the chester's balance sheet has $100,849,000 in equity. further, the company is expecting $3,000,000 in net income next year. assuming no dividends are paid and no stock is issued, what would their book value be next year?

Answers

Answer 1

If the chester's balance sheet has $100,849,000 in equity. further, the company is expecting $3,000,000 in net income next year. assuming no dividends are paid and no stock is issued, their book value  next year is:  $103,849,000.

How to find the book value?

Using this formula to determine their book value

Book value = Equity + Book value next year

Where:

Equity =$100,849,000

Add: Net income next year =$3,000,000

Let plug in the formula

Book value = $100,849,000 +$3,000,000

Book value = $103,849,000

Therefore we can conclude that the book value is the amount of  $103,849,000.

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Related Questions

The cost of capital used in capital budgeting should reflect the average cost of the various sources of investor-supplied funds a firm uses to acquire assets.

a. Trueb. False

Answers

The average cost of the various investor-supplied sources of money that a company utilizes to acquire assets should be reflected in the cost of capital utilized in capital budgeting. This is true.

How does capital budgeting use the cost of capital?

A company's cost of capital is a hypothetical basic discount rate that might be employed in capital budgeting to apply to anticipated future cash flows from a proposed investment project that is being evaluated for approval or rejection.

What does capital cost represent?

The cost of capital is the return a business must obtain to cover the expense of a capital project, such buying new machinery or building a new structure. The cost of capital includes the price of both equity and debt.

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revenues and other operating costs are expected to be constant over the project's 3-year life. what is the project's year 1 cash flow? equipment cost (depreciable basis) $65,000 straight-line depreciation rate 33.333% sales revenues, each year $60,000 operating costs (excl. deprec.) $25,000 tax rate 40.0%

Answers

The project's year 1 cash flow is $29,665.8 as per the given revenue and net income

Operating cash flow is the flow of cash generated from regular operating activities. Operating cash flow could be calculated using a variety of methods, the indirect method adds back non-cash expenses to net income.

We first compute the net income from year 1, which is:

net income = (revenue - cost - depreciation) *(1 - tax rate)

net income = (60,000 - 25,000 - 65,000*33.33%) * (1 - 40%)

net income = 8,001.3

To get operating cash flows, we need to add depreciation back to the net income, i.e.,

operating cash flow = 8,001.3 + 65,000 * 33.33% = 29,665.8

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Which one of the following is a primary component of an internal control system?
a. Monitoring
b. Chain of command
c. Financial pressure
d. Physical controls
e. Bonding

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One of the primary components of an internal control system is monitoring.

Internal control systems are designed to provide reasonable assurance that an organization's objectives are being achieved and that risks are being managed effectively. Monitoring is a key component of this process, as it involves regularly reviewing and evaluating the effectiveness of the internal control system, identifying any areas of weakness or potential improvement, and implementing corrective actions as needed. Other components of an internal control system may include the chain of command, physical controls, and bonding, among others.

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where does the supply chain begin? group of answer choices delivery of raw materials creation of the good or service producer delivery of the good or service to a marketing intermediary

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The supply chain of an organization begins with the delivery of raw materials. Therefore, the option A holds true.

A supply chain can be referred to or considered as a chain that leads to the creation of the supply or products and making them readily available to be purchased by consumers in the open market. The supply chain involves a number of people, which includes, the supplier of raw material, because it is the place where the supply chain begins. Thus, it can be stated that the supply chain begins with the delivery of raw materials.

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what is driving the economy of many low-income sub-saharan countries? (2.5pts) question 10 - what is driving the economy of many low-income sub-saharan countries? raw material exports cheap manufacturing technology export agricultural exports eco-tourism

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Due to a slowdown in global growth, rising inflation, and other factors, Sub-Saharan Africa's economic growth is expected to fall from 4.1% in 2021 to 3.3% in 2022.

Hence, Option C is correct.

The Democratic Republic of the Congo, Burundi, Madagascar, the Central African Republic, and South Sudan all had extreme poverty rates exceeding 70%. South Sudan, the poorest country in Africa, had a rate of over 80%. Some people have done well.

21 out of 25 countries in the low-income group in 2020 were Sub-Saharan African economies, despite the fact that 11 Sub-Saharan African nations had been able to migrate from the low-income category to lower and upper-middle income groups over the previous three decades.

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if the economy is normal, taeana wear stock is expected to return 9.3 percent. if the economy falls into a recession, the stock's return is projected at a negative 6.3 percent. the probability of a normal economy is 74 percent. what is the variance of the returns on this stock?

Answers

The variance of the returns on this stock is 0.004682

(0.093.74) + (-0.063.26) = .05244

0.74(.093-0.05244)^2 + .26(-0.063-0.052)^2

0.004682

Variance is a way to gauge how risky an investment is. Risk is the likelihood that the actual return on investment, or its gain or loss over a certain period, will be higher or lower than anticipated. There is a chance that the investment will lose some, if not all, of its value.

By using variance statistics, investors can arrange their assets in a way that is consistent with how they want to balance risk and possible returns. Since volatility and risk are related, variance can show you what level of risk an investment entails.

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g goodwill is not recognized in accounting unless it is acquired from another business enterprise. group of answer choices true false

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The assertion is accurate. If goodwill is not acquired from another commercial entity, it is not recorded in accounting.

A positive relationship between an organization and its customers fosters goodwill. It occurs when earnings increase above average earnings due to a company's high reputation, skilled employees, and other factors.

Another name for goodwill is an intangible asset connected to the purchase of one business by another. When the acquisition price is greater than the total value of all tangible and intangible assets obtained while in possession, this is known as goodwill.

By deducting the difference between the fair market value of the company's assets and liabilities from its purchase price, goodwill is computed. Companies must at least annually examine the goodwill value on their financial statements and record any impairment.

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In the short run, however, most economists believe that real and nominal variables are intertwined. Economists use the model of aggregate demand and aggregate supply to examine the economy's short-run fluctuations around the long-run output level. The following graph shows an incomplete short-run aggregate demand (AD) and aggregate supply (AS) diagram—it needs appropriate labels for the axes and curves. You will identify some of the missing labels in the questions that follow.

The horizontal axis of the aggregate demand and aggregate supply model measures the overall ???.

The aggregate ??? curve shows the quantity of goods and services that firms produce and sell at each price level.

Answers

According to the question, in the short run of economists:

The horizontal axis of the aggregate demand and aggregate supply model measures the overall quantity of output. The aggregate supply curve shows the quantity of goods and services that firms produce and sell at each price level.

What do you mean by the aggregate demand and supply?

The total quantity of demand for all finished products and services generated in an economy is measured as aggregate demand.

The total amount of money spent on those goods and services at a particular price level and time is known as aggregate demand.

The whole supply of products and services produced within an economy at a specific overall price over a specific time period is known as aggregate supply, also known as total output.

The amount that businesses are willing to create and the amount that customers are willing to demand at a particular price point are expressed as aggregate supply and aggregate demand.

Therefore, according to the question, in the short run of economists:

The horizontal axis of the aggregate demand and aggregate supply model measures the overall quantity of output. The aggregate supply curve shows the quantity of goods and services that firms produce and sell at each price level.

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a media planner is making placement decisions for a new line of cosmetics. she focuses on ten different cities in the country where the purchase size of the products is high. this is an example of:

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A media planner is making placement decisions for a new line of cosmetics. She focuses on ten different cities in the country where the purchase size of the products is high. This is an example of Geo-targeting.

What is Geo-targeting?

Geo-targeting is the process of providing localized or location-relevant content to website visitors based on their geographic location. Geo-targeting is frequently used by internet businesses to improve each visitor's onsite experience or for offsite digital marketing goals.

Audience targeting, location targeting, and weather targeting are the three categories of geo-targeting.

Geotargeting advertising allows you to display adverts based on customers' actual locations when they consent to location services for mobile apps (like a retail or restaurant app). For instance, if you own a fast service restaurant or a clothes store, you can advertise to target customers who are nearby and entice them to come in. In a word, geotargeting aids marketers in developing more pertinent, customized marketing for customers, increasing engagement.

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if advertising reduces a consumer's price sensitivity between identical goods, it is likely to a. increase the elasticity of demand for differentiated products. b. reduce competition and reduce social welfare. c. encourage the consumption of all homogenous goods. d. enhance competition and encourage more product diversity.

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If advertising reduces the price sensitivity of a consumer between identical goods, it is likely to B. 'reduce competition and reduce social welfare'.

Price sensitivity refers to the degree to which demand changes when the cost of a good or service changes. Price sensitivity is generally measured using the price elasticity of demand, which indicates that some consumers would not pay more if a lower-priced option is available.  Price sensitivity is also known as price elasticity of demand which provides a way through which the cost of a good affects consumers' purchasing decisions.

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which type of country is germany? a. global b. core c. semi-peripheral d. peripheral e. none of the above

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Germany is a core country .Hence, option b. core is correct.

The core, semiperipheral, and periphery countries make up the hierarchy of the global economic system, according to Wallerstein.

Core nations (such as the United States, Japan, and Germany) are powerful capitalist nations distinguished by high levels of industrialization and urbanisation.

Germany unified in 1871 and quickly rose to prominence as the continent's top industrial nation. They became a core state because of their desire to rule the continent.

South Korea, Taiwan, Mexico, Brazil, India, Nigeria, and South Africa are examples of semi-peripheral countries that are more developed than peripheral countries but less developed than core countries. They act as a barrier between the core and the periphery of the world.

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the andrews company has just purchased $59,498,000 of plant and equipment that has an estimated useful life of 15 years. the expected salvage value at the end of 15 years is $5,949,800. what will the depreciation expense for this purchase (exclude all other plant and equipment) be for the second year of use? (use fasb gaap)

Answers

The Andrews company spent $59,498,000 for machinery and equipment with a 15-year anticipated useful life. The anticipated salvage value after 15 years is $5,949,800. The depreciation expense for this purchase will be $ 49,797,440.

Depreciation on plant and equipment for the first year = (52976000 - 5297600) / 15 = 47678400 / 15 = $ 3178560.

After the first year, the book value of the plant and equipment = 57976000 - 3178560 = $ 49,797,440.

Depreciation is an accounting method used to allocate the cost of a physical asset over its useful life. Depreciation shows how much of an asset's value has been used. It let the companies earn revenue from the assets they own by paying for them over a certain period of time.

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thermogenesis has been studied the plants in the genus arum, including skunk cabbage and the corpse flower. in these plants, what hypotheses have been provided to explain the reason behind thermogenesis? select all that apply

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All organs produce obligatory thermogenesis, which is a necessary complement to all metabolic processes necessary to keep the body alive.

It includes the amount of energy required to consume, digest, and process food (thermic effect of food).

The thermogenic theory: what is it?

Your metabolism is boosted by certain foods, which cause your body to burn more calories and produce more heat. Thermogenic foods or compounds are those that stimulate metabolism and, as a result, generate more heat. Theoretically, the quicker you lose weight, the more calories burned.

What factors influence thermogenesis?

Fatal cycles, such as the simultaneous occurrence of lipogenesis and lipolysis or glycolysis and gluconeogenesis, contribute to thermogenesis. In a broader sense, activity/rest cycles like the summer matter cycle can have an impact on futile cycles. Muscle metabolism is accelerated by acetylcholine stimulation.

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Full Question = Thermogenesis has been studied the plants in the genus Arum, including skunk cabbage and the corpse flower. In these plants, what biological process is most strongly associated with heat production?

why are importing and exporting considered low risk compared to other international business strategies? give a specific example in comparison to an alternative strategy.

Answers

Importing and exporting are considered low risk compared to other international business strategies because they typically involve fewer risks due to their limited scope.

What is business strategy?

A business strategy is a plan of action designed to achieve a particular goal or set of goals within an organization. It is a comprehensive roadmap of actions and decisions that a business will take to succeed generally, business strategies involve an analysis of the competitive environment, and several of the organization's competitive advantages, and the development of plans to exploit that advantage. The ultimate aim of business strategy is to help an organization gain a competitive advantage and remain competitive in its industry.

Importing and exporting are considered low risk compared to other international business strategies because they typically involve fewer risks due to their limited scope. For example, importing and exporting does not require a company to establish a presence in a foreign country, which can involve a number of legal and regulatory issues. In comparison, an alternative strategy such as setting up a foreign subsidiary or manufacturing plant in a foreign country can involve higher risk due to the complexities of establishing and operating a business in a foreign jurisdiction.

It can be concluded that importing and exporting are considered low risk compared to other international business strategies because they typically involve fewer risks due to their limited scope.

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what is a strategy that requires a bureaucratic-type structure that provides high work specialization and tight controls? lumen

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A bureaucratic organizational strategy requires a type of structure that provides high work specialization and tight controls.

A bureaucratic organization is a government agency or for-profit corporation with strictly adhered-to operating regulations and a rigid line of command. It is a hierarchical administrative system that is used in both public and commercial sector settings.

People frequently compare successful bureaucratic organizations to machines because of how effectively they run. These companies are run by managers who provide orders to departmental teams, who can produce satisfying results by adhering to predetermined workflow patterns.

The clarity that comes from a clearly defined management system is the major advantage of a bureaucratic organizational structure.

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why do you think people spend so much money on their wants despite the financial costs?

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Some people spend a lot of money, because they just think about their actual needs  and don`t create budget. They also don't question whether they can function in life without what they want.

Which is more important to your needs or wants?

You can simplify your budget by following the 50-30-20 rule. It states that 50% and 30% of the budget should be devoted to needs and wants, respectively, and the remaining 20% ​​should be devoted to savings or debt repayment.

The difference between budget needs and wants is relatively simple. Needs are things you need to live a healthy life, and wants are things you wish you had but ultimately don't have.

Why should we put our needs before our wants?

Knowing what you need and want is essential in managing your finances. Categorizing your needs into your wants helps you track your spending and invest your extra money wisely. It also helps you cut costs.

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a firm that adopts a flexible short-term financial policy is more likely to have: multiple choice lower carrying costs than shortage costs. lower shortage costs than carrying costs. stricter limits on credit sales than the average firm. a relatively low level of current assets. greater short-term financing needs than if the firm adopted a restrictive policy.

Answers

A firm that adopts a flexible short-term financial policy is more likely to have lower carrying costs than shortage costs. A is the best option.

A set of rules known as financial policy has been put in place to ensure that organizations have the right management and control systems for their payment and receipt systems. These processes regulate a company's financial planning and, in most circumstances, give an overview of its financial operations.

When the carrying costs are lower and the shortage costs are higher, flexible short-term financial policy is typically the best option. Shortage costs are expenses spent by an organization when an investment does not generate enough revenue to cover its costs; as a result, the company must fill the gap. An organization must pay carrying expenses in order to keep inventories. Since this strategy is dependent on quick sales, there is typically little inventory on hand, which minimizes the company's carrying cost.

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the crash, inc. has an roe of 12%, a payout ratio of 60%, earnings next year of $8 per share, a required return of 18%, and a current price of $36.36 find the present value of growth opportunities for crash. multiple choice question. -$10.10 -$8.08 -$13.11 -$9.28

Answers

The present value of growth opportunities for crash is -$10.10.

The Present Value of Growth Opportunities (PVGO) is calculated by subtracting the present value of future dividends from the current stock price.

Given the information provided, the present value of future dividends can be calculated as follows:

Earnings/Share * (1 - Payout Ratio) * (1 + Required Return) = Future Dividend/Share

$8 * (1 - 0.60) * (1 + 0.18) = $4.32

The present value of future dividends can then be calculated using the following formula:

Future Dividend/Share * (1 / (1 + Required Return)^Number of Years) = Present Value of Future Dividends

$4.32 * (1 / (1 + 0.18)^1) = $3.59

The Present Value of Growth Opportunities can then be calculated by subtracting the present value of future dividends from the current stock price:

Current Stock Price - Present Value of Future Dividends = Present Value of Growth Opportunities

$36.36 - $3.59 = $32.77

Therefore, the Present Value

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a majority of economists believe that in the long run, real economic variables and nominal economic variables behave independently of one another.

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The statement means that changes in the nominal value of a good or service do not necessarily have a corresponding effect on real economic variables, such as:

EmploymentWagesProduction

Real and Nominal Economic Variables: Behavior in the Long Run

In the long run, economists believe that the nominal value of a good or service is not necessarily indicative of changes in real economic variables. This means that changes in the nominal value of a good or service, such as an increase in the cost of living, do not necessarily lead to a corresponding increase in employment, wages, and production.

Instead, economists believe that these real economic variables are determined by other factors, such as the availability of resources, technology, and consumer demand. Therefore, although the nominal value of a good or service may fluctuate, the real economic variables can remain stable over the long run.

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a company had a market price of $38.90 per share, earnings per share of $1.95, and dividends per share of $1.10. its price-earnings ratio equals:

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Its price-earnings ratio equals is $19.9

What is a price-earnings ratio?

Cost to Income Price-to-Earnings Ratio The level was significantly how much a stock is worth in relation to EPS. Another of the more well valuation metrics is the PE rate. It indicates whether such a company is pricey or inexpensive at the present market price.

The ratio of Cost to Sales to Profitability The numerous calculates the value of a stock in connection to its EPS. The PE ratio is one of the most popular stock valuation indicators. It shows if a stock is overpriced or affordable at the current market price.

The formula that will be used will be:

Price Earnings Ratio:= Stock Price per Share / Earnings per Share

$38.90 / $1.95

= 19.9

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dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. what is the cost of the automobile? (pv of $1, fv

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Dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. The cost of the automobile is $22,917.34

The cost of the automobile can be calculate as follows:

Monthly Payment = (Cost of automobile - down payment)* interest

interest = [i/12]/[1-(1+i/12)⁻ⁿ] = [0.12/12]/[1-(1+0.12/12)⁻⁴⁰] = 0.03046

where

i is annual rate

n is long monthly payments

Therefore,

Monthly Payment = (Cost of automobile - down payment)* interest

500 = (C-6,500)*0.03046

C-6,500 = 500/0.03046 = 16,417.34

C = 22,917.34

The cost of the automobile was $22,917.34

your question is incomplete but most probably the full question was

dave krug finances a new automobile by paying $6,500 cash and agreeing to make 40 monthly payments of $500 each, the first payment to be made one month after the purchase. the loan bears interest at an annual rate of 12%. what is the cost of the automobile? PV of $1, FV of $1, PVA of $1, and FVA of $1) (Use appropriate factor(s) from the tables provided. Round PVA factor to 4 decimal places.)

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a company produces three types of shoes, formal, casual, and athletic, at its two factories; factory i and factory ii. the company must produce at least 6000 pairs of formal shoes, 8000 pairs of casual shoes, and 9000 pairs of athletic shoes. daily production of each factory for each type of shoe isoperating factory i costs $1500 per day and it costs $2000 per day to operate factory ii. what is the minimum cost to operate both factories? round your answer to the nearest whole number. do not include a dollar sign or comma in your answer.

Answers

Answer:

100000

Explanation:

Let x be the days Factory I operates and let y be the days Factory II operates. Since we are trying to minimize cost, our objective function represents the total cost from operating Factory I and Factory II. This function is defined by

C(x,y)=1500x+2000y

The first constraint is that the company must produce at least 6000 pairs of formal shoes and we know that Factory I and Factory II each produce 100 formal shoes. This translates into the following inequality.

100x+100y≥6000

The second constraint is that the company must produce 8000 pairs of casual shoes and we know that Factory I produces 100 casual shoes and Factory II produces 200 casual shoes. This translates into the following inequality.

100x+200y≥8000

The third constraint is that the company must produces 9000 pairs of athletic shoes and we know that Factory I produces 300 athletic shoes while Factory II produces 100 athletic shoes. This translates into the following inequality.

300x+100y≥9000

The fact that x and y must be positive numbers is represented by the following two constraints:

x≥0,y≥0

Using all of this information, our problem is as follows.

Minimize: C(x,y)=1500x+2000y

Subject to: 100x+100y≥6000

100x+200y≥8000

300x+100y≥9000

x≥0

y≥0

The point (40,20) gives lowest cost: $100,000 .

a mechanic took out a mortgage from a bank to buy the garage he and his employees work out of. how would this be listed on a balance sheet?

Answers

A mechanic took out a mortgage from a bank to buy the garage he and his employees work out of. This be listed on a balance sheet as a long-term liabilities.

An accounting document known as a balance sheet lists a company's assets, liabilities, and shareholder ownership. One of the three primary financial statements that are used to analyze a corporation is the balance sheet. It offers a picture of a company's financial situation as of the publishing date, including what it owns and owes.

A balance sheet provides you with a momentary glimpse of your company's financial situation. A balance sheet may assist business owners in assessing the financial health of their organization along with an income statement and a cash flow statement.

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unfavorable condition in revenues occurs when actual figures exceed budgeted figures, and vice versa. group of answer choices true false

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The given statement is false. The organization gains from the budget variation when real revenue or expenses surpass or fall short of the budget.

A budget variation is the disparity between the baseline or planned amount of an expense or revenue and its actual amount.  It is occasionally possible to refer to the difference between actual assets and liabilities and budgeted assets and liabilities as the budget variance.

The baseline against which actual achievements are judged is frequently unreasonably low due to flawed assumptions or inappropriate budgeting (such as utilizing politics to establish an exceptionally simple budget objective).

By simply combining budget line items, it is possible to minimize some budget variations. For instance, the two line items might be consolidated for reporting purposes into a utilities line item with a net positive variance of $1,000 if there is a negative power budget variance of $2,000 and a positive telephone expense budget variance of $3,000.

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to some marketers and company executives, the only measure that should be used to evaluate marketing is:

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To some marketers and company executives, the only measure that should be used to evaluate marketing is sales.

Sales are actions involving the exchange of products or the quantity of merchandise exchanged over a predetermined period of time. A service that is rendered for a charge is also included in a sale.

The term "sales" is used to describe all actions taken to sell a good or service to a customer or business. However, in actuality, it symbolizes much more. To close a sale successfully, a lot of work must be put into finding prospects, developing relationships, and offering consumers solutions.

Marketing metrics show how well marketing efforts adhere to important performance criteria and evaluate their effectiveness (KPIs). Without them, marketing teams would be unable to assess the success of their marketing strategy. They are among the most important elements of every campaign.

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True/False. Write a liability is a probable future payment of assets or services that a company is presently obligated to make as a result of past transactions or events.

Answers

The given statement is true. What a person or business owes is known as a liability, and the amount owed is typically monetary.

Over time, liabilities are resolved by the transmission of economic advantages like money, products, or services. Liabilities are items that are recorded on the left side of a balance sheet and consist of debts such as mortgages, accounts payable, loans, deferred revenue, warranties, bonds, and accrued expenses. Liabilities and assets can be compared. Assets are items you own or are owed money for, whereas liabilities are things you owe money for or have borrowed money for.

A liability, in general, is an obligation between two parties that hasn't been fulfilled or paid for. A financial liability is an obligation in the world of accounting, but it is more specifically characterised by previous business transactions, events, sales, exchanges of goods or services, or anything else that will generate income in the future. Non-current liabilities are typically viewed as long-term obligations because they are anticipated to last more than a year (12 months or greater).

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Earnings per share is most useful in comparing earnings performance of one company with another.a. Trueb. False

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Earnings per share are most useful in comparing the earnings performance of one company with another is False.

Earnings per share is not a useful way to compare the earnings performance of one company to another, as there are large differences in the number of shares outstanding between companies. Value stocks are stocks that are highly valued relative to their current earnings.

Earnings per share are computed as net income available to common shareholders divided by the weighted average number of common shares outstanding. Preferred dividends must be deducted from net income as this amount is not available to common shareholders. EPS is not a good measure of performance because it does not consider the opportunity cost of capital and can be manipulated by short-term actions.

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if the average product for six workers is fifteen and the marginal product of the seventh worker is eighteen, then marginal product is rising. marginal product is falling. average product is rising. average product is falling.

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if the average product for six workers is fifteen and the marginal product of the seventh worker is eighteen, then the average product is rising.

Marginal product is the pace of progress of total product. Subsequently, average product can rise if the expansion to total product is more noteworthy than average product. This implies that the average product can rise assuming the marginal product is over the average product.

At the point when the marginal product is over the average product, the average product is rising. At the point when the marginal product is underneath the average product, the average product is falling.

If the marginal product of labor, MPL, is more noteworthy than the average product of labor, APL, then, at that point, each extra unit of labor is more productive than the average of the past units. Subsequently, by adding the last unit, the general average increments.

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a company purchased a weaving machine for $231,450. the machine has a useful life of 8 years and a salvage value of $12,500. it is estimated that the machine could produce 755,000 bolts of woven fabric over its useful life. in the first year, 107,500 bolts were produced. in the second year, production increased to 111,500 units. using the units-of-production method, what is the amount of depreciation expense that should be recorded for the second year?

Answers

Calculation of depreciation fee per unit:

Depreciation per unit=Cost of machine−Residual value/Estimated manufacturing units

=$231,450−$12,500/755,000

=$0.29

Therefore, the depreciation per unit is calculated as 0.29 per unit.

Calculation of depreciation that will be in the second year:

Depreciation of second years=Production of 2nd years×depreciation per unit

=111,500×$0.29

=$ 32,335

Therefore, the depreciation of $32,335 that will be in the 2nd year.

Depreciation expense for a given year is calculated by dividing the original cost of the equipment less its salvage value, by the expected number of units the asset should produce given its useful life. Then, multiply that quotient by the number of units (U) used during the current year.

How do you calculate depreciation per unit?

The devices of production depreciation method is: Depreciation Expense = Unit Production Rate x Units Produced. To locate the unit manufacturing rate, you should be aware of the original value of the asset, its predicted salvage value, and how many devices the asset is expected to produce over its lifetime.

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___ consists of all the activities concerned with obtaining money and using it effectively.

Answers

Financial management encompasses all activities that include obtaining and effectively using financial resources.

What does the term "financial management" mean?

Simply expressed, financial management is the field of industry that is concerned with distributing the cash resources that are already available in order to maximize firm profit margin and return on invested (ROI).Financial management professionals plan, coordinate, and manage all corporate transactions.

What acts as the main goal of financial management?

The main objective of financial management is to keep an agency's finances under control in a way that guarantees both corporate success and legal compliance. The method calls for extensive planning and successful execution. When done correctly, businesses grow their revenues and profits.

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