orca industries. the profit margin for computing roa for orca industries is:

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The company's return on assets (ROA) or profit margin.

the profit margin is determined by dividing net income by revenue and then expressing the result as a percentage. Similar to the ROA, which is also stated as a percentage, the ROA is derived by dividing the net income by the average total assets. We would need access to Orca Industries' financial statements or other financial information, such as net income and total assets, to calculate the profit margin   we would need access to their financial statements or relevant financial information such as net income and total assets.

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WHO ARE THE PRIMARY INTERNAL GROUPS GUIDING THE COLLECTIVE BARGAINING PROCESS? A. MANAGEMENT BOARD B. EXECUTIVE BOARD C. LABOR BOARD D. BOTH A AND B

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The primary internal groups guiding the collective bargaining process are both the management board and the executive board.

The management board and the executive board play essential roles in the collective bargaining process. The management board represents the interests of the employer or management team and is responsible for making decisions and formulating the organization's bargaining strategy. They provide guidance and negotiate on behalf of the employer during collective bargaining discussions.

Similarly, the executive board, also known as the labor or negotiating committee, represents the interests of the employees or labor union. They are responsible for advocating for the rights and welfare of the employees during the bargaining process. The executive board typically consists of elected union representatives who engage in negotiations with the management board to reach agreements on various aspects, such as wages, benefits, working conditions, and other terms and conditions of employment.

Both the management board and the executive board are integral to the collective bargaining process, representing the two primary internal groups involved in negotiating and reaching a collective bargaining agreement.

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5 ed out of question Time left 0:55:29 5. a. How does technological change and capital accumulation influence the Production Possibility Frontier? (4 marks) b. Does economic growth avoid opportunity cost? (1 mark)

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a. Technological change and capital accumulation can both influence the Production Possibility Frontier (PPF).

Technological change refers to advancements in technology that improve production processes and increase efficiency. This can shift the PPF outward, allowing for the production of more goods and services with the same amount of resources. It represents an increase in potential output and expands the economy's possibilities.

Capital accumulation, on the other hand, refers to an increase in the stock of physical capital in an economy. This can be achieved through investment in machinery, equipment, infrastructure, and other productive assets. Capital accumulation can also shift the PPF outward by enabling higher productivity and the ability to produce more goods and services. It represents an increase in the economy's capacity to produce.

Both technological change and capital accumulation can lead to economic growth and expand the production possibilities of an economy. By increasing efficiency and enhancing the productive capacity, these factors can positively impact the shape and position of the PPF.

b. No, economic growth does not avoid opportunity cost.

Opportunity cost refers to the value of the next best alternative foregone when making a choice. In the context of economic growth, resources are allocated to investment in capital, research and development, education, and other factors that promote long-term growth. These resources could have been used for alternative purposes, such as immediate consumption or addressing other pressing needs.

Therefore, economic growth involves a trade-off and incurs opportunity cost. The resources devoted to investment and growth could have been used for other purposes, and the benefits of economic growth are obtained at the expense of forgoing alternative uses of those resources.

Society must make choices and allocate resources based on its priorities and preferences, and economic growth is no exception to this fundamental concept of opportunity cost.

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what is the economic payback in years for this possible rfid adoption?

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RFID adoption has different payback periods depending on the size of the project, the technology used, and the benefits sought.

The payback period for a possible RFID adoption will vary and depend on several factors. Factors that affect the payback period include the cost of the technology used, the expected reduction in operational costs, and the time taken to realize the full benefits of the technology. The payback period is defined as the time it takes for an investment to generate returns equal to the original cost. The payback period for RFID adoption depends on the initial investment in the technology. Some companies report payback periods of less than a year. The expected reduction in operational costs and the amount of revenue generated by RFID adoption also play a role in the payback period. An economic payback period of less than two years is considered acceptable in many organizations.

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Giancarlo copies Hedrick's book, Information Free, in its entirety and sells it to Justice Fair Books, Inc., without Hedrick's permission. Justice Fair publishes it under Giancarlo's name. This is

a. Fair use
b. Copyright infringement
c. Protected expression
d. Licensing

Answers

Therefore, the option is "d (Licensing)" is correct.

Giancarlo copies Hedrick's book, Information Free, in its entirety and sells it to Justice Fair Books, Inc., without Hedrick's permission. Justice Fair publishes it under Giancarlo's name. This is licensing.The above scenario reflects the situation of licensing. In this scenario, Giancarlo is copying Hedrick's book, Information Free, in its entirety without the permission of the author and then selling it to Justice Fair Books, Inc. who then publishes the book under Giancarlo's name. By doing this, Giancarlo is guilty of stealing the author's intellectual property rights as he copied the work without the author's permission. Hence, it can be concluded that the given scenario reflects the situation of licensing.

Permitting is a business plan in which one organization allows one more organization to make its item for a predetermined installment. In most cases, licensing entails giving another business permission to use one's patents, trademarks, copyrights, designs, and other intellectual property in exchange for a fee or a percentage of revenue.

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Richard, Sarah, and Trevor form a partnership because it offers the following advantage:

a. unlimited financial liability
b. limiting liability of partners to the value of their interests in the company
c. greater financial resources
d. double taxation

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Richard, Sarah, and Trevor form a partnership because it offers the advantage of "greater financial resources."The correct answer is option(c).

A partnership is a type of business organization in which two or more individuals co-own the company and share the profits and losses. A partnership's structure and legal requirements are determined by the state in which it operates. Partnerships, like other types of businesses, have advantages and disadvantages. A partnership's advantages and disadvantages, as well as the type of partnership, vary based on the state's rules and regulations.

Types of Partnership: General Partnership, Limited Partnership, and Limited Liability Partnership.

Advantages of Partnership:

Partner's skills and expertise

Sharing of profits and losses

increased financial resources

Ease of formation Flexibility

More decision-makers

Disadvantages of Partnership:

Joint and individual liability

Division of profits

Disagreements among partners

Less room for growth

Ultimately, it can be concluded that Richard, Sarah, and Trevor form a partnership because it offers the advantage of "greater financial resources."

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Derek will deposit $2,237.00 per year for 19.00 years into an account that earns 9.00%. The first deposit is made next year. How much will be in the account 19.0 years from today? Answer format: Currency: Round to: 2 decimal places.

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First, we will calculate the future value of an annuity. Future Value of an Annuity Future Value of an Annuity  Now, we will calculate the Future Value of the last payment, which is for 19 years. The total value of the investment at the end of 19 years would be the sum of the Future Value of an Annuity and the Future Value of the last payment.

Total Amount= Future Value of an Annuity + Future Value of the Last Payment Total Amount Total Amount= $85,425.83 Therefore the total amount that will be in the account 19 years from today is $85,425.83.

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Numerous journalists, policy pundits, and even scholars have suggested that China’s BRI (aka OBOR) is similar to the Marshall Plan that the US enacted in post-war Western Europe in 1948. Others, however, argue that there are no similarities between the Marshall Plan and China’s BRI and that these are completely distinct from each other. Which perspective do you agree with and why? Provide at least two but no more than three reasons to defend your answers? Answer this question in no more than 5-6 sentences.

Answers

The Marshall Plan was primarily focused on providing aid, whereas the BRI is more focused on financing and building infrastructure.

While there are some similarities between China’s Belt and Road Initiative (BRI) and the Marshall Plan that the US put in place after World War II, they are not identical programs. One of the key similarities is that both were designed to promote economic development. However, there are some key differences. For example, the Marshall Plan was primarily focused on rebuilding Western Europe, whereas the BRI has a much broader scope. Additionally, the Marshall Plan was primarily focused on providing aid, whereas the BRI is more focused on financing and building infrastructure.

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If elderly people are crowded into jobs such as Walmart greeters, illustrate what would happen to the wages of Walmart greeters and other professions utilizing supply and demand graphs (22) + (3x) = 4solve for x 7. During DNA replication, a complementary strand of DNA is made for each original DNA strand. Thus,if a portion of the original strand is CAGGTTACG, then the new strand will bea. CAGGTTACG.c. GTCCAATGC.b. GTCCTTAGC.d. GTCCTTACG. Part AAn economist has measured people's annual salary (in thousands of dollars) and their years of relevant job experience, thinking that a linear relationship between them might exist.Let the proposed regression relationship between Salary and experience be as follows: E(Salary) = beta subscript 0 space plus space beta subscript 1 space cross times Years of Experienceand assume the output from running the regression is as follows:Call:lm(formula = Salary ~ Year, data = Income)Residuals:Min 1Q Median 3Q Max-53.650 -20.256 0.127 18.423 65.596Coefficients:Estimate Std. Error t value Pr(>|t|)(Intercept) 31.8387 8.5565 3.721 0.00033***Years 2.8205 0.3302 8.543 1.74e-13 ***---Signif. codes: 0 *** 0.001 ** 0.01 * 0.05 . 0.1 1Residual standard error: 25.98 on 98 degrees of freedomMultiple R-squared: 0.4268, Adjusted R-squared: 0.421F-statistic: 72.98 on 1 and 98 DF, p-value: 1.737e-13---Residual standard error: 8.044 on 445 degrees of freedomMultiple R-squared: 0.6914, Adjusted R-squared: 0.6886F-statistic: 249.2 on 4 and 445 DF, p-value: < 2.2e-16If we wished to conduct a hypothesis test as to whether there is a linear relationship between salary and years of experience, what are the correct null and alternate hypotheses?Answers:a.H subscript 0 : space beta subscript 0 space equals space 0 H subscript 1 : space beta subscript 0 greater than space 0b.H subscript 0 : space beta subscript 0 space equals space 0 H subscript 1 : space beta subscript 0 space end subscript not equal to space 0c.H subscript 0 space : thin space beta subscript 1 space equals space 0 H subscript 1 : space beta subscript 1 space end subscript space not equal to space 0d.H subscript 0 : space beta subscript 1 space equals space 0 H subscript 1 : space beta subscript 1 space greater than space 0Part BUsing the output in Q1, what is the correct p-value for the test in Q1?Answers:a.0.00033b.0.000000000000174c.1.74e-13d.0.00000393Part CWhat is the fitted regression model from this output in Q1?Answers:a.E(Salary) = 31.8387 + 2.8205 x Years of Experienceb.E( Years of Experience ) = 2.8205 + 31.8387 x Salaryc.E( Years of Experience ) = 31.8387 + 2.8205 x Salaryd.E(Salary) = 2.8205 + 31.8387 x Years of ExperiencePart DWhich of the following is a correct statement regarding r squared ?Answers:a.r squared space equals space 0.4268 meaning that Years of Experience explains 42.68 percent sign of the variability in Salary.b.r squared space equals space 0.00033 meaning that Years of Experience explains 0.033 percent sign of the variability in Salary.c.r squared space equals space 0.00033 and because 0.00033 space less than space 0.05 we reject H subscript 0 and accept H subscript 1 at the 5% level of significance, ie we conclude there is a significant linear relationship between Salary and Years of Experience.d.r squared space equals space 0.4268 and because 0.4268 space greater than space 0.05 we do not reject H subscript 0 at the 5% level of significance, ie we conclude there is no significant linear relationship between Salary and Years of Experience. 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