what the meaning of variable costing and Absorption costing approach?

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Answer 1

Variable costing is a cost accounting method that only includes direct costs (direct materials, direct labor, etc.) in the calculation of product costs. The absorption costing approach includes direct costs plus indirect costs (overhead) in the calculation of product costs.Both methods can be used to determine the unit cost of a product, but absorption costing also provides a more complete picture of overall production costs.Variable costing and Absorption costing are two methods of calculating and assigning manufacturing costs to a product.

Variable costingVariable costing is a costing method that allocates only the variable costs of production to the product, while fixed costs are taken into account as a period cost. Variable costing assigns direct costs such as direct labor and direct material, and variable overhead to a unit of product, but not the fixed overhead. Therefore, under variable costing, fixed manufacturing costs are treated as expenses for the period they are incurred.Variable costing allows management to see the contribution margin of a product and determine the profitability of that product. It is useful for short-term decision-making and planning.Absorption costingAbsorption costing is a costing method that assigns all costs of production, both variable and fixed, to a product. This method assigns direct costs like direct labor and direct material, as well as variable overhead and fixed overhead, to each unit of product.Absorption costing allows management to see the full cost of a product and determine the markup and profitability of the product. It is useful for long-term decision-making and strategic planning. It is also the method used for financial reporting under Generally Accepted Accounting Principles (GAAP).

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if the cost of an item of inventory is $49 and the current replacement cost is $68, the amount included in inventory accoirding to the lower of thr cost or market is

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The amount included in inventory according to the lower of cost or market is $49.

This is because the replacement cost of $68 is higher than the cost of the item at $49.

Under the lower of cost or market method, a company must compare the current cost of an item in inventory to its current market value. If the cost of the item is lower than its current market value, the company must record the inventory at the lower cost.

This is done to ensure that the company's financial statements are not overstated. In this case, the current market value of $68 is higher than the cost of $49, so the lower of cost or market method requires that the inventory be recorded at $49.

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Match the action needed to increase profits with the reason a business might fail.A small company, especially a store, usually has a better chance of succeeding if it is in an area with other businesses because it can draw in new customers.A) poor managementB) competitionC) bad locationD) finances

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The action needed to increase profits with the reason a business might fail, A) poor management-Having poor.....to fail. B) competition - Having too much....stay afloat, C) bad location - Having a.... leading to failure, D) finances - Not having..... in failure.

A) poor management - Having poor management can lead to a lack of productivity and efficiency, resulting in lower profits and eventually causing the business to fail.
B) competition - Having too much competition can lead to a decrease in profits, resulting in the business not being able to stay afloat.
C) bad location - Having a bad location can result in a business not being able to draw in customers, leading to lower profits and eventually leading to failure.
D) finances - Not having enough funds to stay operational can lead to a business not being able to stay afloat, resulting in failure.

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Which of the following is not a "product cost" under absorption costing?
A. Direct materials
B. Direct labor
C. Variable manufacturing overhead
D. Fixed manufacturing overhead
E. None of these

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The cost of products that are produced by a company is referred to as product costs. These expenses are incurred directly or indirectly, and are accounted for in the company's inventory account. The following is not a product cost under absorption costing: C. Variable manufacturing overhead.

The most basic approach to costing is absorption costing, which assigns all direct and indirect costs to the cost of the commodity. This method is preferred for external reporting because it provides a more accurate estimation of the cost of producing a product than other methods, making it simpler to compare costs among different products.

In conclusion, the absorption costing approach assigns all direct and indirect costs to the cost of a commodity, including direct materials, direct labor, and fixed and variable overhead. It is, however, important to note that not all indirect expenses, such as variable manufacturing overhead, are included in the cost of the commodity. The following is not a product cost under absorption costing: C. Variable manufacturing overhead.

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Which person has based their investment plan on high risk options

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High-risk options, such as stocks or cryptocurrencies, have the potential for high returns but also come with higher degree of risk and volatility.

What is a stock?

A stock is type of security that represents ownership in publicly traded company. When a company wants to raise capital, they can offer shares of stock to investors in exchange for money. Owning stock means owning a portion of the company's assets and earnings. The value of a stock is influenced by a variety of factors, including the performance of the company, economic conditions, and investor sentiment. Investors buy and sell stocks on stock exchanges like the New York Stock Exchange (NYSE) or NASDAQ. Stocks can offer investors the potential for long-term capital gains as well as dividend income. However, they also carry risks, as the value of stocks can be volatile and unpredictable.

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G and L organize the GL partnership. Each contributes $50 for his partnership interest. The partnership purchases an apartment building for $1,000, making a $100 down payment and paying the remainder of the price with a mortgage loan. The principal of the mortgage loan is payable in a single payment after 12 years. The gross income and deductions of the partnership for each of the first few years are expected to be as follows:Rent: $240Cash operating expenses $150Interest expense 90Depreciation expense 50($290)Loss ($50)The partnership agreement allocates all depreciation to L. All other gross income and deductions are allocated to the partners equally.The partnership agreement provides that all income, gains, losses and deductions will be reflected in the partners’ capital accounts (which will be maintained in accordance with Reg. Sec. 1.704-1(b)(2)(iv)); and each partner will be entitled on liquidation (of either the partnership or the partner’s interest) to distribution of an amount equal to his positive capital account balance.Assume that the partnership operates for two years, and then sells the building at the beginning of year 3 for, alternatively, $1,100 or $800. How will the partnership’s income, gain, loss and deduction (including depreciation deductions) be allocated between G and L, and will the allocations be respected for federal income tax purposes, in the following alternative variations?(a) The partnership is a general partnership, the mortgage lender has full recourse against the partnership and the partners, and any partner having a deficit in his capital account when either the partnership or his interest is liquidated must then make an additional capital contribution equal to that deficit.(b) The partnership is a limited partnership with G as the general partner and L as the limited partner; the mortgage loan is recourse; and the partnership agreement says nothing about capital account deficit restoration on liquidation of a partner’s interest.(c) Same as (b), except L is obligated to restore any deficit in his capital account to the extent that it does not exceed $50, and there is a "QIO" provision [within the meaning of Reg Sec. 1.704-1(b)(2)(ii)(d)] in the partnership agreement.(i) Would the year 2 allocations have economic effect or alternate economic effect if: (1) as of the end of year 2 of operations, the partnership plans in year 3 to borrow $60 on a recourse basis and distribute the cash proceeds of the loan equally to G and L, and (2) the partnership reasonably expects to earn $60 net income in year 3?(ii) What if, in year 3, the partnership borrows $60 and distributes $30 to each of G and L as planned, but unexpectedly earns only $40 (net income)?

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In a general partnership, both partners are jointly and severally liable for the partnership's debts, including the mortgage loan. Therefore, each partner's share of the income, gain, loss, and deduction would be allocated equally.

If the building is sold for $1,100, the partnership would realize a gain of $200. The income, gain, loss, and deduction would be allocated equally to G and L, with L receiving the entire depreciation deduction. Therefore, G's capital account would increase by $50 (his share of the loss), and L's capital account would increase by $150 ($50 depreciation plus his share of the loss). If the building is sold for $800, the partnership would realize a loss of $200. Again, the income, gain, loss, and deduction would be allocated equally to G and L, with L receiving the entire depreciation deduction. G's capital account would decrease by $50 (his share of the loss), and L's capital account would decrease by $150 ($50 depreciation plus his share of the loss).

These allocations should be respected for federal income tax purposes because they comply with the partnership agreement and the tax code.

(b) In a limited partnership, the limited partner's liability is limited to his or her investment in the partnership. Therefore, only the general partner (G) would be personally liable for the partnership's debts. The income, gain, loss, and deduction would still be allocated equally between G and L, with L receiving the entire depreciation deduction. However, since the partnership agreement says nothing about capital account deficit restoration on liquidation of a partner's interest, L would not be required to restore any capital account deficits.

The allocations should still be respected for federal income tax purposes because they comply with the partnership agreement and the tax code.

(c) In this scenario, L is obligated to restore any deficit in his capital account up to $50. The partnership agreement also includes a qualified income offset provision (QIO), which allows L to reduce his share of partnership losses to the extent necessary to avoid restoring his capital account deficit.

If the building is sold for $1,100, the partnership would realize a gain of $200. The income, gain, loss, and deduction would be allocated equally to G and L, with L receiving the entire depreciation deduction. Since L is obligated to restore capital account deficits up to $50, his capital account would increase by $100 ($50 depreciation plus his share of the gain), and G's capital account would increase by $50 (his share of the gain). If the building is sold for $800, the partnership would realize a loss of $200. The income, gain, loss, and deduction would be allocated equally to G and L, with L receiving the entire depreciation deduction. L's capital account would decrease by $50 (his share of the loss), and G's capital account would decrease by $100 ($50 depreciation plus his share of the loss). If L's capital account deficit exceeds $50, he can offset the excess with his share of partnership income in future years.

These allocations should also be respected for federal income tax purposes because they comply with the partnership agreement and the tax code.

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the tool that lists ages, names, education, capabilities, training, specialized skills, and other relevant information about an organization's employees is called a blank

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The tool that lists ages, names, education, capabilities, training, specialized skills, and other relevant information about an organization's employees is called a Human Resource Information System (HRIS).

HRIS (Human Resource Information System) is an online solution that keeps track of all personnel files and related information. It is a type of Human Resource Management (HRM) software. The HRIS system provides access to critical information, including employee demographics, job titles, payroll, benefits, and other HR-related data.

Human Resource Information Systems (HRIS) offer an integrated framework for managing all human resources-related data, processes, and services. These systems collect, process, and store employee data and automate many time-consuming HR processes. HRIS is an essential tool for HR professionals, as it streamlines HR processes, improves data accuracy and completeness, and enables the creation of custom reports that can help decision-making processes.

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ricardo's theory encourages___ because it suggests that trade is a positive-sum game where all participating countries realize economic gains.

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Ricardo's theory encourages free trade because it indicates that trade is a positive-sum game where all countries participating realize economic gains.

The theory of comparative advantage was introduced by David Ricardo, a British economist, in the early 19th century.

The theory indicates that it is beneficial for two countries to trade even if one has an absolute advantage in the production of both goods because the opportunity cost of producing one good is lower in one country than in the other.

Ricardo's theory advocates for the elimination of tariffs and other trade barriers, such as quotas and subsidies, as a means of promoting economic growth and development.

The theory suggests that trade will lead to the expansion of global markets, the creation of new jobs, the generation of higher incomes, and the improvement of living standards.

In addition, Ricardo's theory proposes that nations should specialize in the production of goods that they can produce more efficiently and trade with other nations that have a comparative advantage in the production of other goods.

This encourages countries to concentrate on producing those products that they are best suited for, which will result in the production of high-quality goods at a lower cost.

This would not only benefit the countries involved in the trade but also lead to increased global economic efficiency and progress. As a result, Ricardo's theory supports free trade as a means of promoting global economic growth and development.

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During the current year, Ethan performs personal services as follows: 800 hours in his information technology consulting practice, 625 hours in a real estate development business, and 510 hours in a condominium leasing operation. He expects that losses will be realized from the two real estate ventures and that his consulting practice will show a profit. Ethan files a joint return with his spouse whose salary is $125,000. The income and losses from the following ventures are considered active and not subject to the passive activity loss limitations:
A. Only the information technology consulting practice.
B. Only the information technology consulting practice and the real C. estate development business.
D. Only the information technology consulting practice and the condominium leasing operation.
E. All three of the ventures are considered active and not subject to the passive activity loss limitations.

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Among the ventures: information technology consulting, real estate development, and condominium leasing, the correct answer is: All three of the ventures are considered active and not subject to the passive activity loss limitations. (option E)

To determine which ventures are considered active and not subject to the passive activity loss limitations, we need to apply the material participation test to each venture.

The material participation test requires an individual to meet one of the following criteria:

Participate in the activity for more than 500 hours during the year.Participate in the activity for more than 100 hours during the year and more than any other individual.Materially participate in the activity for more than 100 hours during the year and meet certain other conditions based on the facts and circumstances.

Based on the information provided, we can calculate Ethan's participation in each venture as follows:

Information technology consulting practice: 800 hoursReal estate development business: 625 hoursCondominium leasing operation: 510 hours

Ethan meets the material participation test for all three ventures because he participates in each venture for more than 500 hours during the year. Therefore, all three ventures are considered active and not subject to the passive activity loss limitations.

The answer is E.

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celia works as an articling student with a large law firm. her wage increased from $30 per hour to $40 per hour. she can work up to 50 hours each week. the table below shows her utility from different levels of leisure and income. if celia continues to work 50 hours per week after her raise, the raise will increase her utility by:

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Celia works as an articling student with a large law firm. Her wage increased from $30 per hour to $40 per hour.

She can work up to 50 hours each week. The table below shows her utility from different levels of leisure and income. If Celia continues to work 50 hours per week after her raise, the raise will increase her utility by $160 per week. How is Celia's utility affected by the increase in her hourly wage? Utility is a measure of satisfaction or happiness derived from the consumption of goods or services. The marginal utility of money refers to the amount of satisfaction gained by receiving a small increase in income or wealth. When Celia's hourly wage increases from $30 to $40, the marginal utility of money increases. Celia's leisure time is inversely proportional to her hourly wage. As her hourly wage increases, she will be more likely to work more hours and have less leisure time. Celia's weekly earnings will increase from $1500 (50 hours x $30 per hour) to $2000 (50 hours x $40 per hour). Assume that Celia is currently working 40 hours per week and has a marginal utility of $40 for each additional hour she works. If Celia continues to work 50 hours per week after her raise, her marginal utility from working is higher than her marginal utility from leisure by $160 per week. This amount of money is calculated as follows:$160 = ($40 per hour x 10 additional hours per week) - ($40 per hour x 40 hours of leisure time) Therefore, the raise will increase Celia's utility by $160 per week.

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do employees in a large-scale bureaucracy (centralized) tend to have opportunistic behavior? agree or disagree?

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The answer to this question is no straightforward because different studies have produced different results, but in general, the answer is that employees in large-scale bureaucracies tend to exhibit opportunistic behavior.

Opportunistic behavior is a term used to describe the tendency of individuals to exploit opportunities for personal gain. It is a phenomenon that occurs in all types of organizations, including large-scale bureaucracies. The reason for this is that large-scale bureaucracies are often characterized by a high degree of centralization, which means that decision-making authority is concentrated at the top.

This concentration of power creates an environment where individuals may be tempted to engage in opportunistic behavior. Opportunistic behavior in large-scale bureaucracy is a topic that has been researched extensively over the years. It is a question that seeks to find out whether employees in a large-scale bureaucracy tend to exhibit opportunistic behavior.

In conclusion, it can be said that employees in large-scale bureaucracies tend to exhibit opportunistic behavior. However, it is important to note that not all employees engage in this type of behavior. Some employees are more committed to the organization and are less likely to engage in opportunistic behavior. Ultimately, it is up to the organization to create a culture that discourages opportunistic behavior and rewards employees for their contributions.

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which of the nonrational models of decision making did managers at telecompros follow? explain. g

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The non-rational models of decision-making that managers at TelecomPros follow are the intuitive model of decision-making.  

Intuitive decision-making is the process of reaching a decision without using a set or defined process. Intuition is the sense that you are following your instincts or your hunches to arrive at a decision.

There are several types of intuitive decision-making models that can be used to help people make decisions. These models are recognition-primed decision-making, expertise-based decision-making, holistic decision-making, affective decision-making, and  political decision-making. Each of these models can be used to help people make decisions in different situations, and they can be used to help people make better decisions. Intuitive decision-making is often used in situations where the decision-maker has limited time to make a decision or when the decision-maker is not able to use a defined process to make a decision.

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joe's burgers corporation is a famous fast-food chain that uses a picture of a cook in a red hat as its logo. it would not be legal for a firm to sell hamburgers with the same identification picture as that of joe's burgers because that would be a(n)

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Joe's Burgers Corporation would not legally be allowed to sell hamburgers with the same identification picture as their logo because it would be an act of copyright infringement.

Copyright law protects creators of unique works from the unauthorized use of their works. If Joe's Burgers Corporation is the original creator of the logo, then it is legally their property, and any unauthorized use of it would be a violation of their copyright.

Using the same identification picture on a different product would be a violation of Joe's Burgers Corporation's copyright, and they would be allowed to take legal action against the firm who used the same picture.

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After graduating from college in 2010, Art Major\'s starting salary is $45757.00. Suppose Art Major has a cost of living adjustment (COLA) clause, i.e. an escalator clause in his labor contract so that he will be able to maintain this same level of purchasing power in real terms in 2011 and 2012. Using the information in the table below, how much will Art Major be earning in 2011 and 2012 if his salary keeps up with inflation? Round your answers to the nearest dollar.
Year 2010 101.57
Year 2011 104.90
Year 2012 108.04
What is Art's Salary in 2011? 2012?

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After graduating from college in 2010, Art Major's starting salary is $45757.00. The salary of Art Major in 2011 will be $47492 and in 2012 it will be $48814.

Year 2010 101.57.  Year 2011 104.90.   Year 2012 108.04.

What is Art's Salary in 2011? 2012?

Given that Art Major has a cost of living adjustment (COLA) clause, his salary can maintain the same level of purchasing power in real terms in 2011 and 2012 if his salary keeps up with inflation. Now, the CPI rate can be calculated for each of these years. Therefore,CPI of 2010 = 101.57CPI of 2011 = 104.90CPI of 2012 = 108.04Since the salary of Art Major will be adjusted for inflation every year, the formula for calculating Art's salary will be as follows:S = S0 × (CPI of target year ÷ CPI of base year)where S = Salary of Art Major, S0 = Starting Salary, CPI of base year = CPI of 2010 and CPI of target year = CPI of 2011 or 2012.To calculate the salary of Art Major for the year 2011, the following calculation will be used:S2011 = 45757 × (104.90 ÷ 101.57) ≈ $47492To calculate the salary of Art Major for the year 2012, the following calculation will be used:S2012 = 45757 × (108.04 ÷ 101.57) ≈ $48814.

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one category of risk that is considered in an enterprise risk management program is the risk associated with an organization's property, liability, and personnel-related loss exposures. this risk is called

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One risk category considered in an enterprise risk management program is the risk associated with an organization's property, liability, and personnel-related loss exposures. This risk is called hazard risk.

What is hazard risk?

A risk is something that could cause harm. When something has the potential, even theoretically, to harm someone's health, life, property, or any other valuable interest, it might be considered a danger.

A hazard is a perilous event, thing, behavior, or circumstance. It could result in a loss of life, harm to one's physical or mental health, damage to property, loss of livelihoods and services, disturbance of the social and economic system, or environmental harm.

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What is the basic accounting for a non-profit organization?

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The basic accounting for a non-profit organization involves keeping track of its finances, including income, expenses, assets, liabilities, and net worth.

The income and expenses should be tracked and reported on a monthly basis in order to have an accurate understanding of the organization’s financial status. Additionally, it’s important to keep track of the organization’s assets and liabilities so that they are accurately reflected in the overall financial picture.

The first step in setting up the accounting system for a non-profit organization is to determine which type of accounting method should be used. Generally, non-profits will use either the cash or accrual basis. The cash basis requires that all income and expenses are reported in the period in which the cash is actually received or paid out. The accrual basis requires that all income and expenses are reported when they are earned or incurred, regardless of when the cash is actually exchanged.

Once the type of accounting method is determined, the non-profit organization can begin recording their financial transactions. This includes documenting income from all sources, such as grants, donations, and other revenue-generating activities. It is also important to keep track of expenses associated with the organization, such as employee salaries, materials, and overhead costs.

The non-profit organization should also create and maintain records of all assets and liabilities. This includes recording the acquisition and disposition of any fixed assets, such as property and equipment. Additionally, it is important to track any loans and accounts payable, as well as any investments or other assets the organization holds.

Finally, the non-profit organization should also track their net worth, which is the total assets minus total liabilities. This will give them an accurate snapshot of the financial position of the organization and will allow them to make informed decisions about their future finances.


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financial statement users need to be aware of changes in inventory levels when using

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Financial statements are used to assess the performance and financial stability of a firm. Inventory is an essential part of a business' operations since it represents the raw materials and ongoing activity.

How does the revenue statement alter when inventory changes?

To calculate a company's cost of goods sold, an increase in inventory will be deducted from purchases of goods and a decrease in inventory will be added to purchases of goods.

What impact does inventory have on the financial statement of a company?

The cost of inventory sold appears as cost of goods sold on the income statement. The balance of retained earnings on the statement of retained earnings is impacted by the cost of goods sold figure since it has an impact on the business's net income.

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what are the problems with, and solutions for, monopoly? in most cases, markets are considered more efficent and better off when monopolies are broken up. why is it hard for governments to do this?

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Problem with monopoly: One of the primary problems with monopolies is that they lead to higher prices, reduced efficiency, and reduced output.

The goal of the monopoly is to maximize profits, and it does so by reducing the number of products and raising prices. They also discourage innovation since they don't have to compete. Solutions to monopoly: There are a variety of ways to address monopolies.

To begin, the government may break up a monopoly by forcing the company to divide into smaller, more competitive entities. Government can also encourage new businesses to enter the market by removing barriers to entry or providing support to new entrepreneurs. Consumers may also choose to support small businesses and local businesses to reduce their reliance on monopolies.

The government faces a variety of challenges in breaking up monopolies. First, monopolies have the potential to produce significant political power, making them a formidable opponent to the government. They often have the money and influence to lobby politicians and control the narrative.

Second, breaking up a monopoly might have unintended consequences, such as harming the economy or reducing innovation. As a result, policymakers must thoroughly analyze the effects of breaking up a monopoly before making a decision.

Third, many monopolies are multinational corporations that operate in numerous countries, making it difficult for a single government to control them. Finally, the government may not have the necessary resources to enforce the law against a large corporation.

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the situation in which companies can reduce their production costs if they can purchase raw materials in bulk; the average cost of goods goes down as production levels increase.

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The situation in which companies can reduce production costs if they can purchase raw materials in bulk; the average cost goes down as production levels increase is known as economies of scale.

The cost advantages that a business can obtain by growing its production output are referred to as economies of scale. Due to variables including spreading fixed costs over more units, buying raw materials in bulk at a discount, and increasing production process efficiency, the average cost of producing each unit of output falls as production levels rise.

Economy of scale can cut per-unit expenses and boost a company's profitability. As a result, the business may be able to offer clients lower prices, which may boost demand and market share. There is a cap on how much economies of scale may help a business, and after a certain point, increasing manufacturing may actually start to become less effective and more expensive.

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a stock whose par value is $8 with 200 shares outstanding is split four-for-one. what is/are the effect(s) of this split? multiple select question. higher market price 800 shares outstanding lower market price par value $2

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When a stock whose par value is $8 with 200 shares outstanding is split four-for-one, the following effects will occur:Higher market price

Par value $2

Lower market price

800 shares outstanding

A stock split is a corporate action that results in the reduction of the par value of a company's outstanding shares. In other words, a company divides its existing shares into more shares. For example, a company with 200 shares of common stock outstanding and a par value of $8 per share would have a total equity of $1,600. The market value of a share of stock is determined by supply and demand in the market, and so the higher the demand, the higher the market value of the stock.

On the other hand, the par value of a share of stock is its nominal or legal value as stated in the corporate charter. The par value is often used to determine the initial sale price of the stock.The effect(s) of a stock split include:Lowering the par value of the outstanding shares.Making more shares available, thereby increasing the number of shares outstanding and reducing the market price per share.Increasing the number of outstanding shares and reducing the market price per share may make the stock more attractive to investors who can purchase more shares at a lower price.

As a result, the stock's market value may increase, resulting in a higher market price for each share. Conversely, a lower market value may make the stock less attractive to investors, resulting in a lower market price per share.

The accountant for Crusoe Company is preparing the company's statement of cash flows for the fiscal year just ended. The following information is available:Retained earnings balance at the beginning of the year $ 131,500Cash dividends declared for the year 51,500Proceeds from the sale of equipment 86,500Gain on the sale of equipment 8,100Cash dividends payable at the beginning of the year 23,500Cash dividends payable at the end of the year 26,600Net income for the year 97,500What is the ending balance for retained earnings?Multiple Choicea. $207,500.b. $177,500.c. $287,000.d. $185,000.e. $259,000.

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The ending balance for retained earnings is $207,500. Therefore, option A is correct.

A statement of cash flows is a financial report that reveals how changes in balance sheet accounts and income impact cash and cash equivalents. The statement of cash flows is broken down into three sections:

Operating activities: This section provides a summary of a company's cash inflows and outflows from day-to-day business activities. These typically include accounts receivable, accounts payable, depreciation, inventory, and taxes.Investing activities: This section records any cash outlays for capital expenditures, such as the acquisition of new equipment or real estate. Changes in investments, such as buying or selling securities, are also included.Financing activities: This section records any cash outlays for capital expenditures, such as the acquisition of new equipment or real estate. Changes in investments, such as buying or selling securities, are also included.

In the given problem, the accountant for Crusoe Company is preparing the statement of cash flows for the just-ended fiscal year. The information provided in the statement of cash flows is as follows:

Retained earnings balance at the beginning of the year: $ 131,500Cash dividends declared for the year: $ 51,500Proceeds from the sale of equipment: $ 86,500Gain on the sale of equipment: $ 8,100Cash dividends payable at the beginning of the year: $ 23,500Cash dividends payable at the end of the year: $ 26,600Net income for the year: $ 97,500

Therefore, when the net income for the year is $97,500 the ending balance for retained earnings will be $207,500 i.e., option A.

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A company reported that its bonds with a par value of $50000 and a carrying value of $66.500 are retired for $71,400 cash, resulting In a loss of $4,900. The amount to be reported under cash flows from financing activities is: a. $(71,400). b. $(16,500). c. $(66,500). d. $16,500. e. $(4,900).

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The correct answer is (a) $(71,400).
When a company retires bonds, cash flows from financing activities will be affected. Bonds with a par value of $50,000 and a carrying value of $66,500 were retired for $71,400 cash, resulting in a loss of $4,900.

The company will report cash flows from financing activities of $(71,400). This is calculated by subtracting the carrying value of the bonds ($66,500) from the amount received for the retirement of the bonds ($71,400). The loss of $4,900 is not reported in the statement of cash flows.
The other answer choices are incorrect because:
- (b) $(16,500) is incorrect because it is the difference between the par value of the bonds ($50,000) and the cash received for the retirement of the bonds ($71,400).
- (c) $(66,500) is incorrect because this is the carrying value of the bonds, which was not reported in the statement of cash flows.
- (d) $16,500 is incorrect because it is the difference between the cash received for the retirement of the bonds ($71,400) and the par value of the bonds ($50,000).
- (e) $(4,900) is incorrect because this is the amount of the loss that was not reported in the statement of cash flows.

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The secondary market is best defined by which one of the following? Multiple Choice o Market in which subordinated shares are issued and resold. o Market conducted solely by brokers. o Market dominated by dealers. o Market where outstanding shares of stock are resold. o Market where warrants are offered and sold.

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Option-D: The secondary market is best defined by the market where outstanding shares of stock are resold.

A secondary market is where securities are sold and traded by people who previously purchased them from an issuing firm or another investor in the primary market. The secondary market is a market where already-issued securities are bought and sold between investors without the involvement of the issuing company, and it includes both exchanges and over-the-counter markets.To understand the difference between a primary market and a secondary market, consider this example:When an organization initially offers securities to the public through a public offering, it is known as the primary market.

The securities then change ownership on the secondary market, which is where investors can buy or sell them with other investors.When an investor purchases securities through the secondary market, the organization that issued the securities is not involved. Secondary markets, unlike primary markets, are essentially where already-issued securities are bought and sold by investors. As a result, secondary markets provide investors with a variety of options for trading securities.Thus the correct answer is Option-D.

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an investor deposits $50 on the first day of each month in an account that pays 3% interest, compounded monthly. what is the balance at the end of 2 years ?

Answers

The balance at the end of two years when an investor deposits $50 on the first day of each month into an account with a 3% interest rate compounded monthly is $3,241.58.


In order to calculate the future value at the end of two years when an investor deposits $50 per month with a 3% interest rate compounded month, we can use the formula for the future value of a series of payments. The formula for future value is:

FV = PMT*((1+i)^n-1)/i.

Here, PMT is the amount of each payment ($50), i is the interest rate per period (3%/12 = 0.0025), and n is the number of periods (24 months).

Plugging these into the formula gives us:

FV = $50*((1+0.0025)^(24-1))/0.0025

FV = $3,241.58.

Hence the balance at the end of 2 years is $3,241.58.

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remy corporation sold 5,400 units of its product at a price of $29 per unit. total variable cost per unit is $15.50, consisting of $14.60 in variable cost of goods sold and $0.90 in variable selling and administrative cost. compute the contribution margin for the company. multiple choice

Answers

The contribution margin for the company is $13.50.

The contribution margin for the company is the amount by which revenue from sales of goods exceeds the total variable cost. The contribution margin for the company can be computed as follows:

Contribution Margin = Selling Price per Unit - Total Variable Cost per Unit

where

Selling Price per Unit = $29

Total Variable Cost per Unit = Variable cost of goods sold + Variable selling and administrative cost

Total Variable Cost per Unit= $14.60 + $0.90 = $15.50

Contribution Margin = $29 - $15.50 = $13.50

Therefore, the contribution margin for the company is $13.50.

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Let's suppose the marginal propensity to consume is 0.8. If the government cuts taxes by $500 billion and households believe the tax cuts to be permanent, by how much would national expenditures increase, assuming no crowding out?

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Given the assumptions of a marginal propensity to consume of 0.8 and a government tax cut of $500 billion that is assumed to be permanent, the resulting increase in national expenditure will be $400 billion.

The marginal propensity to consume (MPC) is the fraction of any increase in disposable income (after-tax income) that households will consume rather than save. In this case, the MPC is assumed to be 0.8, which means that, for every dollar of increased disposable income, households will consume 80 cents and save 20 cents.

When the government cuts taxes by $500 billion, it is assumed that households will view this as a permanent increase in their disposable income. As such, they will spend 80% of this, or $400 billion. This increase in consumption is the increase in national expenditures that will result from the tax cut.

In other words, when the MPC is 0.8 and the government cuts taxes by $500 billion, households will increase their consumption by $400 billion, resulting in an overall increase in national expenditures of $400 billion.

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Seymore Corp. has the following number of shares of stock outstanding: Cumulative preferred stock, 8%, $100 par Common stock, $12 par 2,000 shares 20,000 shares Seymore will distribute $80,000 to the two classes of stockholders this year. Not counting the current year, the preferred stoc dividends are one year in arrears. Indicate whether each of the following statements is true or false. a) Preferred stockholders will receive $16,000 of cash dividends in the current year. b) After all required preferred dividends are paid, preferred and common stockholders will share the remaining dividend. c) Common stockholders will receive $48,000 of cash dividend in the current year. d) The amount of common dividends per share that stockholders will receive in the current year is $6.40. e) The amount of dividends in arrears is zero after the $80,000 of dividends have been paid.

Answers

From the above statement about preferred stocks, the correct answers are a, b, and e. While c, and d are inappropriate statements.

a) Preferred stockholders will receive $16,000 of cash dividends in the current year. True. The preferred stockholders will receive $16,000 of cash dividends in the current year, as there are 8% cumulative preferred stock with $100 par value, and 2000 shares outstanding, which totals to $16,000.

b) After all required preferred dividends are paid, preferred and common stockholders will share the remaining dividend. True. After the $16,000 of preferred dividends have been paid, the remaining $64,000 will be shared between preferred and common stockholders.

c) Common stockholders will receive $48,000 of cash dividend in the current year. False. Common stockholders will receive $64,000 of cash dividend in the current year. This is calculated by subtracting the $16,000 of preferred dividends from the total $80,000 of dividends.

d) The amount of common dividends per share that stockholders will receive in the current year is $6.40. False. The amount of common dividends per share that stockholders will receive in the current year is $3.20. This is calculated by dividing the $64,000 of common dividends by the 20,000 shares of common stock.

e) The amount of dividends in arrears is zero after the $80,000 of dividends have been paid. True. After the $80,000 of dividends have been paid, the amount of dividends in arrears is zero.

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eBay has been fined $63.2 million in damages for allowing fake and unauthorized goods to be sold through the online retailer. A Paris commercial judge ruled that eBay had not done enough to ensure goods sold on its web site around the world were not _____.

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eBay has been fined $63.2 million in damages for allowing fake and unauthorized goods to be sold through the online retailer. A Paris commercial judge ruled that eBay had not done enough to ensure goods sold on its web site around the world were not counterfeits.

This is the sum that LVMH, which owns well-known brands such as Louis Vuitton and Dior, has been awarded by the court. The decision was based on eBay's alleged failure to take adequate steps to prevent counterfeit and unauthorized items from being sold through its website.

eBay has not done enough to ensure goods sold on its web site around the world were not counterfeits. A commercial court in Paris has ruled that eBay was to blame for the sale of fake LVMH goods on its website in the French market, and therefore liable for the company's losses.

The court found that eBay had not taken sufficient steps to prevent the sale of counterfeit items, and that it had also harmed LVMH by promoting the sale of fake goods. eBay has stated that it intends to appeal the decision, which it believes is "wrong on the facts and the law".

Therefore, eBay has been fined $63.2 million in damages for allowing fake and unauthorized goods to be sold through the online retailer.

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1. Study Question #1 Ch 8. Evaluate the following statement. True or False: Trade liberalization has assumed two main forms. One involves the reciprocal reduction of trade barriers on a nondiscriminatory basis. as seen in the operation of the World Trade Organization. The other approach involves the establishment by a group of nations of regional trading arrangements among themselves. The European Union and the North American Free Trade Agreement are examples of regional trading arrangements. True O False Grade it Now Save &. Continue Continue without saving

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Trade liberalization has assumed two main forms: reciprocal reduction of trade barriers on a nondiscriminatory basis and the establishment of regional trading arrangements. The statement is true.

The reciprocal reduction of trade barriers on a nondiscriminatory basis is one form of trade liberalization, as evidenced by the operations of the World Trade Organization. The other approach involves the establishment of regional trading arrangements between a group of countries, such as the European Union and the North American Free Trade Agreement.

The elimination of barriers to trade and the promotion of global trade are the primary goals of trade liberalization. These initiatives are aimed at lowering the price of goods and services by allowing greater competition among manufacturers and service providers. Trade liberalization aids in the development of a competitive global marketplace, which is critical for economic growth and job creation.

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Which of the following statements is correct?
A. A decrease in the accounts receivable balance means that credit sales exceeded cash collections from customers.
B. The accounts receivable balance increases when cash collected from customers exceeds credit sales.
C. A decrease in accounts receivable is deducted from net income when determining cash flow from operating activities.
D. An increase in accounts receivable is deducted from net income when determining cash flow from operating activities.

Answers

An increase in accounts receivable is deducted from net income when determining cash flow from operating activities. Option D is correct.

What is the significance of accounts receivable?

Accounts receivable is a monetary amount that a business is entitled to receive after providing goods or services on credit. It is the outstanding amount of invoices or goods that a company has delivered or completed for its customers. It is a significant component of a company's working capital management since it signifies the revenue generated by the company's business activities.

How are accounts receivable related to the cash flow of a company?

Accounts receivable have an impact on a company's cash flow because they are used to calculate the cash flows from operating activities. Because the revenues and expenses recorded on a company's income statement are accrual-based rather than cash-based, adjustments must be made to translate them to cash-based figures when calculating cash flow.

When a company collects more cash from its customers than the number of credit sales it makes, accounts receivable will decrease. In contrast, an increase in accounts receivable will occur when a company collects less cash than the number of credit sales it makes.

Therefore, an increase in accounts receivable is deducted from net income when determining cash flow from operating activities, while a decrease is added. Option D is the correct statement.

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what is the difference between an l/c and other forms of export-import financing? why do sellers often require letters of credit in international transactions?

Answers

The difference between an l/c (Letter of Credit) and other forms of export-import financing is that an l/c is a commitment by a bank on behalf of the buyer that payment will be made to the seller once certain conditions are met. This type of financing provides the seller with greater security in international transactions compared to other forms of export-import financing i.e. bills of exchange, bankers’ acceptance, forfeiting, factoring, etc.

Letters of credit (L/Cs) are required in international transactions by sellers because they assure both the exporter and the importer in a transaction. It provides security to the seller and reduces the risk of non-payment and other risks that are inherent in international trade transactions. It provides flexibility in terms of payment amounts and payment timing, allowing the seller to negotiate better terms.

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Export-import financing is a type of financial aid that is given to businesses that engage in exporting or importing activities. Letters of credit are one of the many forms of export-import financing, and they are a type of financial instrument that banks use to facilitate international transactions. One of the primary reasons why sellers often require letters of credit in international commerce is because they provide a high degree of assurance that payment will be received.

What is export-import financing?

Export-import financing is a type of financial aid that is given to businesses that engage in exporting or importing activities. The goal of export-import financing is to provide businesses with the financial resources they need to engage in international trade. This can include loans, grants, insurance, and other forms of financial assistance. By providing this type of financial assistance, businesses are better able to take advantage of international trade opportunities.

What is the difference between L/C and other forms of export-import financing?

Letters of credit are just one of the many forms of export-import financing. There are many other types of financial aid that businesses can receive to help them engage in international trade. Some of the most common forms of export-import financing include trade loans, guarantees, insurance, and factoring. Each of these forms of financing has its own benefits and drawbacks, and businesses must evaluate which form of financing is best suited to their needs.

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