Which depreciation methods allocate the cost of long-term assets based on time?straight-linedeclining-balance

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Answer 1

Both the straight-line method and the declining balance method allocate the cost of long-term assets based on time. Here both options are correct.

The straight-line method is a simple and commonly used method of depreciation that allocates the cost of the asset evenly over its useful life. The formula for calculating the depreciation expense using the straight-line method is:

Depreciation Expense = (Cost of Asset - Salvage Value) / Useful Life

The declining balance method is a more accelerated method of depreciation that allocates a larger portion of the asset's cost in the early years of its useful life. This method assumes that the asset will lose more value in the earlier years of its life than in the later years. The formula for calculating the depreciation expense using the declining balance method is:

Depreciation Expense = Beginning Book Value x Depreciation Rate

The depreciation rate for the declining balance method is a multiple of the straight-line rate, which is determined by the useful life of the asset and the chosen rate of depreciation.

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Complete question:

Which depreciation methods allocate the cost of long-term assets based on time?

A - straight line

B - declining balance


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of all the factors that investors consider, the is/are paramount. a. firm's target market b. firm's competitive advantage c. entrepreneur's educational achievements d. quality of the management team

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Of all the factors that investors consider, the quality of the management team is/are paramount. Therefore, option D is the correct answer.

The management team of a company is responsible for making strategic decisions that affect the company's success. As a result, investors place a high value on the quality of the management team. This is because the team has a significant impact on the firm's future direction and success. The team's competence, expertise, and experience are all factors that investors consider when evaluating the quality of the management team. As a result, investors will conduct a thorough investigation into the company's management team before making an investment decision.

In addition to the management team, other factors that investors consider include the firm's target market, competitive advantage, financial performance, and growth potential, among others. Nonetheless, investors consider the quality of the management team to be the most important factor.

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Which of the following are examples of integrity constraints? (Select all that apply, omit those that do not.) a) prevent the creation of an order for a nonexistant customer Ob) prevent a negative markup percentage c) prevent ordering zero pounds of raw materials from a supplier d) ensure that only authorized users have access to data e) ensure formatting includes decimal positions

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The examples of integrity constraints are: a) Prevent the creation of an order for a non-existent customer, b) Prevent a negative markup percentage, c) Prevent ordering zero pounds of raw materials from a supplier, and e) Ensure formatting includes decimal positions. All of these are examples of integrity constraints.

In a database, an integrity constraint is a set of rules that limit what can be entered into the database. Integrity constraints assist in ensuring the accuracy and consistency of a database. It is possible to implement the following types of integrity constraints:

Domain Integrity Constraints: Make sure that every column in a database table contains data in the same data type.

Range Integrity Constraints: Check that data falls within a specific range or satisfies a specific requirement.

Entity Integrity Constraints: Guarantee the uniqueness of the data contained in each row of a table, as well as the non-null condition.

Referential Integrity Constraints: Maintains the relationships between tables and ensures that references between them are accurate.

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Independence Corporation needs to replace some of the assets used in its trade or business and is contemplating the following exchanges: Determine whether each exchange qualfies as a like-kind exchange. Lu-Kind Exchange a Asset Olven Up by Independence Office building in Chicago, IL Large warehouse on 2 acres Office building in Green Bay, WI used in the business b Ansat Rocolved by Independence Piece of land in Toronto, Canada Small warehouse on 22 acres Apartment complex in Newport Beach, CA, that will be held as an investment Qualios Qualifies

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Ansat Rocolved by Independence Will qualify as the like-kind exchange under section 1031 of the Internal Revenue Code.

The Internal Revenue Service (IRS) has established rules that determine whether or not an asset exchange is considered a like-kind exchange. To be considered a like-kind exchange, the exchanged properties must be of the same type or nature.

According to the given options, Lu-Kind Exchange a Asset Olven Up by Independence Office building in Chicago, IL Large warehouse on 2 acres, Office building in Green Bay, WI used in the business. This exchange does not qualify as a like-kind exchange since the properties are not of the same type.

(b) Ansat Rocolved by Independence, Piece of land in Toronto, Canada Small warehouse on 22 acres, Apartment complex in Newport Beach, CA, that will be held as an investment. This exchange qualifies as a like-kind exchange because the properties being exchanged are all considered real estate.

Therefore only Ansat Rocolved by Independence Will qualify as the like-kind exchange under section 1031 of the Internal Revenue Code.

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the interest coverage ratio (defined as annual operating profit divided by annual interest expense) whether the company has projected internal cash flows from operations to pay off all outstanding loans within 5 years the company's average return on shareholders' equity over the most recent three years its ratio of total assets to total liabilities the company's prior-year earnings per share

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The interest coverage ratio, also known as the times interest earned ratio, is a measure of a company's ability to meet its interest payments. It is calculated by dividing a company's annual operating profit by its annual interest expense. A higher interest coverage ratio is generally better, as it suggests that a company has a better ability to pay its interest payments.

The internal cash flows from operations are important to determine whether a company can pay off its outstanding loans within five years. A company's ability to pay off its loans within five years depends on its ability to generate sufficient cash flows from operations and other sources.

The average return on shareholders' equity (ROE) over the most recent three years is an important measure of a company's profitability. It is calculated by dividing a company's net income by its average shareholders' equity. A higher ROE suggests that a company is able to generate more profits from its equity investments.

The ratio of total assets to total liabilities (also known as the debt-to-equity ratio) is a measure of a company's financial leverage. It is calculated by dividing a company's total liabilities by its total assets. A higher ratio indicates that a company is more highly leveraged, which could increase its risk.

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Mountain Ski Sports, a chain of ski-equipment shops in Colorado, purchases skis from a manufacturer each summer for the coming winter season. The most popular intermediate model costs $150 and sells for $275. Any skis left over at the end of the winter are sold at the store's spring sale (for $100). Sales over the years are quite stable. Gathering data from all its stores, Mountain Ski Sports developed the following probability distribution for demand: Demand Probability 150 o.05 175 0.20 200 0.35 225 0.30 250 0.10 The manufacturer will take orders only for multiples of 20, so Mountain Ski is considering the following order sizes: 160, 180, 200, 220, and 240. 1. Construct a payoff table for Mountain Ski's decision problem of how many pairs of skis to order. What is the best decision from an expected value basis? The best strategy is to order ____ Ski Sports. Follow the principles of good spreadsheet engineering Vpairs. Show your work on worksheet Mountain 2. The expected value of perfect information is____ Show your work on worksheet Mountain Ski Sports 3. The expected demand is _____ and ordering this quantity ______the best decision

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In the following question, in the missing blanks on a manufacturer, 1- "200" pairs, 2- information is "$66.50." 3-  "200" pairs and ordering this quantity "is" the best decision.

1. Construct a payoff table for Mountain Ski's decision problem of how many pairs of skis to order. What is the best decision from an expected value basis? The best strategy is to order "200" pairs of skis. Follow the principles of good spreadsheet engineering Vpairs. Show your work on the worksheet Mountain Ski Sports:

Demand Probability    150    0.05    175    0.20    200    0.35    225    0.30    250    0.10

Order Size |   160 |   180 |   200 |   220 |   240

Expected Profit |   39.00 |   44.00 |   66.50 |   53.00 |   28.00

2. The expected value of perfect information is "$66.50." Show your work on worksheet Mountain Ski Sports:

Order Size |   160 |   180 |   200 |   220 |   240

Expected Profit |   39.00 |   44.00 |   66.50 |   53.00 |   28.00

Expected Value of Perfect Information (EVPI) = 66.50 - Maximum Expected Profit (66.50) = 0

3. The expected demand is "200" pairs and ordering this quantity "is" the best decision.

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Data such as which of a company's customers buy which products, which items the company has in stock, and when the company ships items to its customer are all examples of ________.
A) marketing intelligence
B) acquired data points
C) external primary data
D) marketing research
E) internal company data

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The data such as which of a company's customers buy which products, which items the company has in stock, and when the company ships items to its customer are all examples of internal company data. The correct answer is option e.

What is internal company data?

Internal company data is information that is solely owned by the company and is not shared with the outside world. Such data is kept confidential and is not made available to the public.

Internal company data can be used for a variety of purposes, such as tracking performance, analyzing trends, making business decisions, and identifying opportunities for improvement. It can also be used to comply with legal or regulatory requirements, such as tax reporting, financial reporting, or data privacy regulations.

Effective management of internal company data is important to ensure its accuracy, security, and usefulness for decision-making. Many companies use specialized software and systems to manage and analyze their internal data and protect it from unauthorized access or loss.

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A country reported nominal GDP of $105 billion in 2018 and $85 billion in 2017. It also reported a GDP deflator of 130 in 2018 and 125 in 2017. Between 2017 and 2018? a) real output and the price level both rose. b) real output rose and the price level fell. c) real output fell and the price level rose. d) real output and the price level both fell.

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The correct answer is a) real output and the price level both rose.

The nominal GDP in 2018 was $105 billion, compared to $85 billion in 2017, which is a real output increase of 24.7%. The GDP deflator of 130 in 2018 compared to 125 in 2017 is an increase in the price level of 4%.

Option a is the correct answer. Between 2017 and 2018, both real output and the price level rose. What is real output?Real output, also known as GDP at constant prices or real GDP, is a measurement of an economy's economic output adjusted for price changes.

GDP that has been adjusted for price changes is real GDP, which is a measure of an economy's growth or contraction. It is essential to calculate real GDP because it removes the influence of inflation or deflation from the GDP's development over time.

What is a GDP deflator? A measure of price inflation or deflation for the goods and services generated in an economy is the GDP deflator. It is calculated by taking the ratio of nominal GDP to real GDP and multiplying it by 100. GDP deflator = (Nominal GDP/Real GDP) x 100%.

It is similar to the Consumer Price Index (CPI), which monitors changes in the cost of a basket of goods and services purchased by consumers, except that the GDP deflator is broader since it reflects changes in the price level of all goods and services produced, not just those purchased by consumers.

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which of the following describe the effects of the variable levy on international trade? check all that apply. foreign producers are more aggressive in subsidizing their exports to capture a larger share of the world market. foreign producers are discouraged from reducing prices to maintain export sales. foreign producers have no incentive to subsidize their exports.

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The variable levy is a tax imposed on imported goods that is directly proportional to the price of those goods. As a result, it acts as a form of protection for domestic producers by making foreign products more expensive. A and B are the correct answers.

However, it has a number of effects on international trade, which are as follows:
Effects of the variable levy on international trade
Foreign producers are more aggressive in subsidizing their exports to capture a larger share of the world market.
When a variable levy is imposed, foreign producers are more likely to offer subsidies to their exports in order to remain competitive. This is because the tax increases the price of their goods, making it difficult for them to sell in the domestic market. Subsidies assist in lowering the price of their goods and keeping them affordable for the consumer.
Foreign producers are discouraged from reducing prices to maintain export sales.
If a variable levy is imposed on an imported item, foreign producers are less likely to lower prices. This is because the tax increases the cost of the product, making it difficult for the importer to sell in the domestic market. Subsequently, by decreasing the price, the importer will be forced to suffer losses, and thus the tax impacts the pricing strategy of the foreign producer.
Foreign producers have no incentive to subsidize their exports.
Variable levies have no impact on certain foreign producers who do not depend on international trade for their revenue. Producers who are not reliant on exports, as well as those who have other sources of income or significant domestic sales, are less likely to offer subsidies on their exports.

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Which of the following sample planning factors would influence the sample size for a substantive test of details for a specific account? Expected Measure of amount of tolerable misstatements misstatement Group of answer choices a. Expected amount of misstatements b. No Measure of tolerable misstatement c. No Expected amount of misstatements d. Yes Measure of tolerable misstatement e. Yes Expected amount of misstatements f. No Measure of tolerable misstatement g. Yes Expected amount of misstatements h. Yes Measure of tolerable misstatement No

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The sample size for a substantive test of details for a specific account is influenced by the factors of "Expected Measure of amount of tolerable misstatements" and "Measure of tolerable misstatement" which is option D.

Sample size is a term used in statistics to represent the size of a sample. It can be defined as the number of observations in a sample. The sample size is critical in deciding the accuracy of a study because a larger sample size will produce more accurate results. If the sample size is small, the study will not be reliable because it is not representative of the population from which the sample was drawn.

In auditing, substantive tests are used to verify the accuracy and completeness of account balances, transaction classes, and disclosures in financial statements. They are intended to be a means of obtaining audit evidence to substantiate the financial statement amounts and disclosures. The substantive test may be of details or analytical procedures. When carrying out substantive tests, the auditor must choose a sample of transactions, balances, or disclosures from the population to test.

The auditor determines the appropriate sample size by considering several factors that influence the risk of material misstatement, such as the expected amount of misstatements, the measure of tolerable misstatement, and other relevant factors.The sample size for a substantive test of details for a specific account is influenced by the factors of "Expected Measure of amount of tolerable misstatements" and "Measure of tolerable misstatement." These two factors are selected because they will help the auditor to obtain a sample size that will be adequate for the purpose of detecting material misstatements that are not acceptable.

Therefore, the correct answer is option (d) Yes Measure of tolerable misstatement.

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shaw and barry mention three arguments for legally protecting trade secrets. which of these is one of them?
a. Trade secret are the intellectual property of the employee who developed them
b. Employees who discloses trade secrets violate the confidentiality owed to their employers
c. Trade secrets are patented
d. Trade secrets are tardemarked

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According to Shaw and Barry, one justification for the legal protection of trade secrets is that employees who divulge trade secrets breach the duty of secrecy given to their employers.

Shaw and Barry suggest that the legal protection of trade secrets is justified because employees who reveal these secrets to others violate the duty of confidentiality owed to their employers. This duty is implicit in the relationship between an employer and employee and is often formalized in written contracts or agreements. When employees agree to keep trade secrets confidential, they are accepting a duty not to reveal this information to others, either during or after their employment. Violating this duty of secrecy can cause substantial harm to employers, including loss of competitive advantage, loss of customers, and loss of valuable business relationships. Legal protection of trade secrets helps to discourage such behavior and preserve the value of trade secrets for employers.

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People who get Botox treatments consider it to be a private matter, therefore, they do not discuss it with others. This lowers the level of _____, slowing down the diffusion process.
trialability
complexity
observability
compatibility
relative advantage

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People who get Botox treatments consider it to be a private matter, therefore, they do not discuss it with others. As a result, the level of observability decreases, which reduces the rate of diffusion of the innovation.

What is Diffusion of innovation?

The diffusion of innovation can be defined as the process by which a new innovation is spread among a group of people over time. An innovation is something new that has not been seen or used before. It can be an idea, a product, a service, or a practice. Diffusion can be slow or fast, depending on several factors. These include relative advantage, compatibility, complexity, observability, and trialability. Let's see what each of these factors means:

Relative advantage refers to the degree to which an innovation is perceived to be better than the existing products or practices.

Compatibility refers to the degree to which an innovation is perceived to be consistent with the values, experiences, and needs of potential adopters. I

Complexity refers to the degree to which an innovation is perceived to be difficult to understand and use.

Observability refers to the degree to which the results of an innovation are visible to others.

Trialability refers to the degree to which an innovation can be experimented with on a limited basis.

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How does payroll withholding help a company's employees? (1-2 sentences. 2. 0 points)


2. List at least three types of tax that a company may have to withhold from employees' paychecks. (1-3 sentences. 3. 0 points)


3. What are the two main types of tax forms a company provides to employees so the employees can fill out their 1040 tax form? (1-2 sentences. 2. 0 points)


4. List at least two tips for using credit wisely. (1-2 sentences. 2. 0 points)


5. Why is a bank more likely to offer you credit if you have a co-signer with good credit? (1-4 sentences. 3. 0 points)


6. Describe at least three things a bank would consider about you when deciding whether to give you a loan. (1-3 sentences. 3. 0 points)


7. Write at least two policies that a company could use to decide which customers to offer credit to. (1-2 sentences. 2. 0 points)


8. Which type of credit requires that borrowers carefully manage the debt so it doesn't get out of control? Explain why this type of credit requires more careful management. (1-5 sentences. 3. 0 points)

Answers

1. Payroll withholding helps a company's employees by automatically deducting taxes and other withholdings from their paychecks, which simplifies the tax process and ensures that employees are paying the correct amount of taxes throughout the year.

2. Three types of tax that a company may have to withhold from employees' paychecks include federal income tax, Social Security tax, and Medicare tax.

3. The two main types of tax forms a company provides to employees so they can fill out their 1040 tax form are Form W-2 and Form 1095-C.

4. Two tips for using credit wisely include paying bills on time and in full, and avoiding carrying a balance on credit cards whenever possible.

5. A bank is more likely to offer credit if you have a co-signer with good credit because the co-signer serves as a guarantor for the loan, which reduces the risk for the bank if the borrower defaults on the loan.

6. Three things a bank would consider about you when deciding whether to give you a loan include your credit score, income, and debt-to-income ratio.

7. Two policies that a company could use to decide which customers to offer credit to include requiring a minimum credit score or income level, and conducting a credit check or background check on potential customers.

8. Revolving credit requires careful management because it allows borrowers to carry a balance from month to month, which can lead to high interest charges and debt if not managed properly. Borrowers must make sure to pay at least the minimum payment each month and avoid carrying a balance for too long to avoid high interest charges.

why is it important to understand the costs and potential income of a theatre production before decideing to commit to the understaning

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It is important to understand the costs and potential income of a theatre production before deciding to commit to the undertaking because it can help you determine whether or not the production is financially viable.

Knowing the costs and potential income will help you plan the budget, decide on which theatre to choose, and figure out how to cover any unexpected costs.

Before deciding to commit to the understanding, it is crucial to understand the costs and potential income of a theatre production to avoid financial losses.

The Importance of understanding the costs and potential income of a theatre production: The understanding of the costs and potential income of a theatre production helps in determining the feasibility of producing the play.

It can help in avoiding financial losses, identifying the areas where costs can be cut down, and where revenue can be increased.

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Which account have negative impact on the Owner's equity A.Water and Electricity. B.Capital. C.Vehicle. D.Rent income. ​

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Answer:

A

Explanation:

, Water and Electricity have a negative impact on the owner's equity as they are considered as expenses, which decrease the owner's equity. Capital, on the other hand, is a positive factor as it represents the owner's investment in the business. Vehicle can also have a positive impact on owner's equity as it is an asset that can generate income or be sold for a profit. Rent income is also a positive factor as it is a source of revenue and increases the owner's equity.

Compared to the 41.5 percent of Texans who identify themselves as white and non-Hispanic, approximately what percentage of judges did so in 2017? Choose one of the following.over 65 percent, over 75 percent, over 80 percent

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Over 80 percent of Texas judges identified themselves as white and non-Hispanic in 2017.

This is significantly higher than the 41.5 percent of Texans who identify as white and non-Hispanic. This is likely due to the long-standing tradition of under-representation of racial minorities in judicial appointments and law enforcement.

This lack of diversity among judges has been linked to poor outcomes for communities of color in courtrooms, as judges may be less likely to recognize the value of the testimony or experience of people of color.

By increasing diversity among judges, it is hoped that the judiciary can better serve all Texans.

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True or False: The income statement records all the revenues and expenses for a given period and shows whether the firm is making a profit or is experiencing a loss.

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The given statement is true becasue the income statement records all the revenues and expenses for a given period and shows whether the firm is making a profit or is experiencing a loss.

The income statement is a financial statement that summarizes a company's revenues and expenses over a specific period of time, usually a quarter or a year. It shows the company's profitability by subtracting expenses from revenues. If the result is a positive number, the company is making a profit, and if the result is negative, the company is experiencing a loss.

The income statement is a critical financial statement that helps investors, creditors, and management evaluate the company's performance and financial health.

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a. When prospect theory occurs, O people are better able to process changes in product sizes than changes in price. O gains are felt more intensely than losses. O people judge gains and losses relative to the status quo that they are used to. O people assign the same utility to a given situation regardless of their previous status quo. b. When a framing effect occurs, O the choice of strategy doesn't matter since consumers are generally able to recognize price increases regardless of what form they take. O recent information has the most influence on decision making. O people's preferences can change drastically dependent on contextual information. O people isolate purchases and fail to consider all consumption options. c. When anchoring occurs, O recent information has the most influence on decision making. O people judge gains and losses relative to the status quo that they are used to. O the choice of strategy doesn't matter since consumers are generally able to recognize price increases regardless of what form they take people are better able to process changes in product sizes than changes in price. d. When mental accounting occurs, Opeople isolate purchases and fail to consider all consumption options. O people's preferences can change drastically dependent on contextual information. O people assign the same utility to a given situation regardless of their previous status quo. people are better able to process changes in product sizes than changes in price.

Answers

Prospect theory posits that people judge gains and losses relative to the status quo that they are used to, and that gains are felt more intensely than losses. People are better able to process changes in product sizes than changes in price since changes in product size are easier to understand and can be seen more easily.

A framing effect is when people's preferences can change drastically dependent on contextual information, such as how the product or service information is presented. This can influence how people perceive the product or service and how likely they are to purchase it.

Anchoring occurs when people judge gains and losses relative to the status quo that they are used to. People often make decisions based on the initial information they receive, regardless of how much more information is presented.

Mental accounting is when people isolate purchases and fail to consider all consumption options. People assign the same utility to a given situation regardless of their previous status quo. This means that people may be more likely to make decisions based on their current situation, rather than considering the long-term implications.

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what distinguishes current liabilities from long-term liabilities? banks sometimes loan cash under noninterest-bearing notes. is it true that banks lend money without interest?

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1 - The main difference between current liabilities and long-term liabilities is the time frame in which they are due and payable.

2- it is not entirely true that banks lend money without interest.

Current liabilities are debts that are due and payable within one year or within the company's normal operating cycle, whichever is longer. Examples of current liabilities include accounts payable, short-term loans, and accrued expenses.

On the other hand, long-term liabilities are debts that are not due and payable within one year or within the company's normal operating cycle, whichever is longer. Examples of long-term liabilities include long-term loans, bonds payable, and deferred tax liabilities.

The main difference between current liabilities and long-term liabilities is the time frame in which they are due and payable. Current liabilities are short-term debts that must be paid off within the next year, while long-term liabilities are debts that extend beyond the next year.

Regarding the second question, it is not entirely true that banks lend money without interest. While it is possible for a bank to issue a non-interest-bearing note, it is relatively uncommon, and most loans come with an interest rate attached. The interest rate is the cost of borrowing money and is typically expressed as a percentage of the total amount borrowed. Banks charge interest on loans to earn a profit and to cover the cost of their operations, such as paying for employees, office rent, and other expenses.

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Ivie Clarke has decided to launch a numbers game like Sudoku. She estimates her fixed costs to be £5,000. The variable costs are £1.20 per game. She intends to sell the games for £5.00 each. Ivie estimates she will sell 1,400 games a month. 7 (a) What is her total revenue if she sells 1,400 games? (1) (b) What are her total costs if she sells 1,400 games?(1) (c) How much profit does she make if she sells 1,400 games?(1) 8 How many games does she need to sell to cover her total costs?(1) 9 In fact the fixed costs of the business were actually £5,500. How much profit or loss would Ivie make if she sold 1,400 games. (2)​

Answers

Her total revenue if she sells the 1,400 games of the numbers game is £7,000.

What is revenue?

The average sales price is multiplied by the quantity of units sold to arrive at revenue, which represents the money generated by normal business operations. Net income must be deducted from the top line (or gross sales) figure in order to be calculated. In the salary summary, revenue and sales are synonymous. To determine how effectively a business collects unpaid debt, it is critical to review the cash flow summary. Cash accounting, in comparison, only records purchases as revenue when actual money changes hands. "Receipt" is the term used to describe money provided to a business. For receipts to show, income is not necessary. For instance, there will be a receipt but no income from a customer who pre-paid for a service or goods that were never delivered.

Ivie's total revenue if she sells the 1,400 games is:

Revenue = Price per game x Number of games sold

Revenue = £5.00 x 1,400

Revenue = £7,000

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a business guerrilla offensive is best suited for . multiple choice question. industrial leaders that are seeking to reduce market visibility small companies with large amounts of cash reserves to take on industrial leaders small companies that lack the capacity to launch a full strategic offensive against better established rivals industrial leaders that are unable to slash prices for a just a brief period

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The most appropriate option for a business guerrilla offensive is: small companies that lack the capacity to launch a full strategic offensive against better established rivals.

The term "guerrilla" refers to military tactics that rely on sudden ambushes, hit-and-run assaults, and other forms of irregular warfare, according to guerrilla warfare. Companies use the guerrilla warfare strategy, for instance, to capture market share or to defeat larger competitors. A company that uses guerrilla warfare tactics concentrates on a small sector of the market and focuses its advertising and sales efforts on that segment. The guerrilla company aims to be recognized by the target market as a specialist in that specific sector by doing this.

A business guerrilla offensive is ideal for small businesses that lack the capacity to execute a full strategic offensive against better established rivals, as per the question. A guerrilla offensive isn't intended to take on competitors head-on; instead, it uses targeted marketing and advertising efforts to appeal to a particular market segment, frequently in a novel and inventive manner.

Guerrilla tactics are effective when used by small companies because they can compete with larger firms on a smaller scale, rather than taking them on head-on. Guerrilla marketing campaigns, for instance, are frequently used by small firms to capture attention and differentiate themselves from larger competitors. Hence, the correct option is: small companies that lack the capacity to launch a full strategic offensive against better established rivals.

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Superior Micro Products uses the weighted-average method in its process costing system. Data for the Assembly Department for May appear below:
Materials Labor Overhead
Work in process, May 1 $ 27,100 $ 44,154 $ 215,019
Cost added during May $ 164,605 $ 29,436 $ 143,346
Equivalent units of production 2,300 2,200 2,100
Required:
1. Compute the cost per equivalent unit for materials, for labor, and for overhead. (Round your answers to 2 decimal places.)
2. Compute the total cost per equivalent whole unit. (Round your intermediate calculations to 2 decimal places. Round your final answer to 2 decimal places.)

Answers

The cost per equivalent unit for materials ($74.43), for labor ($41.98), and for overhead ($107.20). the total cost per equivalent whole unit is $223.61

1. Compute the cost per equivalent unit for materials, for labor, and for overhead. (Round your answers to 2 decimal places.)
Materials:
Cost per equivalent unit =  (Work in process, May 1 + Cost added during May) / Equivalent units of production
= ($27,100 + $164,605) / 2,300 = $74.43
Labor:
Cost per equivalent unit = (Work in process, May 1 + Cost added during May) / Equivalent units of production
= ($44,154 + $29,436) / 2,200 = $41.98
Overhead:
Cost per equivalent unit = (Work in process, May 1 + Cost added during May) / Equivalent units of production
= ($215,019 + $143,346) / 2,100 = $107.20
2. Compute the total cost per equivalent whole unit. (Round your intermediate calculations to 2 decimal places. Round your final answer to 2 decimal places.)
Total Cost per equivalent unit = Cost per equivalent unit for Materials + Cost per equivalent unit for Labor + Cost per equivalent unit for Overhead
= $74.43 + $41.98 + $107.20 = $223.61

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Assume That We Want To Have $500 Three Periods From Today. Use The Present Value Of A Single Sum Formula To Calculate How Much We Must Invest Now, At An Interest Rate Of 8% In Order To Have The $500 In The Future: P-F(+ Click The Answer You Think Is Right. a. 462.96 b. 396.90 c. 403.23

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the amount we must invest now at an interest rate of 8% to have $500 in the future is $396.90.Option (b) is correct.

Present Value formula is used to calculate how much an amount will be worth at some point in the future if invested now. Here, we have to find how much we must invest now in order to have $500 in the future. We have to calculate the present value of $500 which is given to us after three years. Let P be the present value that we have to calculate. The time period is three years and the interest rate is 8%.So, the present value P can be calculated using the formula:P = F / (1 + r)nWhere, F = $500r = 8% = 0.08n = 3 yearsNow, putting these values in the formula:P = 500 / (1 + 0.08)3= 500 / (1.259712)= 396.90

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Why is the tax multiplier smaller than the spending multiplier for a decrease in government purchases?

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The tax multiplier is smaller than the spending multiplier for a decrease in government purchases because when the government reduces spending, households experience a decrease in income, and this leads to a decrease in consumption, which in turn leads to a decrease in taxes.

This decrease in taxes causes an increase in disposable income, which leads to an increase in consumption.

However, the increase in consumption is less than the decrease in government purchases because households do not consume all of the additional disposable income. This results in a smaller tax multiplier than the spending multiplier.

The tax multiplier measures the change in output or gross domestic product that results from a change in taxes. It measures the change in real GDP divided by the change in taxes.

The tax multiplier is calculated by the following formula:

ΔY/ΔT = - MPC × 1/(1-MPC)

where:ΔY is the change in real GDP or output, ΔT is the change in taxes, MPC is the marginal propensity to consume (the fraction of additional disposable income that households consume)

The spending multiplier is a measure of the change in output or gross domestic product that results from a change in autonomous spending.

Autonomous spending is spending that does not depend on income, such as government spending or investment.

The spending multiplier is calculated by the following formula:

ΔY/ΔA = 1/(1-MPC)

where: ΔY is the change in real GDP or output, ΔA is the change in autonomous spending, MPC is the marginal propensity to consume (the fraction of additional disposable income that households consume).

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DOL
1.1.6 Discuss any
other TWO types of lobbying.
1.1.7 Identify TWO socio-economic issues affecting Viro Tech and Lerato Communications.
Motivate your answer by quoting from the scenario above.
Use the table below as a GUIDE to answer QUESTION 1.1.6
SOCIO-ECONOMIC ISSUES
1.
2.
MOTIVATIONS
1.1.8 Advice business on solutions to deal with the socio-economic issues identify in
QUESTION 1.1.7
(6)
(8)

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Two other types of lobbying are grassroots lobbying and astroturf lobbying.

What is Grassroot lobbying?

Grassroots lobbying involves mobilizing individuals or groups at the local level to influence policymakers. Grassroots lobbyists often use social media, email campaigns, and phone calls to connect with policymakers and advocate for their causes. This type of lobbying can be effective because it demonstrates a groundswell of support for an issue and can pressure policymakers to take action.

Astroturf lobbying, on the other hand, is a form of lobbying that creates the impression of widespread grassroots support for a particular issue or position, but is actually organized and funded by a large organization or corporation.

The two socioeconomic issues affecting Viro Tech and Lerato Communications could be:

Income inequality:

The scenario mentions that Viro Tech is a multinational corporation that operates in several countries, while Lerato Communications is a small business based in South Africa. This suggests that Viro Tech has a much higher income and revenue than Lerato Communications. This income inequality between the two companies could lead to various socio-economic issues, such as unfair competition, unequal access to resources, and limited opportunities for small businesses like Lerato Communications to grow and expand.

Youth unemployment:

The scenario also mentions that Lerato Communications is a youth-owned business. This suggests that the company is likely run by young entrepreneurs who may face challenges in securing employment in a competitive job market. Additionally, youth unemployment is a significant socio-economic issue in South Africa, where Lerato Communications is based. The lack of job opportunities for young people can lead to poverty, social unrest, and a lack of economic growth and development.

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Lerato Communications, a small youth-owned business based in Johannesburg, is struggling to compete with multinational corporations like Viro Tech. Despite providing quality services to its clients, Lerato Communications is finding it challenging to grow and expand its business due to limited resources and competition from larger companies.

The income inequality between Viro Tech and Lerato Communications is evident, with Viro Tech generating significantly more revenue and income. This inequality is hindering Lerato Communications' ability to compete fairly and access the resources needed to expand its business.

Moreover, Lerato Communications is also facing challenges related to youth unemployment, which is a significant socio-economic issue in South Africa. The young entrepreneurs who run the company are struggling to find stable employment opportunities, and their small business is their only source of income.

To address these socio-economic issues, the South African government may need to implement policies and initiatives that support small businesses, particularly those run by young entrepreneurs. Such policies could include tax breaks, subsidies, and mentorship programs to help young entrepreneurs grow and develop their businesses. Additionally, the government could focus on creating job opportunities for young people to address the issue of youth unemployment and promote economic growth and development.

large companies that try to take advantage of economies of scale in production and distribution often attempt a

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Large companies that try to take advantage of economies of scale in production and distribution often attempt a centralization of management.

What are economies of scale?

Economies of scale is a term that refers to the financial benefits that businesses can get as their output levels rise. This refers to the idea that as a firm produces more of a good or service, its fixed costs are spread out over more units, lowering the cost per unit.

What is centralization of management?

Centralization of management is a system in which a group of officials or executives at the top of a business or other organization is in charge of making decisions, developing policies, and delegating responsibilities to lower-level managers.

Centralization provides a more uniform method for decision-making, ensuring that all employees in the organization are on the same page and working toward the same objectives. Large companies that try to take advantage of economies of scale in production and distribution often attempt a centralization of management.

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In advertising, the type of cost used to compare media vehicles is called cost, and it refers to the connection between the price paid for an ad and the size of the audience delivered.
relative

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In advertising, the type of cost used to compare media vehicles is called relative cost, and it refers to the connection between the price paid for an ad and the size of the audience delivered.

What is the Relative cost?

Relative cost is used in advertising to compare media vehicles. It is a measure of the cost per unit of an audience of different media vehicles. The cost per thousand (CPM) is calculated by dividing the cost of the ad by the number of impressions delivered and multiplying by 1000. This enables advertisers to compare the cost of an ad in one media vehicle to the cost of an ad in another media vehicle.

In other words, relative cost refers to the cost of reaching one thousand people in a specific media. It is the relationship between the price of an advertisement and the size of the audience it reaches. It is a critical factor in media planning and advertising as it allows advertisers to compare media vehicles and choose the most cost-effective ones.

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A copy center in a office prepares bound copies of reports for 2 clients. The center makes multiple copies of each report (lot size). The processing time to run, collate and bind each copy depends on the number of pages in each report. The center operates 250 days per year with one 8 hour shift per day. To account for the variability the management believes that they need a capacity buffer of about 15% beyond what may be built into the time standard. It currently has 3 copy machines at the center. In planning for the future they have collected the following information shown in the table below. How many machines should they have at the copy center to satisfy this future demand? Item Client X Client Y
Annual Forecasted Demand (copies) 2,000 6,000 Standard processing time (hour/copy) 0.5 0.7
Average lot size (copies/report) 20 30
Standard Set up time (hours) 0.25 0.40

Answers

To calculate the number of machines needed to satisfy future demand, we must consider the following factors: processing time, variability, and demand. After considering these factors, it is found that the copy center should have 176 machines to accomplish the future demand.

It is given that the center operates 250 days a year with one 8-hour shift per day. It makes multiple copies of each report with a lot size of 20 for client X and 30 for client Y, respectively. The processing time to run, collate and bind each copy depends on the number of pages in each report.

Let’s calculate the standard processing time required by client X and Y;

Standard processing time for client X= 0.5 hours/copy

Standard processing time for client Y= 0.7 hours/copy

We need to calculate the total processing time required to meet the forecasted demand for both clients separately. Hence, the total processing time required for client X= 2000 × 20 × 0.5 = 20000 hours.

The total processing time required for client Y= 6000 × 30 × 0.7 = 126000 hours.

Therefore, the total processing time required to satisfy this future demand = 20000 + 126000 = 146000 hours.

To account for the variability, the management believes that they need a capacity buffer of about 15% beyond what may be built into the time standard. Hence, the capacity required= 146000 + 0.15 × 146000 = 167900 hours per year.

Let's now calculate the number of machines required to achieve this capacity;

Capacity (C) = (number of machines) × (utilization) × (processing time) × (time available)

Where utilization = 80% and processing time = Standard processing time + Set-up time.

We have for client X:

Processing time= 0.5 + 0.25= 0.75 hours/copy

Capacity (C) for client X= (number of machines) × (0.8) × (0.75) × (8 hours per day) × (250 days per year)= 120 (number of machines)

For client Y:

Processing time= 0.7 + 0.4= 1.1 hours/copy

Capacity (C) for client Y= (number of machines) × (0.8) × (1.1) × (8 hours per day) × (250 days per year)= 176 (number of machines).

Hence, the number of machines required is a maximum between 120 and 176. Therefore, they should have at least 176 machines at the copy center to satisfy this future demand.

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what will happen to a firm if it continues to produce the same products in a saturated market?

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Answer:

the revenue may be declined and those customers may divert their attention away from this market

A ______ is a nonprofit service cooperative that accepts deposits, makes loans, and provides other financial services. answer choices.

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A credit union is a nonprofit provider cooperative that accepts deposits, makes loans, and affords different financial services

A credit union is a no longer-for-income economic group that accepts deposits, make loans, and gives a big range of other financial products and services. Deposits are insured with the aid of the countrywide credit score Union proportion coverage Fund, that's managed by The country wide credit score Union administration, usually known as NCUA. backed via the total religion and credit of the united states, the proportion coverage Fund insures the money owed of thousands and thousands of account holders in all federal credit score unions and the vast majority of state-chartered credit unions.

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Osage Inc. has actual sales for May and June and forecast sales for July, August, September, and October as follows:Actual: May 8,300 unitsJune 8,700 unitsForecast: July 8,400 unitsAugust 9,500 unitsSeptember 7,800 unitsOctober 7,400 unitsRequired:a. The firm’s policy is to have finished goods inventory on hand at the end of the month that is equal to 80% of the next month’s sales. It is currently estimated that there will be 6,600 units on hand at the end of June. Calculate the number of units to be produced in each of the months of July, August, and September.b. Each unit of finished product requires four pounds of raw materials. The firm’s policy is to have raw material inventory on hand at the end of each month that is equal to 70% of the next month’s estimated usage. It is currently estimated that 26,000 pounds of raw materials will be on hand at the end of June. Calculate the number of pounds of raw materials to be purchased in each of the months of July and August.

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In the following question, among the Various parts to solve on forecasting - A- July:  1,680 units, August: 1,900 units, September: 1,560 units. B- July: 10,080 pounds, August:  11,400 pounds.

a. The firm's policy is to have finished goods inventory on hand at the end of the month which is equal to 80% of the next month's sales. Based on the given information, we can calculate the number of units to be produced in each of the months of July, August, and September:

July: 8,400 units x (1-0.8) = 1,680 unitsAugust: 9,500 units x (1-0.8) = 1,900 unitsSeptember: 7,800 units x (1-0.8) = 1,560 units

b. Each unit of finished product requires four pounds of raw materials. The firm's policy is to have raw material inventory on hand at the end of each month which is equal to 70% of the next month's estimated usage. Based on the given information, we can calculate the number of pounds of raw materials to be purchased in each of the months of July and August:

July: 8,400 units x 4 pounds = 33,600 pounds x (1-0.7) = 10,080 poundsAugust: 9,500 units x 4 pounds = 38,000 pounds x (1-0.7) = 11,400 pounds

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