gilliam industries records revenue of $6.4 million for an accounting period. in that same accounting period, they have a beginning balance of $392,000 and an ending balance of $439,000 in the accounts receivable account. how should the cash flows from operating activities be adjusted to account for these items? why? assume gilliam uses the indirect method.

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Answer 1

Gilliam industries facts sales of $ 6.4 million to have the coins flow the use of the indirect technique, Gilliam will best have to regulate for the alternate in debts Receivable, ensuing in a $47,000 decrease in cash flows from operating activities.

The time period coins go with the flow refers to the net amount of cash and coins equivalents being transferred inside and out of an organization. cash acquired represents inflows, whilst cash flow represents outflows.

Calculate free coins glide, add our internet income and non-coins costs, then subtract your alternate in running capital and capital expenditure. loose cash float = internet profits + Non-cash prices - trade in operating Capital - Capital Expenditure.

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during most of the 1900s, the de beers group of south africa was viewed as a monopoly because it controlled a large percentage of diamond production and sales.

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Because de-Beers controlled a significant portion of diamond production and sales, the de Beers organization of South Africa was perceived as a monopoly.

What is De Beers?

An international firm called De-Beers Group is focused on the mining, exploitation, retail, trading, and production of industrial diamonds. The company engages in large-scale, open-pit soil and coastal mining. Mining is done in Botswana, Namibia, South Africa, Canada, and Australia, among the 35 nations where it works.

Further it renowned as one of the major manufacturer & seller of diamonds which restricts competitors from producing the diamonds often referred to a monopoly.

A monopoly has the authority to determine prices and restricts competitors' access to the market. A single seller who has total control over an item or service constitutes a monopoly in a market structure.

Thus De-Beers can be consider as monopoly.

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lego took advantage of a poor u.s. exchange rate and took an opportunity to grow european and asian markets. to what kind of change did they respond?

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Economic change is the kind of change did they respond.

What is meant by the exchange rate?The rate at which one currency will be exchanged for another is known as the exchange rate. Some exchange rates are linked or locked to the value of a particular country's currency, however most exchange rates are floating and will increase or decrease depending on market supply and demand.In other words, the exchange rate is the cost of one currency relative to another. In the foreign exchange market, one dollar can be traded for 120 yen, for instance, if the exchange rate between the U.S. dollar (USD) and the Japanese yen (JPY) is 120 yen per dollar.The rate at which one currency will be exchanged for another is known as the exchange rate in the world of finance. Most often, currencies are national ones, but they can also be supra-national ones like the euro or sub-national ones like Hong Kong.

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a firm needs to ship 7 high-end computers worth $5000 each across the country. the cost to ship all of them by air and then final delivery by truck is $1000 from a 3pl. the combined air/truck shipment will take 3 days. the firm uses an in-transit holding cost of 0.22 of product value annually. if we assume 365 days per year, what is the total shipping and transit inventory cost of the shipment? (please round your answer to the nearest whole number) numeric response

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The total shipping and the transit inventory cost of shipment is $1100.

What is an inventory?

Inventory, often known as stock, refers to the goods and materials that a corporation keeps on hand with the aim to sell, produce, or use them. The basic goal of inventory management is to define the dimensions, configuration, and location of stocked goods. By widely defining work in process (or work in progress) as "any work which is or has occurred prior to the completion of production," the term inventory has been extended beyond manufacturing systems to service businesses and projects. The term "inventory" in the context of a manufacturing production system refers to everyone completed work, including raw materials, products that have partially finished, finished items that have yet to be sold, and finished goods which have left the manufacturing system.

Total cost=$5000*0.22=$1100

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in which of the following market structures is(are) there a large number of sellers? (i) monopolistic competition (ii) perfect competition (iii) oligopoly a. (i), (ii), and (iii) b. (ii) only c. (i) and (ii) only d. (ii) and (iii) only

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In monopolistic competition structures  there are large number of sellers.

Option (i) is correct answer.

Monopolies can result in large economies of scale. A business enterprise that holds a monopoly on a certain form of product can be able to produce mass quantities of that product at lower charges consistent with unit. relying at the ethics of the company, those low prices may be passed alongside to the consumer.

Monopolistic opposition is a type of imperfect opposition such that there are numerous producers competing against every other, however selling merchandise which can be differentiated from each other and hence aren't best substitutes

Monopolistic opposition exists whilst many businesses offer competing services or products which might be comparable, but no longer best, substitutes. The obstacles to access in a monopolistic competitive industry are low, and the decisions of any person company do now not at once affect its competition.

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in the years preceding the great recession, there were three types of accommodative home loans programs for borrowers unable to qualify for standard home loans. the type that showed the least evidence of failure was:

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The overall economy is strengthening, employment is expanding quickly, and housing and space are in higher demand. The people will begin to rebuild faith in the economy throughout the expansion phase.

The house that was bought with the money from the mortgage frequently serves as the collateral for loans. In order to recoup its losses on the loan, the lender may seize the goods or home specified as collateral if the borrower fails to make loan payments.

A sort of readvanceable mortgage is a collateral mortgage, which allows you to borrow additional money as you pay down your loan or if the value of your home increases. Your home equity will be used as security by your lender against your line of credit in order to accomplish this.

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the unearned revenue is the amount of cash received for services to be rendered in january 2017. interest payable will be paid on february 5, 2017. what are the total long-term liabilities shown on the balance sheet? $5,000 $21,000 $1,300 $5,400

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Total long-term liabilities is option B - $21,000. The unearned revenue is the amount of cash received for services to be rendered .

Unearned revenue is money a person or business gets for a service or product that hasn't been delivered or provided yet. It can be described as a "prepayment" for goods or services that a person or business promises to provide to a customer in the future. The seller is responsible for the full amount of the revenue earned until the product or service is delivered as a result of this prepayment. This obligation is noted under current liabilities, as being settled in no less than a year is normal. The initial entry is a debit to the cash account and a credit to the unearned revenue account because unearned revenue is a liability for the recipient of the payment. The balance in the unearned revenue account is debited as a company earns revenue, while the balance in the revenue account is credit. On the balance sheet, the unearned revenue account is typically listed as a current liability.

Revenues and profits would initially be overstated and then understated for the additional periods during which they should have been recognized if a company did not deal with unearned revenue in this manner and instead recognized it all at once. Since revenues are recognized immediately while related expenses are not until later periods, this also breaks the matching principle.

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a performance-rating error in which the appraiser tends to give employees either unusually high or unusually low ratings is referred to as a: a. recency error b. error of central tendency c. leniency or strictness error d. halo error

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A performance-rating error in which the appraiser tends to give employees either unusually high or unusually low ratings is referred to as leniency or strictness error.

Rating Errors: Rating errors are defined as positive or negative variances in performance appraisal ratings that impair the accuracy of the appraisal.

Here are some of the most typical Rating errors:

i) First Impression Error: This mistake happens when a management makes an initial judgment about an employee that they then use to make subsequent judgments about that person. The primary or primacy effect is another name for it.

ii) The Halo Effect: It happens when a rater places an excessive amount of weight on one performance aspect while assigning the same ratings to all other performance factors.

iii) Strictness or Leniency: Different managers give the same ratings to their employees, either low or high. These are referred to as strictness or leniency mistakes.

iv) Central Tendency Bias: Some managers take the safe route by ranking all of the staff on a scale of one to five. It could be done with the intention of avoiding the requirement for accurate scoring across two ends.

v) Recency Bias: Recent behavior often outperforms overall performance. Most people have a limited memory.

vi) Stereotyping: Stereotyping is the process of forming an unfounded generalization about a group's members' traits. The ability of a manager to make wise decisions is hampered by this.

vii) Contrast Effect: According to the contrast effect, comparing the highest or lowest value will exaggerate the difference.

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a company requires 1800000 in sales to meet its net income target its contribution margin is 50% and fixed costs are 3000000 what is the company's target net income

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The company's target net income is $60,000.

Sales to meet its net income target = (Fixed costs + Target Net Income (x)) / Contribution Margin Ratio

$1,80,0000 = ($300,000 + x) / .50;

$1,80,0000 ×2 = ($300,000 + x)

$3,60,000 = $300,000 + x

x = $60,000

x = $60,000(Sales to meet its net income target = (Fixed costs + Target Net Income (x)) / Contribution Margin Ratio) is $60,000

Contribution is the range of profits final in the end direct costs had been subtracted from sales. This the rest is the quantity available to pay for any constant charges that an enterprise incurs in the course of a reporting duration. Any excess contribution over fixed prices equals the profit earned.

it's far an accounting term that allows enterprise proprietors and executives to music product profitability. The contribution margin is essential to recognize as it indicates how a whole lot of a product's revenue is to be had to cover constant costs and make a contribution to the company's earnings. The difference, therefore, between contribution and earnings is that contribution shows the distinction between the income fee and variable costs for unique products. This then contributes to the constant charges and is going towards the profit of the business.

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which of the following has been of greatest concern of employees with the investment management firms of their 401(k)? a. investment manager taking on much more risk than stated in the prospectus b. investment manager not getting a steady return on the aggressive growth choice c. high management fees eating up much of the returns over the years d. large employers raiding the pension fund

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Investment manager not getting a steady return on the aggressive growth choice.

Are funds that invest in aggressive growth a wise choice?

For investors ready to take on a little bit more risk, aggressive growth funds are recognized in the market as providing above average returns. By investing more heavily in companies they assess as having strong growth prospects, they are likely to beat traditional growth funds.

Which investing principle comes first?

The real estate investing 1% rule compares the cost of the investment property to the projected gross income. The monthly rent of a prospective investment must be equal to or greater than 1% of the acquisition price in order for it to pass the 1% rule.

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consider a 5-year bond with a 10% coupon that has a present yield to maturity of 8%. if interest rates remain constant, one year from now the price of this bond will be a. higher b. lower c. the same d. $1,000

Answers

Lower.

The value of the bond will decrease in value when yield to maturity is lower than the coupon rate.

The yield to maturity is the estimated periodic rate of return for a bond assuming that the investor holds the asset until its maturity date and reinvests the payments at the same rate.

The pasteboard rate is the periodic pay an investor can hope to get while holding a particular bond.

At the time it's bought, a bond's yield to maturity and its pasteboard rate are the same.

As financial circumstances change, investors may demand the bond enough much. As the cost of the bond changes, the yield to maturity of the bond will conversely change.

still bonds may be issued with variable rates attached to LIBOR, utmost bonds are issued with a fixed rate, causing the pasteboard rate and yield to frequently be unique.

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a firm has the least amount of control over external causes of​ supply-chain dynamics. external causes include

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A firm has the least amount of control over external causes of​ supply-chain dynamics External causes include expected changes in customer demand.

Now, According to the question:

What Is Supply Chain Management?

Supply chain management (SCM) is oversight and control of all the activities required for a company to convert raw materials into finished products that are then sold to end-users.

SCM provides centralized control for the planning, design, manufacturing, inventory, and distribution phases required to produce and sell a company's products.

A goal of supply chain management is to improve efficiency by coordinating the efforts of the various entities in the supply chain. This can result in a company achieving a competitive advantage over its rivals and enhancing the quality of the products it produces, both of which can lead to increased sales and revenue.

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which of the following shifts the short-run aggregate supply curve right? question 4 options: (a) an increase in the expected price level, but not (b) an increase in the price level greater than expected. both (a) an increase in the price level greater than expected and (b) an increase in the expected price level. (a) a decrease in the price level less than expected and (b) an increase in the expected price level. (a) an increase in the price level greater than expected, but not (b) an increase in the expected price level.

Answers

A decrease in the expected price level shifts the short-run aggregate supply curve right.

What causes a right-hand shift in the aggregate supply curve over the short term?

In order to achieve a mix of lower inflation, more production, and reduced unemployment, the aggregate supply curve shifts to the right as productivity rises or the cost of essential inputs decreases.

What alters the aggregate supply line in the short term?

We move along the SRAS curve as the price level changes and enterprises increase output in response. However, the SRAS curve will be shifted by any adjustment that alters production at every potential price level. These kinds of occurrences are referred to as "shocks" since they are unanticipated.

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what would be a way for the federal reserve to slow down the economy when it is growing too quickly or is inflationary?

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One way through which the Federal Reserve can slow down the economy when it's growing too quickly is through b. buy back government bonds on the open market.

Open market operations are one method the Federal Reserve uses to slow down the economy when it is expanding too quickly. The Federal Reserve has the option to sell additional government bonds on the open market, which would reduce the amount of money in circulation and raise interest rates.

In order to keep the federal funds rate, which is the interest rate at which depository institutions lend reserve balances to other depository institutions overnight, close to the target set by the FOMC before the global financial crisis, the Federal Reserve used OMOs to modify the supply of reserve balances.

After the financial crisis, the Federal Reserve's strategy for carrying out monetary policy has undergone significant change. This is especially true since late 2008, when the FOMC adopted a target range for the federal funds rate that was almost zero.

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Correct question:

What would be a way for the Federal Reserve to slow down the economy when it is growing too quickly or is inflationary?

a. print more money

b. buy back government bonds on the open market

c. sell more government bonds

d. encourage the stock market

If diamond, a corporate recruiter, wants to selectively recruit passive job candidates, she should utilize the linkedin social media network.
a. True
b. False

Answers

False
I think I just need points

the process of giving all employees in the organization, regardless of their level of management, the authority to make decisions and to be responsible for their outcomes is known as:

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Leadership is the practice of granting all employees in the company, regardless of their level of management, the power to make decisions and be accountable for their results.

The ability of a person, group, or organization to "lead," influence, or direct other people, groups, or entire organisations is referred to as leadership, both as a field of study and as a practical talent. The term "leadership" is frequently seen as a contentious one. Expert literature debates many points of view on the subject, occasionally contrasting Eastern and Western theories of leadership as well as North American and European theories. Leadership is "a process of social influence in which a person can enlist the aid and support of others in the fulfilment of a common and ethical purpose," according to academic contexts in the United States. In essence, leadership may be described as a powerful relationship in which the influence of one person encourages others to move or change Several people have questioned the more conventional managing.

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An important difference between the situation faced by a profit-maximizing competitive price-searcher firm in the short run and the situation faced by that same firm in the long run is that in the short run: a. price may exceed marginal revenue, but in the long run, price will equal marginal revenue. b. price may exceed marginal cost, but in the long run, price will equal marginal cost. c. price may exceed average total cost, but in the long run, price will equal average total cost. d. there are many firms in the market, but in the long run, there are only a few firms in the market.

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An important difference between the situation faced by a profit-maximizing price-searcher firm in the short run and the situation faced by that same firm, in the long run, is that in the short run: a. price may exceed marginal revenue, but in the long run, the price will equal marginal revenue.

Marginal revenue is the boom in revenue that results from the sale of one additional unit of output. at the same time as marginal sales can remain regular over a sure stage of output, it follows from the law of diminishing returns and could sooner or later sluggish down because the output level will increase.

To calculate the marginal revenue, an employer divides the change in its total revenue by the change of its overall output amount. Marginal revenue is equal to the selling rate of a single extra item that turned into offered. below is the marginal revenue formula: Marginal sales = exchange in revenue/exchange in amount. To calculate marginal revenue, you're taking the entire exchange in sales and then dividing that by way of the change in the range of units bought. The marginal revenue system is marginal revenue = alternate in total sales/trade-in output.

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the deadweight loss that arises from a monopoly is a consequence of the fact that the monopoly a. quantity is lower than the socially-optimal quantity. b. price is the same as average revenue. c. price equals marginal revenue. d. earns positive profits. 1 points save answer

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A monopoly's deadweight loss results from the fact that the a. quantity is less than the number that would be best for society.

Deadweight loss is the societal benefit that is forfeited when a monopolist operates at its output/price configuration that maximizes profit. By producing less output and charging more for it than a competitive market would, monopolies incur a deadweight loss.

The loss of overall welfare or the social surplus as a result of factors such as taxes or subsidies, price ceilings or floors, externalities, and monopoly pricing is known as "deadweight loss."

Monopoly pricing results in a deadweight cost for the company since it forgoes consumer exchanges. The potential advantages that were not realized by the manufacturer or the customer are known as a deadweight loss.

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the amortization schedule for a bond issued at a discount has a carrying value that increases over time.a. trueb. false

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It is true that the amortization schedule for a bond issued at a discount has a carrying value that increases over time.

What is an amortization schedule, exactly?

A loan's whole amortization period is listed in a document called an amortization schedule. The schedule divides the expenses into principle, interest, total interest, and the remaining balance of the loan. A complete summary of all payments and their due dates throughout the whole term of a loan is called an amortization schedule. It contains the entire loan sum, a set interest rate, and the length of the loan. The schedule outlines the primary debt, which is the total sum you borrowed initially, interest, which is the fee a lender or other lending institution charges, and the outstanding balance after each payment.

How Does Carrying Value Work?

Carrying value is a type of value measure in accounting where the worth of a firm or asset is determined by the numbers on the balance sheet of the relevant company. Carrying cost is computed as follows for tangible assets like equipment or computer hardware: (original cost - accumulated depreciation).

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how would the selling price of hte bond be determined specificy how all items related to teh bonds would be presented in a balance sheet prepared immediately after the bond issue was sold

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By applying a discount rate to the predicted cash flows, one may calculate the price of a bond. The time to maturity, credit quality, and supply and demand are the three main factors that affect the price of bonds on the open market.

The balance sheet's liabilities section contains the "Bonds Payable" line item. Bonds payable are seen as liabilities since they are financial instruments that foresee future cash outflows, such as interest costs and principal repayment. Bonds payable is a liability account that holds the sum that the issuer owes bondholders. Since bonds often mature over a longer period of time than a year, this account is typically seen in the long-term liabilities area of the balance sheet.  plus the discounted value of the interest payments due every two years. 

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Identify each action by the fed as expanding the money supply, shrinking it, or neither.
a. The Fed sells Treasury bonds to investors. b. The Fed buys mortgage-backed securities. c. The Fed lends money to struggling banks. d. The Fed regulates banks to ensure stability.

Answers

The actions of the Fed that would expand money supply are:

The Fed buys mortgage-backed securities.

The Fed lends money to struggling banks.

The action of the Fed that would contract money supply is:

The Fed sells Treasury bonds to investors.

The action that would have no effect on money supply is:

The Fed regulates banks to ensure stability.

What affects money supply?

Policy actions taken by the Fed (the Central Bank of the United States) to increase money supply are known as monetary policies.

The policies that increase money supply are known as expansionary polices. Expansionary policies include buying bonds or securities to the bank and reduce interest rate.

The policies that decrease money supply are known as contractionary policies. Contractionary policies include selling bonds or securities to banks and increasing the interest rates.

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What gives Congress the power to raise taxes?

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The U.S.Constitution.

adam's surfboard factory is making positive economic profits. if the price of a surfboard is $900, adam's output is 300 surfboards per month, and his monthly average cost is $700, what is his monthly profit? $60,000 $270,000 $210,000 $200

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$200 is his monthly profit. The plot is revealed in reverse order using the narrative structure and storytelling technique known as reverse chronology.

This method is used in stories where the opening scene really serves as the resolution of the story. Place your most recent or current position at the top. then proceed with the preceding ones. The reverse-chronological resume sequence operates in this manner. For each position you profit, list the dates you held it as well as your job title and the name of the company. List all of your degrees, from college onward, in reverse chronological order, along with the institution they were earned from and the date they were granted.

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monopolistically competitive firms are likely to have ______________ prices in the long run than will occur in a perfectly competitive industry producing similar goods.

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monopolistically competitive firms are likely to have lower prices in the long run than will occur in a perfectly competitive industry producing similar goods.

Long-term economic gains or losses in monopolistic competition will be removed by entry or leave, leaving businesses with no economic gains.

There will be some excess capacity in a monopolistically competitive business; this may be seen as the price paid for the variety of products that this market structure brings about.

Businesses in monopolistic competition continue to produce at a level where marginal cost and marginal income are equal over the long term. But when more businesses enter the market, the demand curve will have moved to the left.

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What is absolute advantage in international trade?

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A producer has an absolute advantage over its rivals when it can create a good or service in a higher volume for the same price, or in the same volume at a cheaper price.

Absolute advantage can be attained by employing fewer inputs or a more effective process to produce the product or service at a lower absolute cost per unit. Adam Smith, an economist from the 18th century, introduced the idea of absolute advantage in his book 'The Wealth of Nations' to explain how nations might profit from trade by specializing in production and exporting the things that they can manufacture more successfully than other nations. Absolute winners can choose to focus on producing and selling a certain commodity or service, then utilize the proceeds to buy goods and services from other nations.

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What is the problem in transition economies?

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The problem in transition economies is excessive use of specialized terms is one of the main the difficulties in translating economic texts.

The transition economy or transitional economy is an economy which is changing from a centrally planned economy to a market economy. Transition economies undergo a set of structural transformations intended to develop market-based institutions.

The  transition economies suffered from a lack of entrepreneurs and entrepreneurship, which make it more difficult to reform their economies and promote market capitalism.

In addition, there was also a skill gap with few workers having the necessary skills required by employers in the newly privatised firms.

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denly company has three products, a, b, and c. the following information is available: product a product b product c sales $60,000 $90,000 $24,000 variable costs 36,000 48,000 15,000 contribution margin 24,000 42,000 9,000 fixed costs: avoidable 9,000 18,000 6,000 unavoidable 6,000 9,000 5,400 operating income $ 9,000 $15,000 $ (2,400) assuming product c is discontinued and the space formerly used to produce product c is rented for $12,000 per year, operating income will:

Answers

Considering that product c is no longer produced and that the space where it was once manufactured, the operating income will be: Product C brings in $3,000 for business earnings.

That which is not operational income?

A company's income that comes from sources unrelated to its primary business operations is said to come from non-operating income. It may also include investment gains or losses, dividend income, gains or losses through currency exchange, and asset write-downs.

What is a satisfactory operating income?

A larger operating margin shows that the company's operations are generating enough revenue to cover all of the costs involved in keeping the business operational. An operating margin of more than 15% is seen as favorable for the majority of businesses.

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What is credit answer?

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Credit is an agreement between a borrower and a lender in which the borrower receives something of value, such as money, goods, or services, in exchange for a promise to repay the lender at a later date, typically with interest.

For example , a person might take out a loan from a bank to purchase a car, agreeing to pay the loan back over a period of time with interest.

The term "credit" can also refer to someone or something's creditworthiness or credit history.

It frequently refers to a bookkeeping item that lowers assets or raises liabilities and equity on a company's balance sheet, according to accountants.

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a video store rents out three classes of movie dvd's - classics, run of the mill and new releases. whenever a new dvd is purchased, it is classified strictly into one of these three categories and nothing else. if this is maintained, the three categories make up a well-defined set of:

Answers

The three categories make up a well-defined set of equivalence classes.

The subset of S that contains all components that are equivalent to one another is referred to as an equivalence class. The term "equivalent" depends on a certain relationship known as an equivalence relation. Any two elements are deemed equivalent if they have an equivalence relation.

A subset of the type x in X:xRa, where an is an element of X and the notation "xRy" denotes an equivalence relation between x and y, is referred to as an equivalence class. The collection of equivalence classes constitutes a partition of X because it can be demonstrated that any two equivalence classes are either equal or disjoint. If a and b are members of the same equivalence class, then we have aRb for all a,b in X.

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computer equipment was acquired at the beginning of the year at a cost of $65,000 that has an estimated residual value of $3,800 and an estimated useful life of 8 years. a. determine the depreciable cost. fill in the blank 1 of 1$ b. determine the straight-line rate. round your answer to one decimal place. fill in the blank 1 of 1 % c. determine the annual straight-line depreciation. fill in the blank 1 of 1$

Answers

The depreciable cost of the computer equipment is $60,000.

What is depreciation?

Depreciation is a term used in accounting to define two different aspects of the same concept: first, the exact decline in an asset's fair value due to use and wear, such as the annual decrease in the worth of factory equipment; and second, the allocating in financial statement of the asset's original cost to the periods during which the asset is used. Business depreciates long-term investments for accounting and tax purposes. Depending on the type of asset and the company, depreciation techniques and time periods for tax reasons may vary. A falling balance, straight line, and fixed percentage method are just a few of the methods that can be used to compute depreciation expense.

Depreciation cost = Acquired value of the equipment - estimated residual value

= $63,000 - $3,000

= $60,000

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vertical analysis of financial statements is accomplished by preparing common-size statements.a. trueb. false

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The following statement "Vertical analysis of financial statements is accomplished by preparing common-size statements" is true.

Financial managers employ a method called common size analysis—also known as vertical analysis—to examine financial accounts. Each line item is expressed as a percentage of the period's base amount to analyze financial statements.

Vertical analysis on an income statement, balance sheet, or cash flow statement can be used to compare a company's financial statements to industry averages, understand the relative importance of each line item to the overall picture, identify significant long-term trends, compare several businesses of different sizes, or compare the proportions of each line item to the total.

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__________ are a part of big data analytics that allow a company the opportunity to analyze location data from mobile phones of employees. true or false: the great diversity in the types of antibodies an individual can produce is largely due to each b cell of that individual being able to express antibodies that can bind to a variety of antigenic epitopes. a corvette, a dinner at the olive garden, and an overnight stay at a hilton hotel all satisfy human needs. therefore, each 3x - 5(x -5) = - 3 + 5x + 7 Allen presents a counterargument involving respect for the flag at the beginning of the editorial. How does this contribute to the structure of his argument? how does he address the counterargument?. Is Hamlet written in iambic pentameter? Which of the following correctly describes this sentence? what is one way that cash flows from investing activities are the opposite of cash flows from financing activities? please help me with this, u dont even have to explain ur answer the bargaining power of a union may be exercised by: a. legal injunction b. lockout or relocation c. striking, picketing, or boycotting d. union merger Match the types of problem-solving strategies with their examples. Imagine you're working in the office during peak receiving a delivery when a client arrives for their tax appointment. At the same time the phone starts ringing and there are three people waiting to be greeted at the front desk.How would you manage this situation? For the player with 450 times at bat, the actual number of hits the player had is approximately how many fewer than the number of hits predicted by the line of best fit?. 1. The cost y of movie tickets varies directlywith the number of tickets x as shown in thegraph. Write a direct variation equation torepresent this relationship. Then identify theconstant of variation and interpret itsmeaning. (Example 1)Movie TicketsCost ($)5648403224168yX0 1 2 3 4 5 6 7 8 9Number of Movie Tickets the scores in an exam were normally distributed with unknown mean and a standard deviation of 5 . if 30.85 % of students scored more than 72.5 . what is the value of the mean? ( round to a whole number consider a dihybrid cross (aabb x aabb). how many offspring would be predicted to be heterozygous for both traits? Which one of the following compound inequalities has no solution?O 3x +1 < 5x + 7 and -2x + 5-5x - 10O 3x - 7 5x +5 and - 4x + 8 < 5x - 1-2x + 9 4x + 3 and 8x9 - 5(x - 2) two simple harmonic oscillators are constructed by attaching similar objects to two different springs. the force constant of the spring on the left is 5 n/m and that of the spring on the right is 4 n/m. if the same force is applied to both, which statement is true? in order to assess the performance of their firms and their supply chains, what do managers need to do to determine the needs of those customers? 100 POINTS BRAINLIEST PICTURE BELOW