. what is the roi of the investment opportunity? would the investment be desirable from the standpoint of corporation? why or why not?

Answers

Answer 1

The return on investment (ROI) is a performance measure used to evaluate the efficiency of an investment or compare the profitability of different investments. If the investment opportunity would be desirable from the standpoint of a corporation, it is considered the company's financial goals and risk tolerance.

It is calculated by dividing the net profit of an investment by the initial cost of the investment and is usually expressed as a percentage. A higher ROI indicates that the investment gains compare favorably to its cost, potentially making it an attractive option.

However, it is also crucial to assess the level of risk associated with the investment and compare the ROI to the company's target or benchmark rate of return. If the ROI exceeds the corporation's required rate of return and aligns with its investment objectives and risk appetite, the investment may be considered desirable. On the other hand, if the ROI falls short of the target return or the investment carries an unacceptable level of risk, the corporation might opt to pursue alternative opportunities.

In conclusion, to determine the desirability of an investment opportunity from a corporate standpoint, it is essential to analyze the ROI, the level of risk involved, and the company's specific financial goals and risk tolerance. This comprehensive assessment will enable the corporation to make an informed decision regarding the investment.

know more about return on investment here:

https://brainly.com/question/11913993

#SPJ11


Related Questions

a well-developed budget can operate and enforce itself. true false

Answers

False. A well-developed budget is an important financial tool, but it cannot operate and enforce itself. It requires continuous monitoring, adjustment, and discipline from the individuals or organizations utilizing the budget to ensure its effectiveness.

While a well-developed budget can provide structure and guidance, it still requires monitoring and adjustments to ensure it is operating effectively. A budget is only as good as its implementation and requires ongoing evaluation and adjustment to ensure it is meeting goals and staying on track. This may involve identifying areas of overspending or underspending, reassessing priorities, and making necessary changes to ensure the budget remains effective. Therefore, a well-developed budget cannot simply operate and enforce itself without human intervention and oversight.

Learn more about the financial tool: https://brainly.com/question/30096191

#SPJ11

laurie is incorporating her business. laurie's home state is wisconsin. business will be conducted in california, michigan, pennsylvania, and virginia. laurie:

Answers

Incorporating a business requires careful consideration of various legal requirements and regulations. For Laurie, who is incorporating her business in Wisconsin, it is important to note that she will also be conducting business in California, Michigan, Pennsylvania, and Virginia.

This means that she will need to ensure compliance with the laws and regulations of each of these states.

One important consideration is determining the best state in which to incorporate. While Laurie's home state is Wisconsin, it may be beneficial to incorporate in a state with more favorable tax laws or business-friendly regulations. However, incorporating in multiple states can also be an option, depending on the needs of the business.

Additionally, Laurie will need to register her business in each state where she conducts business and obtain any necessary licenses or permits. She should also be aware of any state-specific employment laws or regulations that may apply to her business.

Overall, incorporating a business requires careful planning and attention to detail, especially when conducting business across multiple states. It is important for Laurie to seek professional guidance to ensure that her business is set up for success.

To Learn more about incorporating business. Click this!

brainly.com/question/28725110

#SPJ11

is the stage of development for high-performing teams where the team arrives at a work plan, including the roles, goals, and accountability

Answers

The stage of development for high-performing teams where the team arrives at a work plan, including the roles, goals, and accountability, is known as the "norming" stage.

The norming stage is a crucial phase in the development of high-performing teams. During this stage, team members have moved past the initial forming stage and have started to establish norms, or agreed-upon ways of working together. They begin to develop a clear understanding of their roles, responsibilities, and expectations.

In the norming stage, the team engages in open communication and collaboration to establish a work plan. This includes defining specific goals and objectives that the team aims to achieve. Roles and responsibilities are clarified, ensuring that each team member understands their individual contributions and how they fit into the larger team structure. Additionally, accountability mechanisms are put in place to ensure that team members take ownership of their tasks and are held responsible for their commitments.

By reaching a work plan that includes roles, goals, and accountability, teams in the norming stage can effectively coordinate their efforts and work towards their shared objectives. This stage sets the foundation for greater productivity, cohesion, and success as the team progresses further in their development.

To learn more about norming stage, click here;

brainly.com/question/30910271

#SPJ11

That below-potential performance may spur a central bank to adopt a monetary policy designed to stimulate economic growth—by lowering interest rates, for example, to boost demand and prevent inflation from falling below the central bank's inflation rate target.

Answers

That statement is generally true. When an economy is performing below its potential, a central bank may choose to implement expansionary monetary policy to stimulate economic growth.

By reducing interest rates, the central bank aims to make borrowing cheaper for businesses and individuals. This can encourage increased borrowing and investment, leading to higher consumer spending and business activity. Lower interest rates also make saving less attractive, potentially incentivizing individuals to spend and invest more, further boosting demand in the economy.

Additionally, by lowering interest rates, the central bank aims to prevent inflation from falling below its target. When an economy experiences below-potential performance, there is a risk of deflationary pressures. By stimulating demand through lower interest rates, the central bank aims to maintain price stability and ensure inflation stays within its desired range.

Overall, lowering interest rates as part of expansionary monetary policy can help stimulate economic growth, increase aggregate demand, and prevent deflationary pressures when an economy is performing below its potential.

To learn more about businesses, click here: brainly.com/question/23854950

#SPJ11

in order to help your client sell his home, you do not disclose the fact that the basement flooded 10 years ago. what is true of this action?

Answers

Not disclosing the fact that the basement flooded 10 years ago is an unethical action with legal and financial consequences.

As a responsible real estate agent, it is important to act ethically and maintain transparency when helping clients sell their homes. In this scenario, if you choose not to disclose the fact that the basement flooded 10 years ago, it raises ethical concerns. Let's delve into the details of this action and its implications.

In order to understand the implications of not disclosing the basement flooding incident, let's consider a scenario where you choose to withhold this information from potential buyers.

Duty to disclose: As a real estate agent, you have a legal and ethical obligation to provide accurate and complete information about a property to potential buyers. This duty to disclose exists to ensure that buyers have all relevant information to make informed decisions about purchasing the property. By choosing not to disclose the basement flooding incident, you would be failing to fulfill this duty.

Material fact: The basement flooding incident from 10 years ago is considered a material fact, meaning it is a significant piece of information that could influence a buyer's decision. Material facts are essential for buyers to assess the property's condition, potential risks, and value. By withholding this information, you are preventing buyers from making an informed decision based on all relevant facts.

Ethical implications: Ethically, it is important to treat others with honesty and integrity. By intentionally hiding the fact that the basement flooded, you would be acting dishonestly towards potential buyers. This could harm their financial interests and lead to unforeseen expenses or problems after they purchase the property.

Legal consequences: Failing to disclose material facts like the basement flooding incident can have legal repercussions. If the buyers discover the undisclosed information after purchasing the property, they may have grounds to take legal action against you, the real estate agent, for misrepresentation or fraud. This can result in financial penalties, damage to your professional reputation, and potential revocation of your real estate license.

To sum up, not disclosing the fact that the basement flooded 10 years ago is an unethical action with legal and financial consequences. As a responsible real estate agent, it is crucial to maintain transparency, provide accurate information, and act in the best interests of your clients and potential buyers

To know more about Material Fact here

https://brainly.com/question/31233744

#SPJ4

lessee company enters into a lease on january 1, 2024, that is accounted for as a finance lease. the lease calls for quarterly payments of $15,000, beginning on january 1, 2024, and continuing for 5 years. the last payment is due on october 1, 2028. the lease has an implicit annual interest rate of 8%. the present value of an annuity due at 8% per period for 5 periods is 4.312; the present value of an annuity due at 2% per period for 20 periods is 16.678. what amount will lessee report as a lease payable (not including accrued interest) in its balance sheet on december 31, 2024?

Answers

The lessee company will report a lease payable of $163,565.39 in its balance sheet on December 31, 2024.

To calculate the lease payable for the lessee company on December 31, 2024, we need to determine the present value of the lease payments made during the year. Since the lease is accounted for as a finance lease, we need to use the implicit interest rate of 8%.
First, we need to calculate the present value of the quarterly payments for one year. We can use the formula for the present value of an annuity due to calculate this:
PV = PMT x [(1 - (1 + r)^-n) / r] x (1 + r) Where PV is the present value, PMT is the payment amount, r is the interest rate per period, and n is the number of periods.
Using the given values, we get: PV = $15,000 x [(1 - (1 + 0.08/4)^-4) / (0.08/4)] x (1 + 0.08/4) = $55,121.72
This means that the present value of the lease payments for one year is $55,121.72.
To find the lease payable for December 31, 2024, we need to subtract the present value of the lease payments made from January 1, 2024, to December 31, 2024, from the total lease obligation. The total lease obligation is the present value of the lease payments for the entire lease term, which is 20 quarters or 5 years. We can use the formula for the present value of an annuity due again to calculate this:
PV = PMT x [(1 - (1 + r)^-n) / r] x (1 + r) Using the given values, we get:
PV = $15,000 x [(1 - (1 + 0.08/4)^-20) / (0.08/4)] x (1 + 0.08/4) = $218,687.11 Therefore, the lease payable on December 31, 2024, is: $218,687.11 - $55,121.72 = $163,565.39
Therefore, the lessee company will report a lease payable of $163,565.39 in its balance sheet on December 31, 2024.

Learn more about lessee here:

https://brainly.com/question/28198097

#SPJ11

what trends in musical theatre are Plays Rent and Avenue Q examples of?
Musicals based on films Musicals based on the music of former popular stars and groups Revivals of past musical successes Fresh, offbeat musicals indicating the genre remains full of vitality

Answers

Rent and Avenue Q are examples of fresh, offbeat musicals, indicating that the genre remains full of vitality.

These musicals deviate from traditional themes and showcase unique stories, tackling contemporary social issues with a modern and innovative approach. Rent, composed by Jonathan Larson, is a rock musical based on Puccini's opera La Bohème. It addresses topics like poverty, HIV/AIDS, drug addiction, and LGBTQ+ issues, using these themes to create a raw, emotional experience for audiences.

Its groundbreaking content, as well as its diverse cast and score, helped redefine the landscape of musical theatre in the 1990s. Avenue Q, created by Robert Lopez, Jeff Marx, and Jeff Whitty, is a satirical coming-of-age musical that employs the use of puppets alongside human actors. Its unique storytelling style and adult themes, such as finding one's purpose in life, racism, and sexuality, present a more edgy and unconventional perspective within the musical theatre genre.

Avenue Q's humor, wit, and charm have made it a popular and critically acclaimed production. These two musicals exemplify how the genre can break boundaries and explore new territories, keeping the art form relevant and vibrant. By challenging the norms and addressing contemporary issues, Rent and Avenue Q have contributed to the ongoing evolution of musical theatre.

know more about groundbreaking here:

https://brainly.com/question/18150265

#SPJ11

theories that explain how employees select behavioral actions to meet their needs and then assess whether these choices were successful are called __________ theories of motivation.

Answers

The theories that explain how employees choose behavioral actions to fulfill their needs and evaluate the effectiveness of their decisions are called process theories of motivation.

These theories focus on the thought processes and cognitive evaluations that occur in an individual's mind while making decisions. Process theories of motivation include Expectancy Theory, Equity Theory, and Goal-Setting Theory, among others. These theories suggest that motivation is a dynamic process that involves selecting and evaluating actions based on personal perceptions, expectations, and goals. They help us understand the mechanisms that drive behavior and how individuals can increase their motivation by improving their decision-making skills and achieving their desired outcomes.

Visit here to learn more about  Goal-Setting :  https://brainly.com/question/1705973
#SPJ11

most employers in the united states view recent high school graduates as __________ prepared for __________.

Answers

Most employers in the United States view recent high school graduates as moderately prepared for entry-level positions or further education .

While high school education equips students with a basic foundation of knowledge and skills, it may not fully align with the specific demands of the workforce or higher education institutions.

Recent high school graduates are generally seen as having a certain level of academic proficiency, basic communication skills, and some exposure to general subjects. However, they may lack practical workplace skills, specialized knowledge, and professional experience. As a result, employers often anticipate providing additional training and development to bridge the gap between the knowledge and skills possessed by high school graduates and the requirements of the job.

For more specialized or technical roles, employers may prefer candidates with higher levels of education or specific vocational training. Higher education institutions, such as colleges and universities, are typically considered the next step for high school graduates who seek to further develop their skills and knowledge in a particular field.

Overall, while recent high school graduates possess a foundational education, employers generally expect to invest in their training and development to ensure they are adequately prepared for the specific demands of the workplace.

Learn more about education here:

https://brainly.com/question/2759572

#SPJ11

The first step in finding the value of a bond is to
A) discount back the cash flows using an interest rate that represents the yield available on other bonds of like risk and maturity.
B) identify the cash flows the holder of the bond will receive.
C) contact the holder of the bond.
D) none of the above.

Answers

The first step in finding the value of a bond is to "B) identify the cash flows the holder of the bond will receive."

To determine the value of a bond, it is essential to identify and analyze the cash flows that the bondholder is expected to receive over the bond's life. These cash flows typically include periodic coupon payments and the final principal payment at maturity.

Once the cash flows are identified, further steps are taken to calculate the present value of these cash flows. This involves discounting the future cash flows back to the present using an appropriate interest rate, which represents the yield available on other bonds of similar risk and maturity (option A). The present value of the cash flows represents the value or price of the bond.

Therefore, the correct answer is option B,

Learn more about bond here:

https://brainly.com/question/26712131

#SPJ11

if an organization announces a downsizing, who would be most affected by the emotional impact?

Answers

In the event of an organization announcing a downsizing, the emotional impact can vary among individuals within the organization. However, certain groups of people are more likely to be significantly affected by the announcement like employees facing layoffs.

The employees who are directly impacted by the downsizing, facing potential job loss, tend to experience a significant emotional impact. They may feel shock, fear, anxiety, and uncertainty about their future job prospects, financial stability, and career trajectory. The emotional toll can be particularly high for those who have been with the organization for a long time or have strong emotional attachments to their work.  Even employees who are not directly affected by the downsizing may still experience emotional consequences. They might feel survivor guilt, fear for their own job security, or experience increased workloads and stress due to the loss of colleagues.

Learn more about anxiety here:

brainly.com/question/30792789

#SPJ11

The following data is available for Metlock, Inc. at December 31, 2020: Common stock, par $10 (authorized 26000 shares) $234000 Treasury stock (at cost $15 per share) $1200 Based on the data, how many shares of common stock are outstanding? a. 26000 b.25920. c.23320 d. 23400.

Answers

Therefore, the correct answer is option b. 25,920 shares of common stock are outstanding.

Based on the data provided, we can calculate the number of outstanding common stock by subtracting the treasury stock from the authorized common stock. The authorized common stock is given as 26,000 shares and the treasury stock is given as 1,200 shares at a cost of $15 per share, which gives a total cost of $18,000.
So, the number of outstanding common stock can be calculated as follows:
Authorized common stock - Treasury stock = Outstanding common stock
26,000 - (1,200 / $15) = 26,000 - 80 = 25,920
The terms stock and share are commonly used interchangeably in the financial world. Stock refers to the ownership of a corporation, while shares refer to the individual units of ownership that represent a portion of the company's total outstanding stock. When a company issues stock, it offers ownership shares to investors in exchange for capital.
The number of shares outstanding is important for investors because it is a key metric used to calculate earnings per share (EPS) and other financial ratios. EPS is calculated by dividing the company's net income by its total outstanding shares. This ratio is important because it measures how much profit a company is making per share of stock, and it is often used by investors to evaluate the company's financial health and growth potential.
In summary, stock and share are related terms that are used to describe the ownership of a corporation. The number of shares outstanding is an important metric for investors because it is used to calculate financial ratios such as EPS.

To know more about stock visit:

https://brainly.com/question/31476517

#SPJ11

having a vendor be responsible for managing the restocking of inventory is what is meant by the term______ a) EOQ III. b) SCM I. c) POQ II. d) MRP II. e) JIT II.

Answers

Having a vendor be responsible for managing the restocking of inventory is what is meant by the term:b) SCM I.

The correct answer to your question is option b) SCM I. SCM stands for Supply Chain Management, which refers to the coordination and management of activities involved in the production and delivery of goods or services. When a vendor is responsible for managing the restocking of inventory, it means that they are managing the supply chain on behalf of the business. The vendor is responsible for maintaining inventory levels, ensuring that products are delivered on time, and managing the relationship with suppliers. This is a common practice in many industries, where businesses outsource the management of their supply chain to third-party vendors to reduce costs and improve efficiency. SCM I is a term that refers to the first stage of supply chain management, which involves the planning and coordination of activities involved in the production and delivery of goods or services. It includes activities such as demand planning, inventory management, and logistics management. By outsourcing the management of inventory restocking to a vendor, businesses can focus on other core activities such as product development and marketing. In conclusion, having a vendor responsible for managing the restocking of inventory is referred to as SCM I, which is the first stage of supply chain management. It is a common practice in many industries and helps businesses reduce costs and improve efficiency. Therefore option B) is correct.

For more such questions on production

https://brainly.com/question/7924898

#SPJ11

Having a vendor be responsible for managing the restocking of inventory is what is meant by the term Supply Chain Management (SCM).

Supply Chain Management (SCM) is the process of managing the production and delivery of goods or services. When a vendor is responsible for managing the restocking of inventory, they are managing the supply chain on behalf of the business. This is a common practice in many industries, where businesses outsource the management of their supply chain to third-party vendors to reduce costs and improve efficiency. The term SCM I refers to the first stage of supply chain management, which involves activities such as demand planning, inventory management, and logistics management. By outsourcing the management of inventory restocking to a vendor, businesses can focus on other core activities such as product development and marketing. Overall, having a vendor responsible for managing inventory restocking is an effective way to streamline the supply chain process and increase business efficiency.

Learn more aboutSupply Chain Management (SCM) here:

https://brainly.com/question/29387097

#SPJ11

If the monopolist charges price P* for output Q* in order to maximize profit or minimize loss in the short run, it should
A. continue to produce because a monopolist always earns a profit.
B. continue to produce because the price is greater than the average variable cost.
C. shut down because the price is greater than marginal cost.
D. shut down because the price is less than the average total cost.

Answers

The correct answer is C. shut down because the price is greater than marginal cost. In the short run, a monopolist will maximize profit or minimize loss by producing at a level where marginal cost equals marginal revenue.

If the price charged is greater than marginal cost, it means that the additional cost of producing one more unit exceeds the additional revenue gained from selling that unit. In this case, the monopolist would be better off shutting down production altogether, as continuing to produce would only result in further losses. Shutting down allows the firm to minimize its losses by avoiding the additional costs associated with production.

In the short run, a monopolist may experience losses if the price charged for its output is below average variable cost but above marginal cost. In this scenario, although the firm is covering its variable costs, it is not generating enough revenue to cover its fixed costs.

However, if the price charged exceeds marginal cost, it indicates that the revenue from selling an additional unit is less than the cost of producing that unit. This means that producing more units would further increase the firm's losses.

Therefore, it is more economically rational for the monopolist to shut down production in the short run, minimizing its losses by avoiding the additional costs incurred from producing goods that generate lower revenue than their cost of production.

Learn more about Monopolists:

brainly.com/question/28940085

#SPJ11

Save the residuals from the regression of DNA concentration on phytopigment concentration . Examine the residuals to see how well the conditions for regression inference are met.Plot the residuals against phytopigment concentration (the explanatory variable), using vertical limits −1 to 1 to make the pattern clearer. Add a horizontal line at height 0 to represent the regression line. What do you conclude about the conditions of linear relationship and constant standard deviation?Make a histogram of the residuals. What do you conclude about Normality?DNA and phytopigment concentrations (g/m) on the ocean floor

Answers

In regression analysis, the residuals are the differences between the observed values and the predicted values.

To assess whether the conditions for regression inference are met, we need to examine the residuals to check for linearity, constant variance, and normality.

To check for linearity, we can plot the residuals against the explanatory variable (phytopigment concentration in this case) and look for a pattern. If the plot shows a random scatter of points around a horizontal line, this indicates that the linear relationship assumption is reasonable. If the plot shows a clear pattern, such as a curve or a fan shape, this suggests that the linear relationship assumption may not be valid.

To check for constant variance, we can again look at the residual plot. If the plot shows a consistent spread of points around the horizontal line, this indicates that the variance of the residuals is approximately constant across the range of the explanatory variable. If the plot shows a funnel shape, with the spread of the residuals increasing or decreasing as the explanatory variable increases, this suggests that the constant variance assumption may not be valid.

learn more about residuals here :

https://brainly.com/question/21562096

#SPJ11

use maslow's hierarchy of needs to concept to explain why you would expect to be more concerned about finding somewhere to stay after your house burned down than you would be

Answers

Maslow's hierarchy of needs is a psychological theory that categorizes human needs into a hierarchical structure, starting with basic physiological needs and progressing towards higher-level needs.

According to Maslow, individuals prioritize fulfilling lower-level needs before focusing on higher-level needs. In the case of finding somewhere to stay after a house fire, the theory can be applied as follows:

Physiological needs: After a house fire, the immediate concern would be finding somewhere to stay, which fulfills the physiological need for shelter, safety, and security. This need is fundamental for survival and takes precedence over other needs.

Safety needs: The loss of a home due to a fire threatens an individual's safety and security. Finding temporary accommodation becomes a priority to meet these safety needs and reestablish a sense of stability.

Love and belonging needs: Once the immediate physiological and safety needs are addressed, individuals may seek support and connection from family, friends, or the community. The need for emotional support and a sense of belonging becomes more prominent after the initial emergency situation is dealt with.

Learn more about physiological here:

https://brainly.com/question/30466425

#SPJ11

costs between two alternative projects are those that would result from selecting one alternative instead of the other: group of answer choices sunk. differential. allocated. irrelevant.

Answers

The costs between two alternative projects that would result from selecting one alternative instead of the other are referred to as differential costs.

The relevant term in this question is "differential". The costs between two alternative projects are considered differential costs because they represent the difference in costs that would result from selecting one alternative over the other. These costs are important in decision-making because they help to compare the costs and benefits of different options. Sunk costs, allocated costs, and irrelevant costs are not as relevant in this context because they do not represent the specific costs associated with selecting one alternative over another.

To know more about costs, visit:

https://brainly.com/question/31517591

#SPJ11

steven is working on the message to convey in his firm's advertising campaign. as a starting point, steven should first consider

Answers

As a starting point for his firm's advertising campaign, Steven should first consider identifying the key message he wants to convey to the target audience.

When developing an advertising campaign, it is essential to have a clear and concise message that effectively communicates the value proposition of the product or service being promoted. The message serves as the central idea or theme that connects with the target audience and influences their perception and behavior.

To begin the process, Steven should consider several factors. First, he needs to understand the target audience and their needs, preferences, and motivations. This will help him tailor the message to resonate with their interests and address their pain points. Next, Steven should identify the unique selling proposition (USP) of his firm's product or service.

Learn more about firm's here:

https://brainly.com/question/31687318

#SPJ11

in making a capital budgeting decision, one needs to compare cash flows in terms of _____

Answers

In making a capital budgeting decision, one needs to compare cash flows in terms of their timing and amount.

When evaluating capital budgeting decisions, it is essential to analyze the cash flows associated with each investment option. Cash flows refer to the inflows and outflows of cash that occur as a result of the investment. By comparing cash flows, decision-makers can assess the profitability and viability of different investment projects.

The timing of cash flows is crucial because money received or spent at different points in time has different values. Cash flows that occur earlier are generally more valuable than those that occur later due to the time value of money. Therefore, it is necessary to consider the timing of cash inflows and outflows to evaluate the profitability and financial attractiveness of investment alternatives accurately.

Additionally, the amount of cash flows is another critical factor. Decision-makers need to assess the magnitude of the cash inflows and outflows associated with each investment option. By comparing the amounts, they can determine the potential returns and costs of each investment, which aids in determining the profitability and financial feasibility of the projects.

When making capital budgeting decisions, comparing cash flows in terms of their timing and amount is essential. The timing of cash flows accounts for the time value of money, while the amount of cash flows helps determine the potential returns and costs associated with each investment option. Analyzing these factors allows decision-makers to assess the profitability and financial attractiveness of investment projects accurately.

Learn more about capital budgeting here: brainly.com/question/31706095

#SPJ11

Your client plans to count inventory at several locations on the same day. No location is material in amount, but the total of inventory is quite material. How is an auditor likely to plan to observe?
A) Observe all counts at all locations by using the required number of auditors.
B) Insist the inventory be counted on separate days so the auditor can be present at all locations.
C) Work with the client to determine which locations to observe.
D) Observe a sample of locations on a surprise basis.

Answers

The observer is likely to observe a sample of locations on a surprise basis. The answer is D)

When conducting an inventory observation, auditors usually rely on sampling to reduce the time and cost associated with observing inventory counts at all locations. In this case, since the inventory is material in amount, the auditor will likely plan to observe a sample of locations on a surprise basis.

This allows the auditor to obtain reasonable assurance about the inventory count while keeping the cost and time within reasonable limits. The auditor may also work with the client to determine which locations to observe based on the risk assessment of each location.

However, surprise visits are generally preferred since it reduces the likelihood of manipulation or preparation of inventory counts.

The auditor may also consider alternative procedures such as testing the controls over inventory, observing physical movements of inventory, or performing substantive analytical procedures to corroborate inventory balances. Hence D) is the right option.

To know more about auditor, refer here:

https://brainly.com/question/29854820#

#SPJ11

on december 30, 2022, whitney sold a piece of property for $85,000. her basis in the property was $40,000, and she incurred $1,200 in selling expenses. the buyer paid $5,000 down with the balance payable in $10,000 installments over the next eight years. in addition, the buyer assumed a $15,000 mortgage on the property. under the installment sales method, what is the total contract price, the total gain on the sale, and the amount of gain reported in 2022? round any division to four decimal places, and use that amount in subsequent computations. round your final answer to the nearest dollar. under the installment sales method, the total contract price is $fill in the blank 1 , the total gain on the sale is $fill in the blank 2 and the amount of gain reported in 2022 is $fill in the blank 3 .

Answers

The gain reported in 2022 is (0.5880) x ($5,000 + $10,000) = $8,826.

To calculate the total contract price, total gain on the sale, and the amount of gain reported in 2022 using the installment sales method, we need to consider the different components of the transaction.

Total Contract Price:

The total contract price is the sum of the down payment, the balance payable in installments, and the assumed mortgage. In this case, the down payment is $5,000, the balance payable in installments over eight years is $10,000 per year for eight years (8 x $10,000 = $80,000), and the assumed mortgage is $15,000. Therefore, the total contract price is:

$5,000 + $80,000 + $15,000 = $100,000.

Total Gain on the Sale:

The total gain on the sale is calculated by subtracting the basis in the property and the selling expenses from the total contract price. The basis is $40,000, and the selling expenses are $1,200. Hence, the total gain on the sale is:

$100,000 - $40,000 - $1,200 = $58,800.

Gain Reported in 2022:

To determine the gain reported in 2022, we need to calculate the gross profit percentage. The gross profit percentage is the total gain on the sale divided by the total contract price. In this case, the gross profit percentage is:

($58,800 / $100,000) ≈ 0.5880.

Next, we multiply the gross profit percentage by the amount received in 2022, which includes the down payment and the principal portion of the installment payment received in that year. The down payment received in 2022 is $5,000, and the principal portion of the installment payment is $10,000. Therefore, the gain reported in 2022 is:

(0.5880) x ($5,000 + $10,000) = $8,826.

for more such questions on gain

https://brainly.com/question/24553900

#SPJ11

Which of the following ultimately resulted from the establishment of the Bretton Woods system?
a. an increase in national sovereignty
b. the International Criminal Court
c. establishment of the World Trade Organization
d. greater national control over trade agreements

Answers

The establishment of the Bretton Woods system resulted in greater national control over trade agreements. This international monetary system, created in 1944, aimed to promote economic stability and facilitate global trade.

While it did not directly lead to the establishment of the International Criminal Court or the World Trade Organization, it did provide a framework for international economic cooperation and the management of exchange rates.

The Bretton Woods system was created in Bretton Woods, New Hampshire, in 1944 to address the challenges faced by the global economy after World War II. One of its primary objectives was to establish a stable international monetary system that would support economic growth and trade. Under this system, participating countries agreed to fix their exchange rates to the U.S. dollar, which was backed by gold.

One significant outcome of the Bretton Woods system was the increase in national control over trade agreements. The system allowed countries to maintain control over their exchange rates and, to some extent, manage their domestic economies. It provided a framework for countries to negotiate and enter into trade agreements while still maintaining sovereignty and control over their economic policies.

However, it's important to note that the establishment of the Bretton Woods system did not directly lead to the creation of the International Criminal Court or the World Trade Organization. The International Criminal Court, established in 2002, is a separate international organization responsible for prosecuting individuals for war crimes, genocide, and crimes against humanity. The World Trade Organization, formed in 1995, is an international body that regulates global trade and resolves trade disputes.

In summary, the establishment of the Bretton Woods system resulted in greater national control over trade agreements, providing countries with the ability to manage their exchange rates and economic policies. While it fostered international economic cooperation, it did not directly lead to the establishment of the International Criminal Court or the World Trade Organization.

To learn more about exchange rates, click here:

brainly.com/question/13717814

#SPJ11

according to the s.a.v.e. framework, customers are drawn to ______.

Answers

According to the S.A.V.E. framework, customers are drawn to value. Value refers to the perceived benefits that customers receive in relation to the price they pay for a product or service. It encompasses a combination of factors that satisfy customers' needs and desires while providing a favorable trade-off between cost and benefits.

Customers are drawn to value because it represents a compelling proposition that meets their expectations and delivers benefits that outweigh the cost. Value can be created through various means such as offering high-quality products, competitive pricing, excellent customer service, innovative features, convenience, customization, or unique experiences. By providing value, businesses differentiate themselves from competitors and build strong customer relationships, fostering loyalty and repeat business.

Understanding what customers perceive as valuable and continuously striving to deliver it is essential for attracting and retaining customers. The S.A.V.E. framework emphasizes the importance of creating and communicating value effectively, as it is a key driver of customer satisfaction, loyalty, and ultimately, business success.

To learn more about competitive pricing click here : brainly.com/question/15563698

Fill in the blank. the ______ method reports the components of cash flows from operating activities as gross receipts and gross payments. (enter one word per blank.)

Answers

The direct method is an alternative approach for presenting the cash flows from operating activities section in the statement of cash flows.

Unlike the indirect method, which starts with net income and adjusts it for non-cash items and changes in working capital, the direct method directly reports the actual cash receipts and cash payments. Under the direct method, gross receipts from operating activities, such as cash sales, interest income, and dividends received, are reported separately.

This is mainly because the direct method requires more detailed cash flow information and can be more time-consuming and complex to prepare.

However, some companies may choose to use the direct method to provide a clearer understanding of their cash flows from operating activities.

Learn more about direct method here : brainly.com/question/25716101

#SPJ11

Suppose the spot exchange rate for the Hungarian forint is HUF 203.98. The inflation rate in the United States will be 1.3 percent per year. It will be 4.3 percent in Hungary.
What do you predict the exchange rate will be in one year? (Round your answer to 2 decimal places, e.g., 32.16.)

Answers

The predicted exchange rate in one year is HUF 212.87.

To predict the exchange rate in one year, we need to account for the inflation differentials between the United States and Hungary. The inflation rate differential is calculated by subtracting the inflation rate of the United States (1.3%) from the inflation rate of Hungary (4.3%). In this case, the inflation rate differential is 3% (4.3% - 1.3%).

To estimate the new exchange rate, we multiply the spot exchange rate by (1 + inflation rate differential). So, the predicted exchange rate in one year is 203.98 * (1 + 3%) = 212.87.

For more questions like Exchange click the link below:

https://brainly.com/question/31063963

#SPJ11

In reporting discontinued operations, the income statement should show in a special section: gains and losses on the disposal of the discontinued segment.

Answers

True.

When reporting discontinued operations, the income statement should include a special section that discloses gains and losses on the disposal of the discontinued segment. Discontinued operations refer to a component of a company's business that has been or will be disposed of or sold, and it represents a strategic shift that will have a significant impact on the company's operations and financial results.

In the income statement, the gains and losses associated with the disposal of the discontinued segment are reported separately from the continuing operations of the company. This special section allows investors, analysts, and stakeholders to clearly identify the financial impact of the discontinued operations and assess the company's ongoing performance separate from the discontinued segment. It provides transparency and helps in understanding the overall financial picture of the company.

Learn more about income statement here: brainly.com/question/14890247

#SPJ11

paul is an economist who believes the strong form of the efficient market hypothesis. thus, paul believes that the stock market is a good approximation of a(n) ________ market.

Answers

Paul, as an economist who believes in the strong form of the efficient market hypothesis, views the stock market as a good approximation of an informationally efficient market.

The efficient market hypothesis (EMH) is a theory that suggests financial markets, including the stock market, reflect all available information, making it difficult for investors to consistently outperform the market. The hypothesis is divided into three forms: weak, semi-strong, and strong.

The strong form of the efficient market hypothesis asserts that financial markets are informationally efficient to such an extent that even insider information cannot be used to gain an advantage. In other words, all public and private information is already incorporated into stock prices, leaving no room for investors to consistently generate abnormal returns.

Learn more about economist here:

https://brainly.com/question/28556553

#SPJ11

a bank has no right to charge a customer's account for the amount of a stale check. true or false?

Answers

Answer:

your answer

Explanation:

its False

hope this helps

for ncaa division i schools without football, what proportion of men's basketball programs generate net revenue? group of answer choices 100 0lag question: question 3

Answers

The proportion of men's basketball programs that generate net revenue among NCAA Division I schools without football varies, and a specific percentage cannot be determined without further data.

The financial status of men's basketball programs in NCAA Division I schools without football can vary significantly. Some programs may generate net revenue, while others may operate at a deficit. The revenue generated by men's basketball programs depends on factors such as the program's success, ticket sales, television contracts, sponsorships, and donations.

Without specific data or statistics on the financial performance of men's basketball programs in NCAA Division I schools without football, it is not possible to determine the exact proportion or percentage of programs that generate net revenue. The financial status of each program is unique and can differ from one school to another.

It is worth noting that men's basketball is generally considered one of the revenue-generating sports in collegiate athletics. However, the extent to which individual programs generate net revenue depends on various factors specific to each school, including their level of success, fan base, and marketing strategies.

Therefore, without specific data on the financial performance of men's basketball programs in NCAA Division I schools without football, it is not possible to provide a precise proportion or percentage of programs that generate net revenue.

Learn more about deficit here:

https://brainly.com/question/28249460

#SPJ11

true or false: most accountants agree that it is legitimate to compare the performance of subsidiaries against each other on the basis of return on investment.

Answers

True. Most accountants agree that it is legitimate to compare the performance of subsidiaries against each other on the basis of return on investment (ROI). This is because ROI measures the efficiency and profitability of an investment by calculating the net profit or loss divided by the initial investment.

Comparing the ROI of different subsidiaries allows for the identification of profitable and underperforming ones, which can help in making strategic decisions such as allocating resources or divesting non-performing assets. However, it is important to note that ROI should not be the sole basis for decision-making as it may not consider other factors such as risks and long-term investments. Thus, accountants may also use other measures such as economic value added (EVA) or balanced scorecards to have a more comprehensive view of the subsidiaries' performance.

To Learn more about return on investment (ROI).  Click this!

brainly.com/question/31446033

#SPJ11

Other Questions
physiological process cystic fibrosis digestive enzymes fail to break down protein properly. true or false suppose that mpc is .75 and there is an increase in investment spending of $100,000. as a result, equilibrium real gross domestic product (gdp) would increase by over the last ~40 years processor performance has increased __________ than memory performance. during this same period bandwidth has improved at a _________rate than than latency. how much energy is needed to jump between nenergy levels 12. a nurse is preparing naloxone 10 mcg/kg via iv bolus to a client who weights 220 ibs. the amount available is 0.4 mg/ml . how many ml should the nurse administer? ( round to the nearest tenth) a graph of the quantity of products marketers expect to sell at various prices if other factors remain constant is a_____________________. determine the maximum ram force p that can be applied to the clamp at d if the allowable normal stress for the material is allow = 180 mpa . a 1024 hz tuning fork is dangled at the end of a string such that its center of mass is 1.2 m below the point at which the other end of the string is attached to door frame, making a pendulum of sorts. the tuning fork may be treated as a point mass for the purposes of this problem. the pendulum is brought to a maximum angle and released. if the range of frequencies heard by an observer standing in the plane of the pendulum's motion is 1020-1028 hz, what is the angle to which the pendulum was raised? the speed of sound is 340 m/s. fitb. ______ is any unconsolidated or weakly consolidated material at the earth's surface, regardless of particle size or composition. A product line should be dropped whena. All of the answer choices are correct.b. has unavoidable fixed costs.c. it has a positive contribution margin.d. there will be a positive change in income if the product line is dropped. FILL IN THE BLANK most dental practices use ___-minute time units, because they provide maximal flexibility in scheduling, allowing for more productivity. an ionic compound that is neither an acid nor a base is classified as a(n) ___________. TRUE/FALSE. The standard library version of sqrt(-2) throws a runtime exception because there is no possible answer the artists who began the die brcke movement chose that name because people in collectivist cultures are likely to feel good about themselves when they 6 Ergnze: dem, der, den? ihm, ihr, ihnen? Wie geht's 1. Wie geht's___Professor? 2.wie geht's____kindern? 3.wie geht's____Oma? the goal of managing cholesterol levels to reduce cardiovascular risks may be achieved by Write a system of inequalities that represents the constraints on the number of pots that can be included in one shipment. in a pastoralist society, wealth and status are measured by the __________. EURASIA EUROPE NORTH AMERICA ASIA & OCEANIA MIDDLE AFRICA CENTRAL & SOUTH AMERICA COAL NATURAL GAS OIL Africa 8961 Middle MidBased on U.S. Department of Energy Information Administration (EIA) data.For example, 62% of the United States energy comes from petroleum and natural gas. The majority of these proven energy reserves are not, however, found in North America.Fortunately, this dependence on other countries for energy is not as crucial with respect to coal reserves. That is, North America holds of the worlds coal reserves, essentially matching for the leading volume of coal reserves in the world.A solid fossil fuel formed from ancient plant material, coal is, by far, the most abundant and fossil fuel in use today.As a result, coal use has caused a plethora of environmental and health concerns. For example, it increases air pollution by emitting carbon dioxide and into the atmosphere. Burning coal can thus increase rates of respiratory illnesses for people who live near coal power plants and damage the local environment with toxic chemicals.Which of the following will likely discourage the use of coal and possibly mitigate the environmental and health concerns that coal causes? Check all that apply.Include the effects of air and water pollution in the market price of using coal.Support the Clean Coal campaign.Classify coal ash as hazardous waste.