hilly company budgeted the following transactions for april year 2: sales $ 200,000 cash operating expenses 105,000 cash purchases of investments 75,000 cash payment of debt 15,000 depreciation on operating assets 12,000 the beginning cash balance is $50,000. sales are on account and 75% of sales on account is collected in the month of sale. the company desires to have a $25,000 ending cash balance. the surplus (or shortage) of cash before considering any borrowings in april would be: a. $40,000 shortage. b. $20,000 shortage. c. $40,000 surplus. d. there is no cash surplus or shortage.

Answers

Answer 1

The ending cash balance is a deficit of $7,000. Since the desired ending cash balance is $25,000, there is a cash shortage. The correct answer is b.

Let's calculate the surplus or shortage of cash for Hilly Company in April.

Beginning cash balance: $50,000

Cash inflows from sales (75% collected in the month of sale): $200,000 * 75% = $150,000

Total cash inflows: $150,000

Cash outflows:

Cash operating expenses: $105,000

Cash purchases of investments: $75,000

Cash payment of debt: $15,000

Depreciation on operating assets: $12,000

Total cash outflows: $105,000 + $75,000 + $15,000 + $12,000 = $207,000

Net cash flow (inflows - outflows): $150,000 - $207,000 = -$57,000

Ending cash balance (Beginning cash balance + Net cash flow): $50,000 - $57,000 = -$7,000.

Hence option b is correct.

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Related Questions

What part of the money supply does the fed have direct control over?

Answers

The Federal Reserve, often known as the Fed, has direct control over the monetary base of the money supply.

This implies that they have complete control over the number of physical dollars in circulation, with all other types of money in the economy, including bank deposits, being produced as a result of fractional reserve banking practices. The Fed controls the monetary base through its control over the money supply and its authority to buy and sell government securities in open-market operations. The monetary base is frequently referred to as M0, and it consists of all the physical currency and coins in circulation, as well as the money that the Federal Reserve keeps in reserve at its member banks. The Fed alters the monetary base through open-market operations, which involve purchasing or selling government securities on the open market to increase or decrease the supply of money in the economy, respectively.

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Which of the following statements must be true, if the regression sum of squares (SSR) is 83.62 Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a. The correlation coefficient is 0.95 b. The slope of the regression line is positive. c. The error sum of squares (SSE) is larger than or equal to 83.6 d. The total sum of squares (SST) is larger than or equal to 83.6 Unanswered Submit

Answers

If the regression sum of squares (SSR) is 83.62, the correct statement would be: c. The error sum of squares (SSE) is larger than or equal to 83.6

The error sum of squares (SSE) represents the variation in the dependent variable that is not explained by the regression model. If SSR is 83.62, it implies that a portion of the total variation is explained by the regression model, and therefore the remaining unexplained variation (SSE) must be larger than or equal to 83.6.

Regression analysis is a statistical method used to model the relationship between a dependent variable and one or more independent variables. It aims to find the best-fitting line or curve that represents the relationship between the variables based on the given data.

In simple linear regression, there is a single independent variable used to predict the dependent variable. The relationship between the variables is represented by a straight line. Multiple linear regression involves multiple independent variables and fits a linear equation to the data.

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Determine and Use Overhead Rate
The following selected ledger accounts of Cameron Company are for February (the second month of its accounting year):
Materials Inventory
Feb. 1 balance 63,000 February credits 226,000
February debits 208,000 Manufacturing Overhead
February debits 274,400 Feb. 1 balance 23,200
February credits 272,700
Work in Process Inventory
Feb. 1 balance 44,800 February credits 690,000
February debits: Direct material 190,000 Direct Labor 303,000 Man. overhead 272,700 Wages Payable
February debits 387,000 Feb. 1 balance 90,000
February credits 354,000
Finished Goods Inventory
Feb. 1 balance 153,000 February credits 767,400
February debits 690,000 a. Determine the amount of indirect material requisitioned for production during February.
$Answer
b. How much indirect labor cost was apparently incurred during February?
$Answer
c. Calculate the manufacturing overhead rate based on direct labor cost.
Answer %
d. Was manufacturing overhead for February under- or overapplied, and by what amount?
Manufacturing overhead was Answer: over-appliedunder-appliedCorrectby $Answer
e. Was manufacturing overhead for the first two months of the year under- or overapplied, and by what amount?
Manufacturing overhead was Answer : over-appliedunder-appliedCorrectby $Answer
f. What is the cost of production completed in February?
$Answer
g. What is the cost of goods sold in February?
$Answer

Answers

To determine the answers, we need to analyze the provided information and perform calculations based on the given data.

a. Indirect Material Requisitioned:

Indirect material requisitioned can be calculated by subtracting the change in materials inventory from the credits to the materials inventory account.

Change in Materials Inventory = (Feb. 1 balance + February credits) - February debits

Indirect Material Requisitioned = Change in Materials Inventory - Direct Material

= [(63,000 + 226,000) - 208,000] - 190,000

b. Indirect Labor Cost Incurred:

The indirect labor cost incurred can be obtained by subtracting the change in wages payable from the wages payable debits.

Change in Wages Payable = (Feb. 1 balance + February debits) - February credits

Indirect Labor Cost Incurred = Change in Wages Payable - Direct Labor

= [(90,000 + 387,000) - 354,000] - 303,000

c. Manufacturing Overhead Rate:

The manufacturing overhead rate can be calculated by dividing the manufacturing overhead debits by the direct labor cost.

Manufacturing Overhead Rate = Manufacturing Overhead debits / Direct Labor

= 274,400 / 303,000

d. Manufacturing Overhead Applied:

Manufacturing Overhead Applied can be calculated by multiplying the direct labor cost by the manufacturing overhead rate.

Manufacturing Overhead Applied = Direct Labor * Manufacturing Overhead Rate

= 303,000 * (Manufacturing Overhead Rate from part c)

To determine if manufacturing overhead was over-applied or under-applied, we need to compare the Manufacturing Overhead Applied with the Manufacturing Overhead debits.

e. Manufacturing Overhead for the First Two Months:

To determine the manufacturing overhead for the first two months, we need to add the Manufacturing Overhead debits for February to the balance of Manufacturing Overhead from February 1st.

f. Cost of Production Completed:

The cost of production completed in February can be calculated by adding the Direct Material, Direct Labor, and Manufacturing Overhead Applied.

Cost of Production Completed = Direct Material + Direct Labor + Manufacturing Overhead Applied

g. Cost of Goods Sold:

The cost of goods sold can be calculated by subtracting the credits to Finished Goods Inventory from the cost of production completed.

Cost of Goods Sold = Cost of Production Completed - (Feb. 1 balance + February credits)

Performing the calculations using the provided data will provide the actual values for each of the answers.

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Beasann's Die-Cuts is preparing its cost of goods manufactured schedule at year-end. Beasann's accounting records show the following: The raw materials inventory account had a beginning balance of $13,000 and an ending balance of $17,000. During the year, Beasann purchased $58,000 of direct materials. Direct labour for the year totalled $123,000, while manufacturing overhead amounted to $152,000. The work in process inventory account had a beginning balance of $21,000 and an ending balance of $15,000. Compute the cost of goods manufactured for the year. (Hint: The first step is to calculate the direct materials used during the year.) Beasann's Die Cuts Cost of Goods Manufactured 21000 13000 Beginning work in process inventory Add: Direct materials used Beginning raw materials inventory Purchases of direct materials Direct materials available for use Ending raw materials inventory 58000 71000 17000 54000 Direct materials used Direct labour 123000 Manufacturing overhead 152000 Total manufacturing costs incurred during the period Total manufacturing costs to account for Less: Ending work in process inventory 15000 Cost of goods manufactured

Answers

Beasann's Die-Cuts cost of goods manufactured for the year is $335,000.

To calculate the cost of goods manufactured, we first need to determine the direct materials used during the year:

Direct materials used = Beginning raw materials inventory + Purchases of direct materials - Ending raw materials inventory Direct materials used = $13,000 + $58,000 - $17,000 = $54,000

Next, we can calculate the total manufacturing costs incurred during the period:

Total manufacturing costs = Direct materials used + Direct labour + Manufacturing overhead Total manufacturing costs = $54,000 + $123,000 + $152,000 = $329,000

We can then calculate the total manufacturing costs to account for during the period:

Total manufacturing costs to account for = Beginning work in process inventory + Total manufacturing costs incurred during the period Total manufacturing costs to account for = $21,000 + $329,000 = $350,000

Finally, we can calculate the cost of goods manufactured:

Cost of goods manufactured = Total manufacturing costs to account for - Ending work in process inventory Cost of goods manufactured = $350,000 - $15,000 = $335,000

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What are the four ethical standards in the Institute of Management Accountants’ Statement of Ethical Professional Practice? Describe the meaning of each of the four standards. How does each of these standards impact planning, directing, and controlling?

Answers

The Institute of Management Accountants (IMA) has established four ethical standards in their Statement of Ethical Professional Practice. These standards are as follows:

1. Competence: This standard requires management accountants to maintain a level of expertise and knowledge that allows them to provide quality professional services. Competence also involves keeping up with changes in the industry and maintaining an understanding of new developments.

2. Confidentiality: Management accountants have a responsibility to maintain the confidentiality of information obtained during the course of their work. This includes protecting sensitive information from unauthorized access or disclosure.

3. Integrity: A high level of ethical integrity is required. Management accountants must be honest, fair, and transparent in their dealings. They must avoid any conflicts of interest and disclose any potential conflicts as soon as they become aware of them.

4. Objectivity: Management accountants must approach their work with impartiality and avoid any bias or prejudice. They must provide accurate and truthful information without being influenced by personal or external factors.

Each of these ethical standards impacts planning, directing, and controlling in different ways.

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Which of the following statements is correct?
a. The source of wages is determined by the residence of the individual performing the services
b. The source of rental income is determined by the residence of the owner of the property
c. The source of dividends from investment stock is determined by the location of the corporation.
d. The source of gains on real property is generally determined by where the real property is located

Answers

The source of gains on real property is generally determined by where the real property is located  statements is correct.

Land and single-family dwellings are frequently valued using the sales comparison method. It is an estimate of value created by comparing a property to recently sold properties with comparable attributes, and is also known as the "market data approach."

All land and any tangible personal goods that is physically attached to it are considered real property, as is any section of land that has experienced legitimate human intervention. Real property includes ponds, structures, structures with reservoirs, canals, highways, and equipment. Property is valued based on the estimated future benefits it will give.

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If you wish to accumulate $40,000 in 10 years, how much must you deposit today in an account that pays a quoted annual interest rate of 7.5% with semi-annual compounding of interest?

Answers

You would need to deposit approximately $19,543.07 today in the account to accumulate $40,000 in 10 years with semi annual compounding of interest.

PV = FV / (1 + r/n)[tex]^{n*t}[/tex]

PV = Present Value (amount to be deposited today)

FV = Future Value (desired accumulation)

r = Quoted annual interest rate (in decimal form)

n = Number of compounding periods per year

t = Number of years

desired accumulation (FV) = $40,000

quoted annual interest rate (r) = 7.5% or 0.075

compounding semi-annual (n = 2)

time period (t) = 10 years

PV = $40,000 / (1 + 0.075/2)²*¹⁰

PV = $40,000 / (1 + 0.0375)²⁰

PV = $40,000 / (1.0375)²⁰

PV ≈ $19,543.07

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All of the following statements concerning personal umbrella liability insurance are correct EXCEPT: The personal umbrella policy is designed primarily to provide liability coverage for catastrophic legal claims or judgments. The personal umbrella policy requires the policyowner to carry certain underlying liability coverages of specified minimum amounts on both the homeowner's policy and the PAP. Personal umbrella liability insurance never provides personal injury coverage for acts such as defamation of character. Aclaim made under an umbrella policy will pay only after the limits of the relevant underlying policy are exhausted.

Answers

the correct statement is: "Personal umbrella liability insurance never provides personal injury coverage for acts such as defamation of character."

The other three statements are correct:

The personal umbrella policy is designed primarily to provide liability coverage for catastrophic legal claims or judgments. A personal umbrella policy offers additional liability coverage beyond the limits of underlying insurance policies, such as homeowner's or auto insurance, to protect against large financial losses resulting from lawsuits.

The personal umbrella policy requires the policy owner to carry certain underlying liability coverages of specified minimum amounts on both the homeowner's policy and the Personal Auto Policy (PAP). This requirement ensures that there is a base level of coverage in place before the umbrella policy comes into effect.

A claim made under an umbrella policy will pay only after the limits of the relevant underlying policy are exhausted. In other words, the umbrella policy kicks in when the coverage limits of the primary policies (such as homeowners' or auto insurance) have been reached.

Therefore, the correct statement is: "Personal umbrella liability insurance never provides personal injury coverage for acts such as defamation of character."

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Kerensky Corporation, a wholesale company, has provided the following data: Sales per period. 1,000 units Selling price.... $35 per unit Variable production cost. $15 per unit Selling expenses........ $5,000 plus 5% of selling price Administrative expenses.. ******* $3,000 plus 10% of selling price The contribution margin ratio is closest to: a. 57% b. 58% c. 42% d. 62%

Answers

The following details: Sales per period = 1000 units. Selling price = $35 per unit variable production cost = $15 per unit selling expenses = $5000 + 5% of the selling price. Administrative expenses = $3000 + 10% of the selling price. Option (a) 57% is the correct answer.

We need to find out the contribution margin ratio of Kerensky Corporation.

The contribution Margin is calculated as follows: Contribution Margin = Selling Price per unit - Variable Cost per unit know the selling price per unit is $35 and the variable cost per unit is $15. Therefore, Contribution Margin per unit = $35 - $15 = $20Contribution Margin Ratio = (Contribution Margin / Selling Price) × 100%

Let's now calculate the Contribution Margin Ratio: Contribution Margin Ratio = (20 / 35) × 100%Contribution Margin Ratio = 57.14% (approx)

Hence, the closest Contribution Margin Ratio to the options provided is 57%.

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1.What distribution channels does Taza Chocolate use, and what do they contribute to the company's overall marketing efforts? 2.Taza Chocolate prices its products differently based on the channel that is used for distributing them. Does this approach make good managerial sense? Why or why not? 3. How does the concept of integrated marketing channels apply to Taza Chocolate's product distribution system?

Answers

1. Taza Chocolate uses three main distribution channels, namely direct-to-consumer, wholesale, and retail. These channels contribute to the company's overall marketing efforts by allowing them to reach a wider customer base and diversify their revenue streams.

2. Taza Chocolate's approach to pricing its products differently based on the channel used for distribution makes good managerial sense. This is because different channels have different costs associated with them, such as marketing and distribution costs.

3. The concept of integrated marketing channels applies to Taza Chocolate's product distribution system in several ways. Firstly, the company's multi-channel distribution system allows them to create a seamless customer experience across all channels.

Direct-to-consumer allows the company to have a direct relationship with its customers, which facilitates personalization and greater control over brand messaging and customer experience. Wholesale, on the other hand, allows Taza Chocolate to reach a wider audience by partnering with third-party retailers. Finally, retail channels like their factory store and cafes allow the company to create a unique brand experience for customers.

By pricing their products differently based on these costs, Taza Chocolate can ensure profitability across all distribution channels while remaining competitive in each market. This approach also helps to avoid price wars between different channels, which can erode brand value.3. The concept of integrated marketing channels applies to Taza Chocolate's product distribution system in several ways.

Firstly, the company's multi-channel distribution system allows them to create a seamless customer experience across all channels. For example, customers can order online and pick up at a retail store or purchase a product at a wholesale partner and then purchase additional products online. Secondly, Taza Chocolate's integrated marketing channels allow them to leverage different channels to cross-promote their products and reach a wider audience.

For example, their direct-to-consumer channel allows them to promote new products and exclusive deals to their email list, while their wholesale partners can promote Taza Chocolate products in their own marketing materials.

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In the _________ bias, a decision maker is influenced by the first information received about a decision, even if it is irrelevant.
A. Confirmation
B. Availability
C. Representativeness
D. Anchoring
E. Framing

Answers

In the Anchoring bias, a decision maker is influenced by the first information received about a decision, even if it is irrelevant.

The Anchoring bias refers to the tendency of individuals to rely heavily on the initial piece of information they receive when making decisions, and this information becomes the "anchor" or reference point for subsequent judgments. Even if the initial information is irrelevant or arbitrary, it can significantly influence the decision-making process.

For example, if a person is asked to estimate the price of a product and is given a high starting value as a reference point, their subsequent estimates are likely to be higher compared to if they were given a lower starting value. The initial anchor skews their judgment and affects their perception of what is a reasonable price.

The Anchoring bias can lead to errors in judgment and decision-making because it can prevent individuals from properly considering and weighing other relevant information. It is a cognitive bias that affects various aspects of decision-making, including pricing, negotiations, and evaluations.

The Anchoring bias is a cognitive bias where individuals rely heavily on the initial information they receive when making decisions, even if it is irrelevant. Being aware of this bias can help individuals make more objective and rational decisions by considering a broader range of information and avoiding undue influence from irrelevant anchors.

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According to the long-run monetary model of the price level:
a
equilibrium conditions require a change in real GDP to lower inflation.
b
the demand for money is always proportional to the supply of money.
c
as long as prices are flexible, a change in the supply of money or the demand for money will result in a change in the price level to restore equilibrium.
d
when the demand for money decreases, prices respond very slowly.

Answers

According to the long-run monetary model of the price level as long as prices are flexible, a change in the supply of money or the demand for money will result in a change in the price level to restore equilibrium. The correct option is c.

The long-run monetary model of the price level predicts that shifts in the money supply or demand will have an immediate effect on the price level over time. There will be an excess supply of money in the economy if either the supply of money rises or the demand for it falls.

The price level will rise over time as a result of this extra money's upward pressure on prices, until equilibrium is once again achieved. Similar to the previous example if the supply of money falls or the demand for it rises there will be an excess demand for it which will drive down prices until equilibrium is reached. The correct option is c.

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If the reserve requirement (rr) is 0.2, what is the simple deposit multiplier? If, in addition, the currency deposit ratio (c) is 0.05 and the excess reserve ratio (e) is 0.15, what is the money multiplier? Explain why the money multiplier differs from the simple deposit multiplier.

Answers

If the reserve requirement (rr) is 0.2, the simple deposit multiplier would be 5.

The simple deposit multiplier represents the maximum potential increase in the money supply based on the reserve requirement. It is calculated as the reciprocal of the reserve requirement.

Simple Deposit Multiplier = 1 / Reserve Requirement (rr)

In this case, the reserve requirement (rr) is given as 0.2, so the simple deposit multiplier is:

Simple Deposit Multiplier = 1 / 0.2 = 5

This means that for every dollar deposited into the banking system, the potential maximum increase in the money supply is five times that amount.

However, the money multiplier takes into account other factors that affect the actual expansion of the money supply. It considers not only the reserve requirement but also the currency deposit ratio (c) and the excess reserve ratio (e).

Money Multiplier = 1 / (rr + c + e)

In this case, the currency deposit ratio (c) is given as 0.05, and the excess reserve ratio (e) is given as 0.15. So the money multiplier is:

Money Multiplier = 1 / (0.2 + 0.05 + 0.15) = 1 / 0.4 = 2.5

The money multiplier is lower than the simple deposit multiplier because it takes into account factors that reduce the actual expansion of the money supply. The currency deposit ratio (c) represents the proportion of deposits that individuals choose to hold in the form of currency rather than in bank deposits. The excess reserve ratio (e) represents the proportion of reserves that banks choose to hold in excess of the required reserves.

These factors limit the amount of funds available for lending and subsequent money creation by banks. Therefore, the money multiplier considers these additional factors to provide a more realistic estimate of the actual increase in the money supply.

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Which performance measurement approach do the Uber
Company uses for performance measurement solutions?

Answers

The Uber company uses a performance measurement approach, which is a balanced scorecard. For a company to be successful, it needs to keep track of its progress through a performance measurement system.

Performance measurement is vital to ensure that a company is achieving its goals. Uber uses a balanced scorecard performance measurement approach to measure its performance. This approach helps the company to determine whether it is on the right track or not.A balanced scorecard performance measurement approach measures an organization's performance based on four perspectives. These perspectives include the financial perspective, the customer perspective, the internal business process perspective, and the learning and growth perspective.The financial perspective measures the company's financial performance, which is the most critical performance measure. The customer perspective measures customer satisfaction and loyalty. The internal business process perspective measures the efficiency of the business processes. The learning and growth perspective measures the company's ability to innovate and improve its products and services.To ensure that the balanced scorecard approach works well for Uber, the company has to identify key performance indicators (KPIs) for each perspective. The KPIs for the financial perspective include revenue growth and profitability. The KPIs for the customer perspective include customer satisfaction and retention. The KPIs for the internal business process perspective include process efficiency and cycle time. The KPIs for the learning and growth perspective include employee training and development.

In conclusion, the balanced scorecard approach is essential for Uber as it helps the company to measure its performance based on four perspectives. The approach also helps the company to identify areas that need improvement and those that require a change. The balanced scorecard approach is vital for the success of Uber as it ensures that the company achieves its goals.

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Berea Resources is planning a $75 million capital expenditure program for the coming year. Next year, Berea expects to report to the IRS earnings of $40 million after interest and taxes. The company presently has 25 million shares of common stock issued and outstanding. Dividend payments are expected to increase from the present level of $8 million to $12 million. The company expects its current asset needs to increase from a current level of $23 million to $28 million. Current liabilities, excluding short-term bank borrowings, are expected to increase from $17 million to $21 million. Interest payments are $5 million next year, and long-term debt retirement obligations are $9 million next year. Depreciation next year is expected to be $15 million on the company's financial statements, but the company will report depreciation of $18 million for tax purposes. How much external financing is required by Berea for the coming year?

Answers

Explanation :

The external financing that is required by Berea for the coming year can be calculated as follows;

Given that, Capital expenditure program = $75 million

Earnings after interest and taxes = $40 million

Current level of dividends = $8 million

Increased level of dividends = $12 million

Current assets needs = $23 million

Increased current assets needs = $28 million

Current liabilities, excluding short-term bank borrowings = $17 million

Increased current liabilities, excluding short-term bank borrowings = $21 million

Interest payments = $5 million

Long-term debt retirement obligations = $9 million

Depreciation on the company's financial statements = $15 million

Depreciation for tax purposes = $18 million

Number of common stock issued and outstanding = 25 million shares

Therefore,External financing = Capital expenditure program - Earnings after interest and taxes - Increased level of dividends + Current assets needs - Current liabilities, excluding short-term bank borrowings + Interest payments + Long-term debt retirement obligations + Depreciation on the company's financial statements - Depreciation for tax purposes

External financing = $75 million - $40 million - ($12 million - $8 million) + ($28 million - $23 million) - ($21 million - $17 million) + $5 million + $9 million + $15 million - $18 million

External financing = $75 million - $40 million - $4 million + $5 million + $4 million + $9 million + $15 million - $18 million

External financing = $46 million

Therefore, the external financing required by Berea for the coming year is $46 million.

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Subgame perfection is a refinement of Nash Equilibrium that requires

Select one:

a. perfect and skilled play by all players
b. credibility/rationality at every point/path in the game, regardless of whether those points/paths are actually part of the Nash equilibrium
c. focalness in equilibrium
d. firms do not cheat on their output agreements
e. credibility/rationality only along the equilibrium path

Answers

Subgame perfection is a refinement of Nash Equilibrium that requires credibility/rationality at every point/path in the game, regardless of whether those points/paths are actually part of the Nash equilibrium.

Subgame perfection is a refinement of the Nash Equilibrium that requires that all players' strategies should be optimal from that particular subgame, given the strategies they've chosen in the other subgames. This, in essence, is the credibility and rationality of all players at every point/path in the game, regardless of whether or not those points/paths are actually part of the Nash equilibrium. If an individual game, which is a subgame of the overall game, satisfies subgame perfection, it is known as a subgame-perfect equilibrium.

In other words, subgame-perfect equilibrium is a refinement of Nash equilibrium in which players choose a strategy that is optimal for all subgames, including those that do not involve reaching Nash equilibrium. This requires rationality and credibility of the players at every stage of the game, regardless of whether or not the Nash equilibrium is reached at those stages.

Therefore, option (b) is the correct answer to the question.

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POD has a project with the following cash flows:
Year Cash Flows
0 −$243,000 1 147,400 2 164,900 3 130,000 The required return is 8.7 percent. What is the profitability index for this project?

Answers

The profitability index for the project with the given cash flows and a required return of 8.7% is 0.6222. It indicates that the project's present value of cash inflows is approximately 62.22% of the initial investment, suggesting a potential positive return on investment.

To calculate the profitability index for the project, we need to divide the present value of the cash inflows by the initial investment.

First, we need to calculate the present value of the cash inflows. We discount each cash flow using the required return of 8.7%:

PV(Year 1) = $147,400 / (1 + 0.087)¹ = $135,590.15

PV(Year 2) = $164,900 / (1 + 0.087)² = $138,447.14

PV(Year 3) = $130,000 / (1 + 0.087)³ = $107,726.09

Next, we calculate the initial investment (Year 0) as a negative cash flow:

PV(Year 0) = -$243,000

Now, we can calculate the profitability index

Profitability Index = (PV of Cash Inflows) / (Initial Investment)

Profitability Index = ($135,590.15 + $138,447.14 + $107,726.09) / (-$243,000)

The profitability index for this project is 0.6222 (rounded to four decimal places).

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The activity time estimates used to build a project network are derived
A) Project charter
B) Scope statement
C) Project plan
D) Requirements doc
E) Work packages

Answers

The activity time estimates used to build a project network are derived from the project plan.

The project plan outlines the specific tasks and activities required to complete the project and includes information such as dependencies, resource allocation, and timelines. Activity time estimates are estimates of the duration or effort required to complete each individual activity within the project.

These estimates are typically based on historical data, expert judgment, or other estimation techniques. By consolidating and analyzing these estimates, a project manager can develop a project network or schedule, which illustrates the sequence and interdependencies of the activities required to complete the project.

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[13-14] Hamilton Company uses job-order costing. Manufacturing overhead is applied using a predetermined rate of 150% of direct labor cost. Any over- or underapplied manufacturing overhead is closed t

Answers

Job order costing is a system of costing that accumulates the costs of manufacturing and produces products or services that are distinct and separate. It includes tracing direct materials, direct labor, and manufacturing overheads to individual jobs.

The Hamilton Company is using job order costing, and they apply manufacturing overheads using a predetermined rate of 150% of direct labor cost. Any over or under applied manufacturing overhead is closed by the following steps

Step 1: Record the Manufacturing Overhead Applied The predetermined rate is used to apply the overheads to the production cost. This overhead is accumulated in a manufacturing overhead account. The manufacturing overhead account is a temporary account, and the balance is either a debit or credit balance. If the balance is debit, it represents under applied overhead, while if it is credit, it represents over applied overhead.

Step 2: Calculate the Under applied or Over applied Overhead Over applied overheads occur when the actual overhead costs are less than the applied overhead costs. In contrast, under applied overheads occur when actual overheads are more than the applied overhead costs. The balance on the manufacturing overhead account indicates the amount of under applied or over applied overheads.

Step 3: Close the Balance to the Cost of Goods Sold Account The balance on the manufacturing overhead account represents either under applied or over-applied overhead. The balance should be closed at the end of the period to the cost of goods sold account. The following journal entry is used to transfer the balance from the manufacturing overhead account to the cost of goods sold account.If there is under applied overhead:Debit Cost of Goods Sold Account Credit Manufacturing Overhead Account If there is over applied overhead:Debit Manufacturing Overhead Account Credit Cost of Goods Sold Account.

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he following comparative balance sheet is given for Eaters Co Assets Dec.31.2021 Dec.31.2020 $58,500 Cash $351,000 Notes Receivable 72,000 63,000 Supplies & Inventory 81,000 121,500 Prepaid expense 31,500 54,000 Long-term investments 0 81,000 Machines and tools 166,500 144,000 (63.000) (45.000) Accumulated depreciation equipment Total Assets $639.000 $477.000 Liabilities & Stockholders' Equity Accounts payable $ 76,500 $ 31,500 211,500 Bonds payable (long-term) 166,500 Common Stock 180,000 103,500 Retained Earnings 216.000 130,500 Total Liabilities & Stockholders' Equity $639.000 $477,000 Income Statement Information (2021); 1. Net income for the year ending December 31, 2021 is $130,500. 2. Depreciation expense is $18,000. 3. There is a loss of $9,000 resulted from the sale of long-term investment. Additional information (2021); 1. All sales and purchases of inventory are on account (or credit). 2. Received cash for the sale of long-term investments that had a cost of $81,000, yielding a $9,000 loss. 3. Cash dividends paid is $45,000. 4. The company purchased new machines and tools for $22,500 cash. Required: Prepare the FIRST (Operating) and the SECOND (Investing) sections of the statement of cash flows for the year ended December 31, 2021.

Answers

The first (operating) section of the statement of cash flows shows a net cash inflow of $211,500, while the second (investing) section shows a net cash outflow of $13,500 for the year ended December 31, 2021.

To prepare the first (operating) and the second (investing) sections of the statement of cash flows for the year ended December 31, 2021, we need to analyze the changes in the balance sheet accounts and consider the provided information.

First (Operating) Section:

To calculate the operating cash flows, we need to focus on the changes in current assets and liabilities. We exclude non-current assets and long-term liabilities.

Starting with the net income of $130,500, we make the following adjustments:

Add back non-cash expenses:

Depreciation expense of $18,000.

Adjust changes in working capital:

Increase in notes receivable: $9,000 ([$72,000 - $63,000])

Decrease in supplies & inventory: $40,500 ([$81,000 - $121,500])

Decrease in prepaid expenses: $22,500 ([$31,500 - $54,000])

Increase in accounts payable: $45,000 ([$76,500 - $31,500])

Adjust for the loss on sale of long-term investment:

Add back the loss of $9,000.

The total operating cash flows can be calculated as follows:

Net income + Depreciation expense + Changes in working capital + Loss on sale of long-term investment:

$130,500 + $18,000 + $9,000 + $40,500 - $22,500 + $45,000 - $9,000 = $211,500.

Second (Investing) Section:

In the investing section, we consider the changes in long-term assets.

Proceeds from the sale of long-term investments: $9,000.

Cash used for the purchase of new machines and tools: $22,500.

The total investing cash flows can be calculated as follows:

Proceeds from the sale of long-term investments - Cash used for the purchase of new machines and tools:

$9,000 - $22,500 = -$13,500.

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Money market mutual funds are important users of a. repo b. foreign currencies c. BBB corporate bonds d. Bitcoins

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Money market mutual funds are important users of a repo. The correct answer is A.

Money market mutual funds are important users of repurchase agreements (repos). A repo is a short-term agreement in which one party sells securities to another party with the agreement to repurchase them at a higher price at a later date.

Repo agreements are used by money market mutual funds to manage their liquidity and to earn interest on their cash holdings.

Foreign currencies, BBB corporate bonds, and Bitcoins are not typically used by money market mutual funds. Foreign currencies are too volatile for money market mutual funds, which are focused on preserving capital.

BBB corporate bonds are too risky for money market mutual funds, which are focused on investing in safe, liquid assets.

Bitcoins are not considered to be a safe or liquid asset, and are therefore not suitable for money market mutual funds.

Therefore, the correct option is A, repo.

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Which of the following is not a relevant activity of project planning? a. Scheduling the activities b. Definition of the quality and quantity of work c. Definition of the resources needed
d. Analyzing variances and impacts e. Evaluation of the various risks f. Definition of the work requirements

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Scheduling the activities is not a relevant activity of project planning. Option A is the correct answer.

The execution and control phases of a project are laid out in a set of formal papers called a project plan. The plan addresses scope, cost, and schedule baselines in addition to risk management, resource management, and communication issues. Option A is the correct answer.

To make sure their plans are comprehensive and reliable, project managers employ project planning software. The success of your project depends on your project plan. If you don't have one, your project might be vulnerable to classic project management problems including missed deadlines, scope creep, and cost overrun. Although creating a project plan initially requires some work, the investment will pay off throughout the course of the project.

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Jassim manages his team with a strong focus on goals and how to achieve them with maxim effectiveness. According to Fred Fiedler Leadership Contingency Model, Jassim is a(n): ____________

a. task oriented
b. Behavior-oriented
c. Relationship-oriented
d. Affiliation-oriented

Answers

According to Fred Fiedler Leadership Contingency Model, Jassim is a task-oriented leader.Fiedler's contingency theory proposes that the situation, particularly three situational variables - leader-member relations, task structure, and position power - that determines whether task-oriented or relationship-oriented leadership is more effective.

The leadership contingency theory provides a framework for determining if a leader's style is task-oriented or relationship-oriented. The correct option is A. Task-oriented because Jassim focuses on goals and achieving them with maximum effectiveness. Thus, task-oriented leaders aim at creating an efficient and productive work environment, ensuring the completion of tasks effectively within the stipulated deadline, and hence, his leadership style is task-oriented. Task-oriented leadership prioritizes maximizing efficiency and ensuring that tasks are completed to the best of everyone’s abilities. A leader who is goal-oriented often focuses on achieving those goals in a timely and efficient manner. Thus, Jassim’s leadership style is task-oriented because he manages his team by focusing on goals and achieving them with maximum effectiveness.  Fiedler's contingency theory emphasizes that a leader's style must match the situation, particularly the leader-member relations, task structure, and position power.

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bank a has $98,400 in total reserves, and $13,800 excess reserves. the required reserve ratio is 8 percent. bank a has total deposits of

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00Excess Reserves = $13,800Required Reserve Ratio = 8%To Ratio = Required Reserves / Total Deposits8% = (8/100)  = Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total Deposits = $172,500Therefore,

the total deposits of Bank A is $172,500.Total Reserves = Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total Deposits = $172,500Therefore,00Excess Reserves = $13,800Required Reserve Ratio = 8%To Ratio = Required Reserves / Total Deposits8% = (8/100)  = Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total ,

Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total Deposits = $172,500Therefore,00Excess Reserves = $13,800Required Reserve Ratio = 8%To Ratio = Required Reserves / Total Deposits8% = (8/100)  = Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total ,Ratio = Required Reserves / Total Deposits8% = (8/100)  = Total Deposits × Required Reserve Ratio13,800 = Total Deposits × 8/100Total Deposits = 13,800 × 100/8Total ,

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the primary difference between operational auditing and financial auditing is that in operational auditing:

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In operational auditing, the focus is on evaluating the efficiency and effectiveness of an organization's operations and processes. Financial auditing, on the other hand, primarily focuses on verifying the accuracy and reliability of financial statements and records.

Operational auditing is concerned with assessing the efficiency, effectiveness, and economy of an organization's operations. It examines the internal controls, risk management systems, and operational processes to identify areas of improvement and recommend strategies to enhance productivity and optimize resource utilization. Operational auditors may evaluate factors such as compliance with policies and procedures, cost-effectiveness of operations, quality control measures, and alignment with organizational goals. Their objective is to provide management with insights and recommendations to enhance operational performance.

Financial auditing, on the other hand, focuses on examining financial statements and records to ensure their accuracy, completeness, and compliance with accounting principles and regulations. Financial auditors review financial transactions, internal controls, and accounting practices to detect errors, fraud, or misstatements. Their primary goal is to provide assurance to stakeholders, such as shareholders, investors, and creditors, regarding the reliability of financial information. Financial auditing is essential for maintaining transparency, accountability, and trust in financial reporting, thereby supporting informed decision-making and financial stability.

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Currently, the firm is all equity funded with 1000000 shares valued at $10 per share and the required return on equity is 8%. Income tax rate is 25%. Your banker has indicated that the following leverage restructurings are possible: Number of shares 750,000 600,000 500,000 Debt Leverage 25.00% 40.00% 50.00% Interest 7.50% 8.00% 8.50% ROE 8.50% 8.75% 9.25% Estimate the share prices for the following debt restructures 25%, 40%, and, 50%, respectively: Group of answer choices

$10.34; $10.67; $10.41

$10.67; $10.34; $10.41

$10.67; $10.41; $10.34

$10.41; $10.67; $10.34

$10.41; $10.34; $10.67

Answers

$10.67; $10.41; $10.34.

To estimate the share prices for different debt restructures, we need to consider the impact of leverage on the required return on equity (ROE). The ROE is the return expected by shareholders based on their investment in the company.

As the firm introduces debt into its capital structure, the risk profile changes, which affects the required return on equity. Higher leverage generally increases the required return on equity. In this case, we have three leverage restructurings with corresponding levels of debt leverage and ROE.

To estimate the share prices, we can use the dividend discount model (DDM). The DDM values a stock by discounting its future cash flows, in this case, dividends, to their present value. The formula for the DDM is as follows:

Share Price = Dividend / (Required Return - Growth Rate)

Since the firm is all equity funded, we can assume that the dividend is equal to the earnings after tax. The growth rate can be considered as zero.

Using the given information, we can calculate the share prices for each leverage restructuring:

For 25% debt leverage, the share price is $10.67.

For 40% debt leverage, the share price is $10.41.

For 50% debt leverage, the share price is $10.34.

Therefore, the correct answer is: $10.67; $10.41; $10.34.

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What about financial statements of privately held firms? Does fraud occur in these firms.

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Fraud can occur in privately held firms, just like in publicly traded companies. While the focus and scrutiny on fraud often revolve around publicly traded companies due to their larger visibility and regulatory requirements, privately held firms are not immune to fraudulent activities.

There are several factors that can contribute to fraud in privately held firms:

Lack of Oversight: Privately held firms may have fewer checks and balances compared to publicly traded companies. There may be a lack of independent oversight, such as a board of directors or external auditors, which can create opportunities for fraudulent activities to go undetected.Limited Resources: Smaller privately held firms may have limited resources to invest in robust internal controls and anti-fraud measures. This can make them more vulnerable to fraudulent activities as there may be fewer resources dedicated to monitoring and preventing fraud.Close-knit Culture: In some privately held firms, there may be a close-knit culture where relationships and trust among employees are strong. While this can be a positive aspect, it can also create an environment where fraud can be perpetrated and concealed for longer periods, as employees may be hesitant to report suspicious activities involving their colleagues or superiors.Lack of Disclosure Requirements: Privately held firms are not subject to the same level of disclosure and transparency requirements as publicly traded companies. This can make it easier for fraudsters to manipulate financial statements, conceal misappropriation of assets, or engage in other fraudulent activities without being readily detected.

It is important to note that fraud is not limited to any specific type of organization or sector. Whether a company is publicly traded or privately held, fraud can occur due to various factors such as inadequate internal controls, management override, collusion, or individual employee misconduct.

To mitigate the risk of fraud, privately held firms should implement strong internal controls, segregate duties, conduct regular internal audits, promote a culture of ethics and integrity, and provide fraud awareness and prevention training to employees. Additionally, seeking external expertise through independent audits or consulting services can help identify and address potential fraud risks.

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Let the current spot rate be $1.25/€, and assume that one month from now the spot rate will be either $1.30/€ or $1.20/€. Let the dollar interest rate be 0.4% per month, and let the euro interest rate be 0.3% per month. Develop a portfolio that replicates the payoff on a one-month euro call option that allows us to buy stocks for a strike price of $1.25/€. Develop a portfolio that replicates the payoff of the option.

Answers

Hence to replicate the option's payoff, we should purchase a risk-free bond for $1.25/€ and invest in a stock denominated in euros, which has the same payoff as the option, using a small amount of cash.

A portfolio that replicates the payoff on a one-month euro call option that allows us to buy stocks for a strike price of $1.25/€ is developed by taking a long position in the euro, borrowing in dollars, and investing in a stock denominated in euros. A portfolio that replicates the payoff of the option is developed by purchasing a risk-free bond for $1.25/€ and investing in a stock denominated in euros, which has the same payoff as the option, using a small amount of cash .Assuming a current spot rate of $1.25/€, and assuming that one month from now the spot rate will be either $1.30/€ or $1.20/€, we need to build two portfolios: one that replicates the payoff on a one-month euro call option that allows us to buy stocks for a strike price of $1.25/€, and another that replicates the payoff of the option. To replicate the payoff on a one-month euro call option that allows us to buy stocks for a strike price of $1.25/€, we should take a long position in the euro, borrow in dollars, and invest in a stock denominated in euros.

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Prepare the journal entries to record these transactions on Sheridan Company's books. Sheridan Company uses a periodic inventory system. Feb. 5 6 8 11 Sheridan purchased $12,000 of merchandise from NW Wholesale Company, terms 2/10, n/30, FOB shipping point. The correct company paid freight costs of $160. Sheridan returned $1,400 of the merchandise purchased on February 5. Sheridan paid the balance due to NW Wholesale.

Answers

To record the transactions on Sheridan Company's books, we need to prepare the journal entries for each transaction.

February 5: Purchase of merchandise from NW Wholesale Company:

Debit: Inventory - Merchandise Purchases ($12,000)

Credit: Accounts Payable ($12,000)

February 6: Payment of freight costs:

Debit: Freight-In ($160)

Credit: Cash ($160)

February 8: Return of merchandise to NW Wholesale Company:

Debit: Accounts Payable ($1,400)

Credit: Inventory - Merchandise Purchases ($1,400)

February 11: Payment of the balance due to NW Wholesale Company:

Debit: Accounts Payable ($10,600) [($12,000 - $1,400)]

Credit: Cash ($10,600)

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Which of the following investments had the largest fluctuations overall return over the past eighty years?
A) small stocks
B) S&P 500
C) corporate bonds
D) Treasury bills

Answers

Small stocks had the largest fluctuations overall return over the past eighty years. Option A is the correct answer.

The majority of companies on the market are represented by small-cap stocks. In reality, there are more small-cap stocks than there are large- and mid-cap firms. Option A is the correct answer.

Small-cap companies can be the next big thing that all parties ought to be talking regarding, as well as those that are close to going off of industry or that would be great candidates for acquisition. That's because the phrase "small-cap stock" encompasses a fairly broad spectrum of market capitalizations: Anything with a price between $300,000,000 and $2 billion qualifies.

As a result, the volatility of small-cap stocks might be higher than normal, which is a different term for sudden gains and losses. Investors who can withstand the ups and downs along the way could reap the benefits over a lengthy period of time.

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