You are the auditor of Jexel, an auto air-conditioner service and repair company, and you have decided to use the mean-per-unit method to test the existence and gross valuation of recorded accounts receivable. The client’s records include 11,100 accounts with a total book value of $1,295,000. You decide to use tolerable misstatement of $202,000, an incorrect acceptance risk of 5 percent, and an incorrect rejection risk of 4.6 percent. Using Excel, you estimated the standard deviation of the population as $24. Use Figure 9-8 to obtain the incorrect acceptance and rejection coefficients.Required:a. Determine the sample size.b. Assume you tested the sample and got the following results: The mean audited value of the accounts sampled was $113. Assuming that the standard deviation of the sample’s audited value is also $24, what is the projected misstatement for the population?c. Assuming that the standard deviation of the sample’s audited value is $19, what is the projected misstatement for the population?

Answers

Answer 1

The mean-per-unit method is a commonly used technique to test the existence and gross valuation of recorded accounts receivable. By determining the appropriate sample size and projected misstatement, auditors can estimate the accuracy of the population's financial statements.

a. To determine the sample size using the mean-per-unit method, we can use the formula:

Sample size = [tex]\begin{equation}Z^2 \times \sigma^2 \times \text{Book value} \div \text{Tolerable misstatement}\end{equation}[/tex]

Where Z-score is the value obtained from the table of standard normal distribution for the given incorrect acceptance risk.

Using Excel, we estimated the standard deviation of the population as $24, and the Z-score for an incorrect acceptance risk of 5% is 1.645.

Therefore, the sample size is:

Sample size = [tex]\begin{equation}(1.645)^2 \times $24^2 \times $1,295,000 \div $202,000 = 46.08\end{equation}[/tex]

Rounding up to the nearest whole number, the sample size is 47.

b. To calculate the projected misstatement for the population using the mean-per-unit method, we can use the formula:

Projected misstatement = Sample deviation / Sample mean * Total book value

Where sample deviation is the standard deviation of the sample's audited value, and the sample mean is the mean audited value of the accounts sampled.

In this case, the sample deviation is $24, and the sample mean is $113.

Therefore, the projected misstatement for the population is:

Projected misstatement = $24 / $113 * $1,295,000 = $274,159.29

c. If we assume that the standard deviation of the sample's audited value is $19 instead of $24, the projected misstatement for the population would be:

Projected misstatement = $19 / $113 * $1,295,000 = $218,097.35

The mean-per-unit method is a commonly used technique in auditing to test the existence and gross valuation of recorded accounts receivable. By determining the appropriate sample size based on the tolerable misstatement, incorrect acceptance, and rejection risks, and estimated standard deviation of the population, auditors can project the misstatement for the entire population. It is important to note that the projected misstatement is only an estimate, and there is always a risk of incorrect acceptance or rejection. Therefore, auditors must exercise professional judgment and carefully evaluate the results of their tests to ensure the accuracy of their conclusions.

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Related Questions

under the ucc, the buyer is entitled to consequential damages if the seller could have reasonably foreseen them.
true or false

Answers

True.

Under the Uniform Commercial Code (UCC), which is a set of laws governing commercial transactions in the United States, a buyer may be entitled to recover consequential damages from a seller.

Consequential damages are damages that result from the buyer's reliance on the seller's performance of the contract, but which are not a direct result of the breach itself.

For example, if a seller breaches a contract to deliver goods to a buyer, and as a result, the buyer loses a valuable business opportunity, the buyer may be able to recover the lost profits as consequential damages.

However, in order for consequential damages to be recoverable, the seller must have been aware of the possibility of such damages when the contract was formed or have been notified of them at the time of the breach.

Additionally, the damages must be a foreseeable consequence of the breach and not too remote or speculative.

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Suppose initially that two assets, A and B, will each make a single guaranteed payment of $100 in 1 year. But asset A has a current price of $80 while asset B has a current price of $90. a. What are the rates of return of assets A and B at their current prices? Given these rates of return, which asset should investors buy and which asset should they sell? b. Assume that arbitrage continues until A and B have the same expected rate of return. When arbitrage ends, will A and B have the same price? Next, consider another pair of assets, C and D. Asset C will make a single payment of $150 in 1 year, while D will make a single payment of $200 in 1 year. Assume that the current price of C is $120 and that the current price of D is $180. c. What are the rates of return of assets C and D at their current prices? Given these rates of return, which asset should investors buy and which asset should they sell? d. Assume that arbitrage continues until C and D have the same expected rate of return. When arbitrage ends, will C and D have the same price? Compare your answers to questions a through d before answering question e. e. We know that arbitrage will equalize rates of return. Does it also guarantee to equalize prices? In what situations will it also equalize prices?

Answers

The prices may be different, but their rates of return will equalize. For asset A, the rate of return is (100 - 80) / 80 = 0.25, or 25%For asset B, the rate of return is .(100 - 90) / 90 = 0.1111, or 11.11%.

a. To find the rates of return for assets A and B, we can use the formula: Rate of return = (Future payment - Current price) / Current price. For asset A, the rate of return is (100 - 80) / 80 = 0.25, or 25%. For asset B, the rate of return is (100 - 90) / 90 = 0.1111, or 11.11%. Given these rates of return, investors should buy asset A and sell asset B.

b. Arbitrage will continue until assets A and B have the same expected rate of return. This does not necessarily mean that they will have the same price. The prices may be different, but their rates of return will equalize.

c. For assets C and D, we can use the same formula as before. The rate of return for asset C is (150 - 120) / 120 = 0.25, or 25%. For asset D, the rate of return is (200 - 180) / 180 = 0.1111, or 11.11%. Given these rates of return, investors should buy asset C and sell asset D.

d. Similar to assets A and B, arbitrage will continue until assets C and D have the same expected rate of return, but this does not guarantee that they will have the same price. Their rates of return will equalize, while their prices may remain different.

e. Arbitrage equalizes rates of return, but it does not guarantee to equalize prices. Prices will equalize only in situations where the assets have identical characteristics, such as payment amounts, payment timelines, and risk factors. In other cases, the prices may remain different, but arbitrage ensures that the rates of return are equalized across the assets.

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Working in the field of _____, Juan Gonzales deals with processes for creating, communicating, and delivering value to customers and for improving customer relationships.
promotion
marketing
customer service
customer relations

Answers

Marketing. Marketing is the process of creating, communicating, and delivering value to customers and for improving customer relationships.

It involves understanding customer needs and wants, developing products or services to meet those needs, and promoting and distributing them effectively to targeted customer segments. Marketing also involves building and maintaining customer relationships through effective communication and ongoing engagement. The ultimate goal of marketing is to generate customer satisfaction and loyalty, while achieving business objectives such as increased revenue and profitability. The field of marketing encompasses a wide range of activities, including market research, product development, pricing, promotion, and distribution.

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in 2010, the u.s. government had tax revenues of $2,703 billion and outlays were $3,973 billion. the budget group of answer choices was balanced because every dollar the government spends it must raise. surplus was $2,703 billion. deficit was $1,270 billion. deficit was $3,973 billion. surplus was $1,270 billion.

Answers

In 2010, the U.S. government had tax revenues of $2,703 billion and outlays were $3,973 billion.

This means that the government spent $1,270 billion more than it earned in revenue, resulting in a deficit of $1,270 billion. It is important to note that the budget group of answer choices was not balanced, as the government spent more than it raised in revenue.

A balanced budget occurs when government spending is equal to tax revenues.
It is common for governments to operate with deficits during times of economic recession or crisis, as they may need to increase spending to stimulate the economy or support struggling individuals and businesses.

However, it is also important for governments to work towards reducing deficits and ultimately achieving a balanced budget to maintain long-term economic stability.

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Your pharmacy just ran its inventory. The initial inventory value was $175,500. The ending inventory value was $55,000. What's your pharmacy's average annual inventory?
Select one:
$60,000
$115,250
$120,000
$230,500

Answers

The average inventory would be: Average Annual Inventory is equal to ($175,500 + $55,000) / 2 x 2 = $230,500 Therefore, the answer is $230,500.

To find the average annual inventory, you need to divide the sum of the initial and ending inventory values by 2, and then multiply that result by the number of inventory turnovers per year. The formula is: Average Annual Inventory = (Initial Inventory + Ending Inventory) / 2 x Inventory Turnover We don't have the inventory turnover information, so we can't use the formula.

However, we can calculate the average inventory based on the assumption that the inventory turnover is 2 times per year. This is a reasonable assumption for most retail pharmacies. So, the average inventory would be: Average Annual Inventory = ($175,500 + $55,000) / 2 x 2 = $230,500 Therefore, the answer is $230,500.

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A
20
20​-year bond issue of
4 comma 900 comma 000
4,900,000 and bearing interest at
3.5
3.5​% payable annually is sold to yield
3.65
3.65​% compounded
quarterly
quarterly. What is the issue price of the​ bonds?
Question content area bottom
Part 1
The purchase price of the bond is ​$
enter your response here

Answers

The issue price of the bonds is $6,579,989.45.

The issue price of the bonds can be calculated using the present value formula, which takes into account the future cash flows (interest payments and principal repayment) discounted at the yield rate. The calculation is:

Issue price = (Interest payment x PVIFA) + (Principal payment x PVIF)
[tex]PVIFA = \frac{1 - (1 + r/n)^{-nt}}{(r/n)}[/tex], where r is the annual interest rate, n is the number of compounding periods per year, and t is the number of years
[tex]PVIF = \frac{1}{1 + r/n^{nt}}[/tex]

Plugging in the given values, we get:
r = 3.5%
n = 4 (quarterly compounding)
t = 20
Interest payment = 4,900,000 x 3.5% = 171,500
Principal payment = 4,900,000
Yield rate = 3.65%

[tex]PVIFA = \frac{1 - (1 + 0.035/4)^{-(4\times20)}}{(0.035/4)} = 36.7218[/tex]
[tex]PVIF = \frac{1}{(1 + 0.0365/4)^{(4\times20)}} = 0.5737[/tex]

Issue price
[tex]= (171,500 \times 36.7218) + (4,900,000 \times 0.5737) \\= 6,579,989.45[/tex]

Therefore, the issue price of the bonds is $6,579,989.45.

The purchase price of the bond will depend on the market conditions at the time of purchase. If the bond is bought at the issue price, then the purchase price will also be $6,579,989.45. However, if the bond is bought at a different price, the purchase price will be different.

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Complete Question:
20​-year bond issue of $4,900,000 and bearing interest at 3.5​% payable annually is sold to yield 3.65​% compounded quarterly. What is the issue price of the​ bonds? The purchase price of the bond is ​$____.

"
"Materials handling is concerned with
A. inventory levels.
B. breaking bulk.
C. scheduling trade-offs.
D. short distance movement.

Answers

Out of the options given, materials handling is most closely related to D. short distance movement. Materials handling involves the movement, storage, and control of materials within a facility or warehouse.

This includes transporting materials from one location to another, loading and unloading materials, and organizing materials within a space. Efficient materials handling can improve productivity and reduce costs by minimizing material damage, reducing the time it takes to move materials, and maximizing storage space. Materials handling also plays a crucial role in ensuring workplace safety, as improper handling can result in accidents and injuries.In addition to short distance movement, materials handling also involves the use of various tools and equipment such as forklifts, pallet jacks, and conveyor systems. The selection of materials handling equipment and techniques depends on factors such as the type of material being handled, the distance it needs to be moved, and the layout of the facility.Overall, materials handling is an important aspect of supply chain management and logistics, and efficient materials handling can greatly improve a company's operations.

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as dominique digs into sales and other departmental statistics, she realizes she's not getting a full picture of the aspects of the company that she really needs in order to fully identify the core problems and understand what kinds of changes she should recommend. what kind of dashboard interaction will best help her examine the data from alternate perspectives?

Answers

An interactive dashboard with filtering, comparative analysis, interactive elements, and customizable views helps Dominique gain a comprehensive understanding of the company's data.

To help Dominique examine the data from alternate perspectives and gain a fuller picture of the company, an interactive dashboard with flexible filtering and drill-down capabilities would be beneficial. Here are some key features that can enhance her data exploration experience:

Filtering options: Provide a variety of filters that allow Dominique to narrow down the data based on different criteria. For example, she could filter data by date range, specific departments, regions, or product categories.

Multiple visualizations: Present the data using various visualizations, such as charts, graphs, and tables. Different visual representations can provide different insights and perspectives on the data. For instance, bar charts can compare performance across departments, line charts can show trends over time, and heatmaps can highlight correlations between different variables.

Drill-down capabilities: Allow Dominique to drill down into specific data points or subsets of the data. This feature enables her to explore the details behind the aggregated numbers and uncover potential underlying issues. For example, she could click on a specific department to see the performance of individual team members or click on a specific region to examine the sales breakdown by product.

Comparative analysis: Enable Dominique to compare different aspects of the company side by side. She could compare sales performance across departments, analyze the impact of marketing campaigns on sales, or compare the effectiveness of different product lines.

Interactive elements: Provide interactive elements that allow Dominique to interact with the data directly. For example, she could hover over data points to see detailed information, click on specific elements to filter the data, or use sliders to adjust date ranges.

Customizable views: Allow Dominique to customize the dashboard to suit her specific needs. She could choose which metrics and dimensions to display, rearrange the layout of the dashboard, or save specific views for future reference.

By incorporating these features into the dashboard, Dominique will have the flexibility to explore the data from multiple angles, identify core problems more accurately, and make informed recommendations based on a comprehensive understanding of the company's performance.

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Final answer:

Dominique can use an interactive dashboard to manipulate and explore data in different ways, enabling her to identify core problems and recommend appropriate changes. She can use both numerical and graphical ways to display the data, like pie charts and bar graphs, for alternate perspectives.

Explanation:

For Dominique to examine the data from alternate perspectives, she should utilize an interactive dashboard that enables her to manipulate and explore data in various ways. She can change the time frames, re-categorize data, vary the scale on vertical and horizontal axes, and use both numerical and graphical ways to describe and display the data. This will provide her with different interpretations of the same data set, allowing a more comprehensive understanding of her company's sales and departmental statistics.

For example, she can use pie charts to view the composition of sales and bar graphs to understand trend data. This way, she'll not only see what's happening but also why it's happening, which will enable her to identify core problems and recommend appropriate changes.

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the german brewery bakery purchased bread ovens from new morning bakery. new morning bakery was closing its bakery business and sold its two-year-old ovens at a discount for $692,000. the german brewery incurred and paid freight costs of $31,000, and its employees ran special electrical connections to the ovens at a cost of $4,200. labor costs were $33,800. unfortunately, one of the ovens was damaged during installation, and repairs cost $4,200. the german brewery then consumed $820 of bread dough in testing the ovens. it installed safety guards on the ovens at a cost of $1,420 and placed the machines in operation.

Answers

Amounts not included in the Equipment account should be recorded: The amount of $810 for the bread dough used in testing the ovens should be recorded as an expense in the Testing Expenses account

The amount at which the ovens should be recorded in Great Harvest’s Equipment account is:

Purchase price of ovens = $689,000

Freight costs = $29,500

Special electrical connections = $3,900

Labor costs = $32,300

Repair costs = $3,900

Safety guards = $1,410

Total equipment = $760,410

The amount of $810 for the bread dough used in testing the ovens should be recorded as an expense in the Testing Expenses account. The cost of the safety guards and special electrical connections should be included in the Equipment account, as they were necessary costs incurred to get the ovens ready for operation.

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Complete question:

Great Harvest Bakery purchased bread ovens from New Morning Bakery. New Morning Bakery was closing its bakery business and sold its two-year-old ovens at a discount for $689,000. Great Harvest incurred and paid freight costs of $29,500, and its employees ran special electrical connections to the ovens at a cost of $3,900. Labor costs were $32,300. Unfortunately, one of the ovens was damaged during installation, and repairs cost $3,900. Great Harvest then consumed $810 of bread dough in testing the ovens. It installed safety guards on the ovens at a cost of $1,410 and placed the machines in operation.

Required:

1. Complete the following schedule to show the amount at which the ovens should be recorded in Great Harvest’s Equipment account.

_____________ ___

_____________ ___

Total equipment

2. Indicate where any amounts not included in the Equipment account should be recorded.

Suppose that an investor holds a stock which has a rate of return based on a single-factor model. The model equation can be presented as:
ri = E(ri) + βiF + ei
where F is the unanticipated growth in GDP. The market consensus about the GDP growth rate is 4%. The investor currently expects to earn a 8.4% return. The stock's β value is 1.3.
1. Suppose that after some period of time the macroeconomic news suggest that GDP growth will be 5%, which is higher than the market consensus. What will be the revised estimate of the stock's expected rate of return?
2. What will be the revised estimate of the stock's expected rate of return if the macroeconomic news suggest that GDP will be 2.5%, which is lower than the market expected value?

Answers

a) The revised estimate of the stock's expected rate of return is 9.7%.

b) The revised estimate of the stock's expected rate of return is 6.3%.

a) If the macroeconomic news suggests that GDP growth will be 5%, the revised estimate of the stock's expected rate of return can be calculated as:

ri = E(ri) + βiF + ei

where E(ri) is the expected rate of return before the new information, βi is the stock's beta value, F is the unanticipated growth in GDP, and ei is the stock-specific random error term.

Given that the market consensus about the GDP growth rate is 4%, and the stock's β value is 1.3, the unanticipated growth in GDP is F = 5% - 4% = 1%.

Substituting the values into the equation, we get:

ri = 8.4% + 1.3(1%) + ei

ri = 9.7% + ei

Therefore, the revised estimate of the stock's expected rate of return is 9.7%.

2) If the macroeconomic news suggests that GDP growth will be 2.5%, the revised estimate of the stock's expected rate of return can be calculated as:

ri = E(ri) + βiF + ei

Using the same values as before, the unanticipated growth in GDP is F = 2.5% - 4% = -1.5%.

Substituting the values into the equation, we get:

ri = 8.4% + 1.3(-1.5%) + ei

ri = 6.3% + ei

Therefore, the revised estimate of the stock's expected rate of return is 6.3%.

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An engagement objective is to verify that the correct goods or services are received on time, at the right price, and in the right quantity. Based on this objective, the function to be reviewed is the _________.

Answers

Based on the engagement objective to verify that the correct goods or services are received on time, at the right price, and in the right quantity, the function to be reviewed is the "procurement process."

Procurement is the process of purchasing goods or services and is usually in reference to business spending. Business procurement requires preparation, solicitation, and payment processing, which usually involves several areas of a company.

Procurement is the process of finding and agreeing to terms, and acquiring goods, services prices or works from an external source, often via a tendering or competitive bidding process. Procurement generally involves making buying decisions under conditions of scarcity.

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Write a program with a class that contains an array of integers. Initialize the integer array in the constructor of the class. Then create two friend functions to the class to find the largest and smallest integers in the array. Create a destructor that sets all of the elements in the array to 0.

Answers

The program requires creating a class that contains an integer array. The integer array should be initialized in the constructor of the class. This means that when an object of the class is created, the integer array will be automatically initialized.

After that, two friend functions need to be created that can access the integer array. These functions will be used to find the largest and smallest integers in the array. The keyword "friend" is used here to allow these functions to access the private data members of the class.

Lastly, a destructor needs to be created that sets all the elements in the array to 0. The destructor will be called automatically when an object of the class is destroyed. This ensures that the memory used by the array is properly freed.

Overall, this program involves creating a class with an integer array, initializing it in the constructor, creating two friend functions to find the largest and smallest integers, and creating a destructor to set all the elements to 0.

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1. The central bank buys $10,000 worth of bonds in the open market from Elaine, who deposits the proceeds in her checking account at MSM Bank. The required reserve ratio is 5%. Draw a bank balance sheet to support your answer. A. What is the amount by which MSM Bank's liabilities have changed? Explain. B. Calculate the change in required reserves for MSM Bank. Show your work. C. What is the dollar value of the maximum amount of new loans MSM Bank can initially make as a result of Elaine's deposit? Explain. D. Based on the central bank's open-market purchase of bonds, calculate the maximum amount by which the money supply can change throughout the banking system. Show your work. E. How will the change in the money supply in part (d) affect aggregate demand and the price level in the short run? Explain

Answers

A. The bank balance sheet for MSM Bank after the deposit is as follows:

MSM Bank
Assets: Reserves = $500 (5% of $10,000)
Securities = $10,000
Liabilities: Deposits = $10,000

The amount by which MSM Bank's liabilities have changed is $10,000, which is the amount of Elaine's deposit.

B. The change in required reserves for MSM Bank is $500, which is 5% of the $10,000 deposit.

C. The dollar value of the maximum amount of new loans MSM Bank can initially make as a result of Elaine's deposit is $9,500. This is calculated as the difference between the total deposit of $10,000 and the required reserves of $500.

D. The maximum amount by which the money supply can change throughout the banking system is $190,000. This is calculated using the money multiplier formula:

Money multiplier = 1 / Reserve requirement ratio

Money multiplier = 1 / 0.05 = 20

Change in money supply = Money multiplier x Change in reserves

Change in money supply = 20 x $10,000 = $190,000

E. The increase in the money supply will lead to an increase in aggregate demand and the price level in the short run. The increase in the money supply will lead to an increase in spending, which will lead to an increase in output and prices.

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dan, a self-employed individual taxpayer, prepared his own income tax return for the past year and has asked you to check it for accuracy. your review indicates that dan failed to claim certain business meals expenses. assume dan elects to itemize deductions. how are the business meals expenses reported on a tax return? of the business meals expenses in this situation are deductible . will the correction of this omission affect the amount of medical expenses dan can deduct

Answers

Business meals expenses are generally deductible on a US tax return. The correction of the omission could reduce taxable income, but it shouldn't affect the amount of deductible medical expenses. Consult a tax professional for personalized advice.

In the United States, business meals expenses are generally deductible on a tax return, subject to certain limitations and requirements. Before the Tax Cuts and Jobs Act (TCJA) was enacted in 2017, taxpayers could deduct 50% of their business-related meals and entertainment expenses.

However, under the TCJA, entertainment expenses are no longer deductible, while business meals remain partially deductible.

To report business meals expenses on a tax return, Dan would need to use Form 1040, Schedule C (Profit or Loss from Business) if he is a sole proprietor.

On Schedule C, he should enter the total amount of business meals expenses incurred during the year on Line 24b, "Meals and entertainment."

However, since entertainment expenses are no longer deductible, only the portion of expenses directly related to business meals would be eligible for deduction.

The correction of the omission to claim business meals expenses would likely result in an increase in Dan's deductible expenses on Schedule C. This, in turn, could potentially reduce his taxable income from self-employment and consequently decrease his overall tax liability.

Regarding medical expenses, the correction of the omission to claim business meals expenses should not directly affect the amount of medical expenses Dan can deduct.

Medical expenses are reported separately on Schedule A, Itemized Deductions. The deduction for medical expenses is subject to a threshold, which means that only medical expenses exceeding a certain percentage of adjusted gross income (AGI) are deductible.

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124. A competency framework is a list of skills and abilities that provide a competitive advantage to an organization. True False

Answers

It is True that competency framework is a comprehensive list of the skills, knowledge, and abilities that are necessary for employees to perform their jobs effectively.

This framework provides a clear understanding of what is required to succeed in a particular role and helps organizations to identify the key competencies that provide a competitive advantage.

By using a competency framework, organizations can ensure that their employees have the necessary skills and abilities to excel in their roles and contribute to the success of the organization.

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Can you help me with comparative financial analysis ofNetflix and Apple Stock as of March 2022. Which is better to buyand why?Please give the recommendations.Thank you

Answers

When comparing the financial performance of Netflix and Apple stock, it is important to look at their financial statements and key performance indicators. One such indicator is revenue growth, which shows how much the company has grown over some time. As of March 2022, Apple reported a revenue growth of 36%, while Netflix reported a revenue growth of 19%.

Another important indicator to consider is profitability. As of March 2022, Apple reported a net income of $23.6 billion, while Netflix reported a net income of $1.2 billion. This indicates that Apple is more profitable than Netflix.

In terms of stock price, Apple's stock price has been on an upward trend, reaching an all-time high of $182.98 in February 2022. Netflix's stock price has also been increasing, but not as significantly, with an all-time high of $625.50 in December 2021.

Ultimately, the decision on which stock to buy depends on your investment goals and risk tolerance. It is important to conduct your research and consult with a financial advisor before making any investment decisions.

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19. A quick ratio much smaller than the current ratio reflects:
A. a small portion of current assets is in inventory.
B. a large portion of current assets is in inventory.
C. that the firm will have a high inventory turnover.
D. that the firm will have a high return on assets.

Answers

A quick ratio much smaller than the current ratio typically indicates that a large portion of a company's current assets is tied up in inventory. The quick ratio is a more conservative measure of a company's ability to meet its short-term obligations because it excludes inventory from current assets.

A low quick ratio can signal potential liquidity problems and an inability to pay off short-term debts. In contrast, a high current ratio suggests that a company has sufficient current assets to cover its current liabilities. However, a high current ratio does not necessarily mean that a company is financially healthy. For example, if a company has a high current ratio due to an excessive amount of inventory, it may struggle to sell its products and generate cash flow.

In summary, a quick ratio much smaller than the current ratio reflects a large portion of current assets in inventory, which can signal potential liquidity problems for the company. It is important to analyze both the quick ratio and the current ratio to gain a comprehensive understanding of a company's financial health.

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Which of the following is the least accurate effort estimate?a) An effort estimate based on past projectsb) An effort estimate based on assigned resourcesc) An effort estimate for a new processd) An effort estimate based on expertise of individual

Answers

The least accurate effort estimate among the options is c) i.e., an effort estimate for a new process.

This is because it involves an unfamiliar process, making it more difficult to accurately estimate the effort required compared to basing estimates on past projects, assigned resources, or individual expertise.

The practice of estimating how much work will be involved in creating or maintaining a software program is called effort estimation. Traditionally, an individual's effort is judged by the number of hours they put in or by the cost of the task. The practice of estimating how much work will be involved in creating or maintaining a software program is called effort estimation. Traditionally, an individual's effort is judged by the number of hours they put in or by the cost of the task.

In the initial stages of the software development life cycle, effort estimation is used to assist with the creation of project plans and budgets. By using this technique, a project manager or product owner can anticipate expenses with accuracy and allocate resources appropriately.

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Final answer:

The least accurate effort estimate would appear to be one based on a new process, due to a lack of historical data or experienced personnel for the task.

Explanation:

The least accurate effort estimate among the provided options would likely be an effort estimate for a new process. This is due to the fact that this option lacks historical data, established guidelines, or experienced personnel to evaluate it accurately.

Absolute precision in estimation is hard to achieve, particularly in cases where the individual performance cannot be evaluated, or the tasks at hand are novel or unfamiliar. On the other hand, effort estimates based on past projects, available resources, or the expertise of the individual tend to be more reliable as they are grounded in concrete information and experience.

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red blossom corporation transferred its 40 percent interest to tea company as part of a complete liquidation of the company. in the exchange, red blossom received land with a fair market value of $632,000. the corporation's basis in the tea company stock was $332,000. the land had a basis to tea company of $840,000. what amount of gain does red blossom recognize in the exchange and what is its basis in the land it receives?

Answers

To sum up, Red Blossom recognizes a gain of $300,000 in the exchange and its basis in the land it receives is $632,000.

How to calculate the amount of gain does red blossom recognize in the exchange

In this scenario, Red Blossom Corporation transferred its 40 percent interest in Tea Company during a complete liquidation.

Red Blossom received land with a fair market value of $632,000, and its basis in Tea Company's stock was $332,000.

Tea Company's basis in the land was $840,000.

Red Blossom recognizes a gain on the exchange, which is calculated as the fair market value of the land received minus the corporation's basis in the Tea Company stock:

$632,000 - $332,000 = $300,000.

Therefore, Red Blossom recognizes a gain of $300,000 in the exchange.

As for Red Blossom's basis in the land it receives, it will be equal to the fair market value of the land, which is $632,000. This is because the basis of the property received in a liquidating distribution is its fair market value.

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On January 1, 2021, Alamar Corporation acquired a 35 percent interest in Burks, Inc., for $226,000. On that date, Burks's balance sheet disclosed net assets with both a fair and book value of $374,000. During 2021, Burks reported net income of $82,000 and declared and paid cash dividends of $27,000. Alamar sold Inventory costing $22,000 to Burks during 2021 for $43,000. Burks used all of this merchandise in its operations during 2021.
Prepare all of Alamar's 2021 Journal entries to apply the equity method to this investment. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

Creating a journal entry is the process of recording and tracking any transaction that a business conducts. Journal entries help transform business transactions into useful data.

Here are the journal entries for Alamar's 2021 to apply the equity method for their investment in Burks, Inc. :

1. Recording the initial investment on January 1, 2021:
Debit: Investment in Burks, Inc. - $226,000
Credit: Cash - $226,000

2. Recording Alamar's share of Burks's net income during 2021:
Debit: Investment in Burks, Inc. - $28,700 (35% of $82,000)
Credit: Equity in Earnings of Burks, Inc. - $28,700

3. Recording Alamar's share of Burks's dividends during 2021:
Debit: Cash - $9,450 (35% of $27,000)
Credit: Investment in Burks, Inc. - $9,450

4. Recording the intercompany profit elimination due to inventory sale (upstream sale):
Debit: Equity in Earnings of Burks, Inc. - $7,350 (35% of the $21,000 profit; $43,000 - $22,000)
Credit: Investment in Burks, Inc. - $7,350

These are the journal entries required to apply the equity method for Alamar Corporation's investment in Burks, Inc. during 2021.

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perishable goods suh as tomatoes and milk are almst never used as a form of money, primarily bc they cannot function as __________

Answers

Perishable goods suh as tomatoes and milk are almst never used as a form of money, primarily bc they cannot function as medium of exchange.

Perishable goods like tomatoes and milk cannot function as money primarily because they lack durability. Durability is an essential characteristic of money that refers to its ability to retain its value over time. Money must be able to withstand wear and tear, remain stable, and not deteriorate quickly. Perishable goods, on the other hand, have a limited lifespan and decay rapidly, making them unsuitable for use as a reliable and long-lasting medium of exchange.

Additionally, perishable goods are difficult to divide into smaller units without compromising their value. Money should be easily divisible into smaller denominations to facilitate transactions of varying amounts. However, it is challenging to divide perishable goods without reducing their worth, as doing so often leads to spoilage and wastage.

Furthermore, perishable goods lack portability, which is another crucial feature of money. Money should be easy to carry around and transport from one place to another. Perishable goods, however, are heavy, bulky, and require specialized storage facilities to maintain their quality, making them inconvenient and impractical as a means of exchange.

In conclusion, perishable goods like tomatoes and milk cannot function as money due to their lack of durability, divisibility, and portability. These characteristics make them unreliable and unsuitable as a medium of exchange, leading to the development of more durable, stable, and convenient forms of money such as coins, paper currency, and digital currencies.

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mark each of the following statements as either true or false and select the corresponding answer. the present value is the value today of a single amount to be paid or received at a specific date in the future. for an interest-bearing note, the amount of interest expense decreases with each payment. contingent assets may be disclosed in the notes if probable and reasonably estimable. mark each of the following statements as either true or false and select the corresponding answer. the present value is the value today of a single amount to be paid or received at a specific date in the future. for an interest-bearing note, the amount of interest expense decreases with each payment. contingent assets may be disclosed in the notes if probable and reasonably estimable. false, false, true false, true, false true, true, false true, true, true false, false, false

Answers

The correct marking for the statements would be: True, False, True. Therefore, the present value is indeed the value today of a single amount to be paid or received in the future.

The present value

Let's go through each statement and mark them as either true or false:

The present value is the value today of a single amount to be paid or received at a specific date in the future. (True)For an interest-bearing note, the amount of interest expense decreases with each payment. (False)Contingent assets may be disclosed in the notes if probable and reasonably estimable. (True)

Based on the given statements, the correct marking would be: True, False, True

Therefore, the correct answer would be: True, False, True

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Purchasing a domain name because you feel like one day it could be valuable to someone is _____.

Answers

Answer:

illegal

Explanation:

:)

Purchasing a domain name because you feel like one day it could be valuable to someone is domain speculation. This practice involves acquiring domain names with intention of selling them later at a higher price to interested buyers, usually businesses individuals seeking online presence.



Domain speculators identify potential high-value domains by considering various factors, such as keyword popularity, brandability, and market trends. By strategically selecting and registering domains, they hope to profit from increased demand in the future. Domain speculation can be compared to investing in real estate, where the value of a property may increase over time based on its location, demand, and other factors.



However, domain speculation also has its risks. It can be challenging to predict which domain names will gain value and attract buyers, and there's always a possibility that a purchased domain will not increase in value or even decrease in worth. Additionally, the annual costs of domain registration and maintenance can accumulate, especially if the speculator holds onto multiple domain names for an extended period without selling them.

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24. A rapid rate of growth in sales and profits may require:
A. higher dividend payments to shareholders.
B. increased borrowing by the firm to support the sales increase.
C. the firm to be less lenient with credit customers.
D. sales forecasts to be made less frequently.

Answers

A rapid rate of growth in sales and profits may require increased borrowing by the firm to support the sales increase. Option B is correct.

When a company experiences rapid growth in sales and profits, it may require additional resources to support that growth. This could include investments in new equipment, hiring additional employees, expanding production facilities, or increasing inventory. These investments often require significant upfront capital, which may not be immediately available through internal sources. As a result, the company may need to turn to external sources of funding, such as debt financing, to support the growth.

Option A (higher dividend payments to shareholders) and Option C (the firm to be less lenient with credit customers) are not necessarily appropriate responses to rapid growth in sales and profits. Higher dividend payments may be appropriate if the company has excess cash and no immediate investment opportunities, but if the company needs to invest in new resources to support growth, it may not be appropriate to pay out dividends. Being less lenient with credit customers could potentially hurt the company's sales growth if it results in customers switching to competitors who offer more flexible payment terms.

Option D (sales forecasts to be made less frequently) is also not an appropriate response to rapid growth in sales and profits. In fact, frequent sales forecasts may become more important during periods of rapid growth to ensure that the company can anticipate demand and adjust production levels accordingly.

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In spite of the potential problems with local partners, many firms rush the process of partner selection because ________. A. they are anxious to get into an attractive market B. they mostly aim at increasing the number of equity shares within a short period of time C. they want to take advantage of the local partner's technological innovations D. they want to reduce the amount spent on establishing subsidiaries abroad

Answers

In spite of the potential problems with local partners, many firms rush the process of partner selection because they are anxious to get into an attractive market. The correct option is A.

This eagerness to enter a new market quickly can often lead firms to overlook important considerations, such as the compatibility of business practices, corporate culture, and long-term goals between the partnering companies. This may result in future conflicts or complications within the partnership.

However, the desire to capitalize on opportunities and establish a presence in a lucrative market often drives firms to prioritize speed over a thorough partner selection process.

While other factors, such as increasing equity shares, leveraging local partner's technology, or reducing subsidiary costs, may also be considered, the primary reason for rushing partner selection is often the anticipation of market gains and expansion possibilities.

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Complete question:

In spite of the potential problems with local partners, many firms rush the process of partner selection because ________.

A. they are anxious to get into an attractive market

B. they mostly aim at increasing the number of equity shares within a short period of time

C. they want to take advantage of the local partner's technological innovations

D. they want to reduce the amount spent on establishing subsidiaries abroad

pankey inc. has a $700,000 investment opportunity that would involve sales of $1,050,000, a contribution margin ratio of 40% of sales, and fixed expenses of $325,500. the company's minimum required rate of return is 18%. the residual income for this year's investment opportunity is closest to: group of answer choices ($31,500) $0 $94,500 $126,000

Answers

The residual income for this year's investment opportunity is closest to ($31,500).

How to calculate the residual income

Pankey Inc. has an investment opportunity worth $700,000.

They expect sales of $1,050,000, and with a contribution margin ratio of 40%, this means the contribution margin would be $420,000 (40% of $1,050,000).

Fixed expenses are given as $325,500.

To calculate the operating income, subtract the fixed expenses from the contribution margin:

$420,000 - $325,500 = $94,500.

Now, let's find the minimum required income.

With an 18% required rate of return on the $700,000 investment, this amounts to:

$700,000 x 18% = $126,000.

Finally, to calculate the residual income, subtract the minimum required income from the operating income: $94,500 - $126,000 = -$31,500.

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amir is a team leader. his team needs to problem solve a complicated business transition. what course of action should he recommend? multiple choice the team should hold a coordination meeting before attempting to problem solve. the team should focus on agenda items one at a time. the team should schedule a full-day problem solving session. the team should meet daily without a preset agenda. team members should each create a plan independently before a meeting is scheduled.

Answers

As a team leader, Amir should recommend that his team focus on agenda items one at a time when problem-solving a complicated business transition.

What's the team focus for?

This approach will help the team to stay focused and tackle the problems in a more organized manner.

Holding a coordination meeting before attempting to problem solve can also be helpful in setting expectations and clarifying roles.

However, meeting daily without a preset agenda or having team members create a plan independently before a meeting is scheduled can be time-consuming and may not lead to effective problem-solving.

A full-day problem-solving session may be necessary for more complex issues, but it can also be exhausting and unproductive if the team is not adequately prepared.

Therefore, prioritizing agenda items and working through them methodically is the best course of action for Amir's team to successfully problem solve a complicated business transition.

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An offer for the sale of a vehicle contained the condition that the buyer must return the signed offer with a $1,000 deposit upon acceptance. The requirement to send $1,000 is an example of what type of condition?

Answers:

Express
Implied
Conditional
Concurrent
At large

Answers

Conditional offer for the type of condition

An offer for the sale of a vehicle contained the condition.. $1,000 deposit. The requirement to send $1,000 is an example conditional condition as buyer meeting the condition of sending the deposit along with their acceptance of the offer. The correct option is C.

The requirement to send a $1,000 deposit upon acceptance is an example of a "conditional" condition. This means that the offer is contingent on the buyer meeting the condition of sending the deposit along with their acceptance of the offer.

Until the buyer fulfills this condition, the offer may not be considered legally binding and the sale of the vehicle will not be finalized.

The condition is explicitly stated in the offer which is making it a conditional element that must be met for the offer to become valid and enforceable.

Therefore, the correct option is C.

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Human rights and food safety laws are examples of which type of law? 
A. State
B. Common
C. International
D. Community

Answers

Human rights and food safety laws are examples of international law. International law is a set of rules and principles that govern the relations between different countries and international organizations. It encompasses a wide range of issues, including human rights, trade, environmental protection, and global health, among others.

Human rights laws protect the fundamental rights and freedoms of individuals, including the right to life, liberty, and security, freedom of expression, and freedom from discrimination. Food safety laws, on the other hand, are designed to ensure that food is safe for consumption and does not pose a threat to public health. These laws establish standards for food production, processing, storage, and distribution, as well as inspection and enforcement mechanisms to ensure compliance. International law is essential for promoting cooperation and resolving disputes between countries, as well as for addressing global issues that transcend national boundaries. It provides a framework for states to work together to address common challenges, such as climate change, terrorism, and the spread of infectious diseases. As such, it plays a critical role in maintaining peace and security, promoting human rights and development, and protecting the environment and public health.

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What type of Depreciation Method does Tesla use for its Property, Plant, and Equipment? Straight Line Units of Production Salvage Value Double Declining Balance

Answers

Tesla uses the Straight-Line Depreciation Method for its Property, Plant, and Equipment.

This method involves allocating an equal amount of depreciation expense for each year of an asset's useful life, resulting in a consistent annual expense.

companies generally have the option to use a variety of depreciation methods for their property, plant, and equipment, including Straight Line, Units of Production, and Double Declining Balance.

It's possible that Tesla uses one or more of these methods, or a combination of them, depending on the nature of its assets and the accounting standards it follows. It's also possible that Tesla uses a different depreciation method altogether, as companies are not required to use any specific method.

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