Autotrade plc acquired 90% of Socrates Ltd on 1 January 20X6 when the carrying amount of the net assets of Socrates Ltd was $22m (i.e. share capital $10m, retained earnings $12m).
It has been identified that a building of Socrates had a value of $6m in excess of its book value and a useful life of 10 years on the acquisition date.
Furthermore, Socrates has an internally generated brand with a fair value of $2m and a useful life of 4 years on 1 January 20X6 that is not recognised in Socrates individual financial statements.
The consideration transferred was as follows:
 6m shares in Autotrade plc issued on 1 January 20X6 when the market price of Autotrade plc’s shares was $3.50.
 $5m payment of cash on the acquisition date.
 A further payment of cash of $13m on 31 December 20X7. A discount factor of 10%
should be used.
 $2m payable if Socrates profits achieve at least 5% growth in profits over the next 3
years. The fair value of the cash payment is $0.5m.
The fair value of NCI in Socrates (i.e. 10%) was valued at $4m.
Socrates’ retained earnings are $19m on 31 December 20X6. On the same date, an impairment loss of $5m shall be recognised against goodwill. The non-controlling interest
4

and goodwill arising on the acquisition of Socrates were calculated using the fair value method.
Requirement:
a) Show subsidiary’s net assets relevant working.
b) Calculate the carrying amount of goodwill 31 December 20X6.
c) Calculate the NCI on 31 December 20X6.
d) Explain whether the recognition of subsidiary’s identifiable net assets at fair value at
the date of acquisition consists of a choice of accounting policy.m

Answers

Answer 1

a) Net assets of Socrates on the date of acquisition is $22 million. In addition, a building of Socrates had a value of $6m in excess of its book value and a useful life of 10 years on the acquisition date.

Furthermore, Socrates has an internally generated brand with a fair value of $2m and a useful life of 4 years on 1 January 20X6 that is not recognized in Socrates individual financial statements. Therefore, the net assets of Socrates would be: Share capital 10mRetained earnings 12mBuilding 6mInternally generated brand 2mTotal net assets 30mSocrates net assets acquired by Auto trade (90%) = 30m*0.9 = $27mNCI (10%) = 30m*0.1 = $3mb) The carrying amount of goodwill on December 31, 20X6, would be the difference between the total consideration transferred to Auto trade ($52m) and the fair value of the net assets of Socrates ($27m). Thus, Goodwill on December 31, 20X6 = 52m - 27m = $25mc) The NCI on December 31, 20X6, would be $3md) No, the recognition of a subsidiary’s identifiable net assets at fair value at the date of acquisition does not consist of a choice of accounting policy. It is mandatory under IFRS 3 Business Combinations that a subsidiary's net assets are recognized at fair value. The recognition of a subsidiary’s identifiable net assets at fair value at the date of acquisition is not a choice of accounting policy, it is required.

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Related Questions

Nanticoke Industries had the following operating results for 2018: sales $29,800; cost of goods sold = $19,960; depreciation expense = $5,420; interest expense = $2,790; dividends paid = $1,650. At the beginning of the year, net fixed assets were $17,510, current assets were $5,900, and current liabilities were $3,425. At the end of the year, net fixed assets were $20,860, current assets were $7,146, and current liabilities were $4,030. The tax rate for 2018 was 30 %. a. What is net income for 2018? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.) b. What is the operating cash flow for 2018? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.) c. What is the cash flow from assets for 2018? (Negative answer should be indicated by a minus sign. Omit $ sign in your response.) d. If no new debt was issued during the year, what is the cash flow to creditors? What is the cash flow to shareholders? (Negative answers should be indicated by a minus sign. Omit $ sign in your response.)

Answers

a. Net Income for 2018 can be calculated using the formula:

Net Income = Sales - Cost of Goods Sold - Depreciation Expense - Interest Expense - Taxes - Dividends Paid

Given the values:

Sales = $29,800

Cost of Goods Sold = $19,960

Depreciation Expense = $5,420

Interest Expense = $2,790

Dividends Paid = $1,650

Tax Rate = 30%

We can substitute these values into the formula to calculate Net Income:

Net Income = $29,800 - $19,960 - $5,420 - $2,790 - ($29,800 - $19,960 - $5,420 - $2,790) * 30% - $1,650

Net Income for 2018 is $1,448.

b. Operating Cash Flow for 2018 can be calculated using the formula:

Operating Cash Flow = Net Income + Depreciation Expense

Given the values:

Net Income = $1,448

Depreciation Expense = $5,420

We can substitute these values into the formula to calculate Operating Cash Flow:

Operating Cash Flow = $1,448 + $5,420

Operating Cash Flow for 2018 is $6,868.

c. Cash Flow from Assets for 2018 can be calculated using the formula:

Cash Flow from Assets = Operating Cash Flow - Change in Net Working Capital - Net Capital Spending

Change in Net Working Capital = (Ending Current Assets - Ending Current Liabilities) - (Beginning Current Assets - Beginning Current Liabilities)

Net Capital Spending = Ending Net Fixed Assets - Beginning Net Fixed Assets + Depreciation Expense

Given the values:

Operating Cash Flow = $6,868

Beginning Current Assets = $5,900

Ending Current Assets = $7,146

Beginning Current Liabilities = $3,425

Ending Current Liabilities = $4,030

Beginning Net Fixed Assets = $17,510

Ending Net Fixed Assets = $20,860

Depreciation Expense = $5,420

We can substitute these values into the formulas to calculate Cash Flow from Assets:

Change in Net Working Capital = ($7,146 - $4,030) - ($5,900 - $3,425)

Net Capital Spending = $20,860 - $17,510 + $5,420

Cash Flow from Assets = $6,868 - Change in Net Working Capital - Net Capital Spending

c. Cash Flow from Assets for 2018 is calculated to be $6,114.

d. If no new debt was issued during the year, the Cash Flow to Creditors would be equal to the Interest Expense:

Cash Flow to Creditors = Interest Expense = $2,790

The Cash Flow to Shareholders can be calculated using the formula:

Cash Flow to Shareholders = Dividends Paid - Net Income

Given the values:

Dividends Paid = $1,650

Net Income = $1,448

Cash Flow to Shareholders = $1,650 - $1,448

d. The Cash Flow to Shareholders is $202.

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Maggie's Skunk Removal Corp.'s 2021 income statement listed net sales of $14.0 million, gross profit of $9.20 million, EBIT of $71 million, net income available to common stockholders of $4.7 million, and common stock dividends of $2.7 million. The 2021 year-end balance sheet listed total assets of $54.0 million and common stockholders' equity of $22.5 million with 2,0 million shares outstanding. Calculate the gross profit margin. (Round your answer to 2 decimal places.)

Answers

The gross profit margin for Maggie's Skunk Removal Corp. in 2021 is approximately 65.71%.

To calculate Gross Profit Margin

Gross Profit Margin = (Gross Profit / Net Sales) * 100

Given:

Net Sales = $14.0 million

Gross Profit = $9.20 million

Gross Profit Margin = (9.20 million / 14.0 million) * 100

Gross Profit Margin = 0.6571 * 100

Gross Profit Margin = 65.71%

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Compared to communicating with paper documents, social media offers all but which of the following: greater immediacy. greater reach. MD lower cost. No greater control.

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Compared to communicating with paper documents, social media offers all but one of the following. It offers greater immediacy, greater reach, and lower cost, but it does not offer greater control.

Social media provides businesses and brands with many benefits, including a lower cost of communication and greater immediacy. Social media has a wide reach and can connect with customers in a way that paper documents cannot. However, it does not offer greater control. There is little control over how customers will react to a company’s social media posts, and once they are posted, it is challenging to retract or modify them.Compared to communicating with paper documents, social media has many advantages. It is cheaper, has a broader reach, and is more immediate. However, it does not offer greater control, and businesses must be prepared to accept the consequences of their social media posts.

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Many jurisdictions in Canada, including Ontario, have pay equity legislation. Yet, the gender pay gap is larger than some countries without such legislation. Why do you think this is the case? Do we need pay equity legislation in Canada?

Answers

The gender pay gap being larger in jurisdictions with pay equity legislation, such as Ontario in Canada, may be influenced by various factors.

One possible explanation is that pay equity legislation alone is not sufficient to eliminate the gender pay gap. Other factors like occupational segregation, unconscious biases, and cultural norms can still contribute to the disparity. Additionally, pay equity legislation may not be effectively enforced or may have limitations in addressing all aspects of pay discrimination. While pay equity legislation can be an important tool in promoting fair pay, it needs to be complemented with comprehensive strategies, including education, awareness, and cultural shifts. Therefore, the need for pay equity legislation in Canada remains, but it should be part of a broader approach to address the gender pay gap.

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How much additional federal tax will an individual pay on a $100 eligible dividend if her marginal tax bracket is 20.5%? The dividend gross up for eligible dividends is 38%, and the dividend tax credit is 15.0198% of the grossed-up dividend. A.$13.27 B.$15.02 C.$7.56 D.$20.50

Answers

To calculate the additional federal tax on a $100 eligible dividend, we need to consider the gross-up amount and the dividend tax credit.

Gross-up Amount: The gross-up amount for eligible dividends is 38%. To determine the grossed-up dividend, we multiply the actual dividend by the gross-up factor:

Grossed-up dividend = Actual dividend * (1 + Gross-up rate)

Grossed-up dividend = $100 * (1 + 0.38)

Grossed-up dividend = $100 * 1.38

Grossed-up dividend = $138

Dividend Tax Credit:

The dividend tax credit is 15.0198% of the grossed-up dividend:

Dividend tax credit = Grossed-up dividend * Dividend tax credit rate

Dividend tax credit = $138 * 0.150198

Dividend tax credit ≈ $20.72

Additional Federal Tax:

To calculate the additional federal tax, we subtract the dividend tax credit from the grossed-up dividend and then apply the marginal tax rate:

Additional federal tax = (Grossed-up dividend - Dividend tax credit) * Marginal tax rate

Additional federal tax = ($138 - $20.72) * 0.205

Additional federal tax ≈ $25.69

Therefore, the individual will pay approximately $25.69 in additional federal tax on a $100 eligible dividend. None of the given answer choices match this amount.

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Which of the following is not a key industry strategic
factor
a. Nature of intra-industry competition
b. Industry value chain
c. Investment revenues
d. Existence of substitute products

Answers

The key industry strategic factor that is not part of the options is option c) Investment Revenues. The strategic factor is a term used to describe the factors which affect the strategy and decision making of businesses.

They are the internal and external elements that influence the approach used by an organization to achieve its business objectives. The term is usually applied to the analysis performed by companies when they are attempting to create their strategic plans. This factor helps determine a company's position in the industry. The industry structure, rivalry intensity, growth rate, and other variables are all part of it. The series of activities that are required to transform raw materials into a finished product and deliver it to the end customer. If a company's product has a number of substitutes, this will limit the company's ability to raise prices and increase market share. If there are no substitutes, it may be easier to raise prices and increase market share. Investment revenues: Investment revenues is not a key industry strategic factor. Investment revenues refer to the amount of money earned by an investor from investing in stocks, mutual funds, bonds, and other types of financial instruments.

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The only economy of scope that an unrelated diversification (a conglomerate like Berkshire Hathaway) firm can try to realize is core competencies. tax advantages. risk reduction. O multipoint competition.

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The only economy of scope that has an unrelated diversification is core competencies.

Economies of scope refer to the cost savings that can be realized by producing a range of different products or services using common inputs or resources. For unrelated diversification firms like Berkshire Hathaway, the only economy of scope that can be realized is through leveraging their core competencies.

Core competencies are a unique set of skills, technologies, and capabilities that gives a company a competitive advantage in its industry. By leveraging these core competencies across different business units, a diversified firm can create cost savings and increase efficiency.

Tax advantages, risk reduction, and multipoint competition are not examples of economies of scope that can be realized by unrelated diversification firms like Berkshire Hathaway.

In summary, the only economy of scope that an unrelated diversification firm can try to realize is by leveraging its core competencies. By doing this, the firm can create cost savings and increase efficiency across different business units.

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Campizo manufactures recreational vehicles (Campervans, Caravans, Camper tailers, etc). They have recently discovered two issues in their goods receiving process and have asked for your help in identifying the source of the issues. Issue 1 - A new warehouse clerk discovered that one supplier (Six Axle), who supplies a range of different parts, has not delivered any full purchase orders recently. Upon further investigation, there seems to be a significant amount of stock missing across all parts supplied by Six Axle (and only Six Axle), leaving only one week's supply.

Answers

The source of the issues are

Issue 1 - Six Axle not delivering full purchase orders and significant stock missing. The problem seems to originate from Six Axle, can be resolved by investigating Six Axle and their operations.

Issue 2: Receiving Dock schedule not being followed. It may be a case of miscommunication or misunderstanding between the warehouse staff or suppliers. The solution is to establish proper communication channels between the warehouse staff and the suppliers.

The issues discovered by Campizo in their goods receiving process:

Issue 1:

Six Axle not delivering full purchase orders and significant stock missing

Six Axle, a supplier of different parts, has not delivered full purchase orders in recent times. Upon further investigation, it is discovered that a large amount of stock is missing for all parts that are supplied by Six Axle. The stock left is only sufficient for a week. The problem seems to originate from Six Axle.

The problem can be resolved by investigating Six Axle and their operations. They may be experiencing challenges such as labor shortages, logistical difficulties, financial issues, or operational challenges. Once the problem is identified, appropriate steps can be taken to rectify the situation.

Issue 2:

Receiving Dock schedule not being followed

Campizo, the manufacturer of recreational vehicles, has discovered that their Receiving Dock schedule is not being followed. The dock is not receiving goods according to the established schedule. It may be a case of miscommunication or misunderstanding between the warehouse staff or suppliers.

The solution is to establish proper communication channels between the warehouse staff and the suppliers. This way, they can know when to deliver their goods. Also, the warehouse staff should be more diligent in adhering to the Receiving Dock schedule. This would avoid delays in the delivery of goods, and production can run smoothly.

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XYZ Inc issued 200 10- year bonds with face value of $1,000 paying semi-annually on January 2, 2021. The coupon rate on these bonds is 1% and Yield-to-Maturity of these bonds is 2%.
As a result, the company received $909.77 per bond at the time of issue and sale.
Q1) What is the interest payment in 2021?
Q2) What is the interest expense in 2021?
Q3) What is the book value of the bonds on December 31, 2021?

Answers

Q1) Interest Payment in 2021:The interest payment on the bonds is paid semi-annually. The coupon rate is 1%, and the face value is $1,000. Thus, the interest payment can be calculated as follows:Interest Payment = (Coupon Rate * Face Value) / 2= (1% * $1,000) / 2= $5Therefore, the interest payment for the year 2021 would be:$5 per semi-annual * 2 semi-annual payments = $10

Q2) Interest Expense in 2021:Interest expense is the interest cost that is reported in the company's income statement. The interest expense would be calculated as follows:Interest Expense = Interest Payment * No. of Payments= $10 * 2= $20Therefore, the interest expense for the year 2021 would be $20.Q3) Book Value of Bonds on December 31, 2021:The book value of the bonds at the end of the year 2021 would be calculated as the sum of the present value of all future cash flows (i.e., the principal and interest payments) discounted at the yield-to-maturity (YTM) of the bonds. The bonds would have 9 years remaining until maturity (as they were issued on January 2, 2021).The present value of principal = $1,000 / (1+2%) ^9= $789.14The present value of semi-annual interest payments = ($5 / 2) / (1+2%)^1 + ($5 / 2) / (1+2%)^2 + ($5 / 2) / (1+2%)^3 + ... + ($5 / 2) / (1+2%)^18= $87.72Total present value = Present value of principal + Present value of interest= $789.14 + $87.72= $876.86

Therefore, the book value of the bonds on December 31, 2021, would be $876.86.

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Discuss why households may use equity in their home loan as a
source of funds compared to other sources of consumer debt.

Answers

Homeowners may use the equity in their home loan as a source of funds instead of other sources of consumer debt due to several factors. Equity is the difference between the home's value and the amount owed on the mortgage. Equity, in this context, represents a significant source of wealth that homeowners can use to their advantage.


Homeowners may use home equity loans, home equity lines of credit, or cash-out refinancing to obtain credit. A home equity loan is a lump-sum payment that the borrower pays back over a set period, typically 5 to 15 years. A home equity line of credit, on the other hand, operates like a credit card. The borrower can withdraw money when required and pays it back over time. Cash-out refinancing is when the borrower replaces the existing mortgage with a new one and receives the difference between the two loans in cash.
Another reason why homeowners may use home equity loans to acquire credit is that the interest on such loans is tax-deductible, up to a certain limit. Moreover, home equity loans' interest rates are lower than credit card interest rates, which make them more affordable and appealing. The interest on a home equity loan or line of credit is calculated using a variable rate, which may fluctuate over time. However, the interest on a cash-out refinance loan is fixed, making it easier to budget and plan.
In conclusion, using the equity in their home as a source of funds is a smart way for households to acquire credit. This is due to its lower interest rates, tax-deductibility, and ability to provide large amounts of credit for significant expenses. Homeowners may choose between home equity loans, home equity lines of credit, or cash-out refinancing, depending on their needs and financial circumstances.

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Evaluate each communication tool (advertising, sales
promotion, personal selling, public relations and direct marketing)
using AIDA Model
To Alex clinic

Answers

The AIDA model is a widely used marketing model that stands for Attention, Interest, Desire, and Action. It is used to understand and guide the customer's journey from becoming aware of a product or service to making a purchase decision. Let's evaluate each communication tool (advertising, sales promotion, personal selling, public relations, and direct marketing) using the AIDA model:

1. Advertising:

- Attention: Advertising can capture the attention of the target audience through compelling visuals, catchy slogans, or engaging storytelling.

- Interest: Once attention is captured, advertising should generate interest by highlighting the unique selling points and benefits of the product or service.

- Desire: Advertising should create desire by presenting the product or service as a solution to the customer's needs or desires.

- Action: Finally, advertising should provide a clear call-to-action, encouraging customers to take action such as making a purchase, visiting a website, or contacting the clinic.

2. Sales Promotion:

- Attention: Sales promotions can grab attention through limited-time offers, discounts, or giveaways that create a sense of urgency.

- Interest: By offering special deals or incentives, sales promotions can generate interest in the product or service.

- Desire: Sales promotions can create desire by highlighting the added value or savings customers can obtain by taking advantage of the promotion.

- Action: Sales promotions typically include a call-to-action, urging customers to take immediate action to benefit from the promotion.

3. Personal Selling:

- Attention: Personal selling involves direct interaction with customers, allowing for personalized attention and customized messages.

- Interest: Sales representatives can engage customers in a conversation, addressing their specific needs and interests.

- Desire: Through personalized presentations and product demonstrations, personal selling can create a strong desire for the product or service.

- Action: Sales representatives can guide customers towards the desired action, such as making a purchase or scheduling an appointment at the Alex clinic.

4. Public Relations:

- Attention: Public relations efforts aim to capture attention through media coverage, press releases, or events that create positive exposure for the clinic.

- Interest: By sharing relevant and newsworthy stories or achievements, public relations can generate interest and engage the target audience.

- Desire: Public relations activities can build desire by establishing the clinic's credibility, expertise, and positive reputation.

- Action: Public relations efforts can influence actions indirectly by shaping public perception and creating a favorable environment for potential customers to take action.

5. Direct Marketing:

- Attention: Direct marketing can grab attention through targeted emails, mailers, or personalized messages that are directly delivered to the intended recipients.

- Interest: By tailoring the marketing message to the recipient's needs and preferences, direct marketing can generate interest and relevance.

- Desire: Direct marketing can create desire by showcasing the specific benefits or solutions the clinic offers to address the recipient's healthcare needs.

- Action: Direct marketing campaigns typically include a clear call-to-action, encouraging recipients to respond, inquire, or schedule an appointment at the Alex clinic.

It's important to note that the effectiveness of each communication tool in the AIDA model may vary depending on the target audience, the nature of the product or service, and the overall marketing strategy. It is recommended to use a combination of these tools in an integrated marketing campaign to maximize the impact and reach of the communication efforts.

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A project has the following cash in and out flows in its first year: Income generated: R100 000 Cost of sales R30 000 Depreciation R10 000 What would the net cash flow for the first year of the project be? Assume the tax rate is 27%. a. R43 200 b. R53 800 R60 000 R70 000 O C. O d.

Answers

The correct option is:b. R53,800. To calculate the net cash flow for the first year of the project, consider the income generated, cost of sales, and depreciation. The net cash flow is calculated by subtracting the expenses from the income generated and adjusting for taxes.

Given:

Income generated: R100,000, Cost of sales: R30,000, Depreciation: R10,000, Tax rate: 27%

First, we calculate the taxable income by subtracting the cost of sales and depreciation from the income generated:

Taxable income = Income generated - Cost of sales - Depreciation

Taxable income = R100,000 - R30,000 - R10,000

Taxable income = R60,000

Next, calculate the tax amount by multiplying the taxable income by the tax rate:

Tax amount = Taxable income * Tax rate

Tax amount = R60,000 * 27%

Tax amount = R16,200

Finally,  calculate the net cash flow by subtracting the tax amount from the income generated:

Net cash flow = Income generated - Tax amount

Net cash flow = R100,000 - R16,200

Therefore, the net cash flow for the first year of the project would be R83,800.

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. which of the following procedures could a student use to determine the average net force exerted on the car during the

Answers

To determine the average net force exerted on the car during the journey, a student could make use of the following procedure: Use a force sensor to calculate the force applied on the car at every time interval of the journey using the formula F = ma.

where F is force, m is mass and a is acceleration. Measure the acceleration at every time interval using an accelerometer and calculate the force using the same formula, F = ma. Sum all the forces applied on the car over the journey and divide it by the time taken. This will give the average force exerted on the car during the journey.

To find the average net force, you will need to add up all of the individual forces and then divide by the number of forces. Use a force sensor to calculate the force applied on the car at every time interval of the journey using the formula F = ma, where F is force, m is mass and a is acceleration. Measure the acceleration at every time interval using an accelerometer and calculate the force using the same formula, F = ma. Sum all the forces applied on the car over the journey and divide it by the time taken. This will give the average force exerted on the car during the journey. To find the average net force This will give you an average value for the net force exerted on the car.

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Phil's Diner purchased some new equipment two years ago for $109,858. Today, it is selling this equipment for $76,401. What is the after-tax cash flow from this sale (in $) if the tax rate is 34 percent? The equipment falls in 5-year MACRS class. The MACRS allowance percentages are as follows, commencing with year 1: 20.00, 32.00, 19.20, 11.52, 11.52, and 5.76 percent

Answers

The after-tax cash flow from this sale is $59,564. Given that Phil's Diner purchased some new equipment two years ago for $109,858 and is selling this equipment today for $76,401. The tax rate is 34%. The equipment falls in 5-year MACRS class.

The MACRS allowance percentages are as follows, commencing with year 1: 20.00, 32.00, 19.20, 11.52, 11.52, and 5.76 percent. For the first two years, the depreciation expense is calculated using straight-line depreciation: Depreciation Expense = (109,858 - 0) / 5Depreciation Expense = $21,972For year three, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 19.20% * (109,858 - 21,972)Depreciation Expense = $17,914.24For year four, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 11.52% * (109,858 - 21,972 - 17,914.24)Depreciation Expense = $9,869.14For year five, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 11.52% * (109,858 - 21,972 - 17,914.24 - 9,869.14)Depreciation Expense = $9,869.14Finally, for year six, the MACRS depreciation expense is calculated as follows: Depreciation Expense = 5.76% * (109,858 - 21,972 - 17,914.24 - 9,869.14 - 9,869.14)Depreciation Expense = $4,934.57 The total depreciation expense is $64,559.71 ($21,972 + $17,914.24 + $9,869.14 + $9,869.14 + $4,934.57). The adjusted basis is the original cost of the asset minus the total depreciation expense. The adjusted basis is $45,298.29 ($109,858 - $64,559.71).The gain or loss on the sale of the equipment is the selling price minus the adjusted basis. The gain on the sale is $31,102.71 ($76,401 - $45,298.29).The tax on the gain is 34% of the gain. The tax on the gain is $10,563.95 ($31,102.71 * 0.34).The after-tax cash flow from the sale is the selling price minus the tax on the gain. The after-tax cash flow from the sale is $59,564 ($76,401 - $10,563.95). The after-tax cash flow from this sale is $59,564.

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c. Is the required return on any investments a firm makes that have a level of risk greater than that of present operations. d. For a firm represents the risk and target capital structure of the firm's existing assets as a whole.

Answers

c. Is the required return on any investments a firm makes that have a level of risk greater than that of present operations.

This statement is false. The required return on investments made by a firm depends on the specific risk characteristics of those investments, rather than solely comparing them to the risk of present operations. The required return is typically determined by considering factors such as the investment's risk profile, market conditions, cost of capital, and desired rate of return.

d. For a firm represents the risk and target capital structure of the firm's existing assets as a whole.

This statement is false. The risk and target capital structure of a firm's existing assets are represented by its current capital structure and risk profile. The capital structure refers to the mix of debt and equity financing used by a company to fund its operations and investments. The risk profile reflects the level of risk associated with the firm's existing assets.

The target capital structure, on the other hand, represents the desired or optimal mix of debt and equity financing that a firm aims to maintain in the long term. It is determined based on factors such as the cost of capital, risk tolerance, and financial goals of the company. Therefore, the target capital structure does not directly represent the risk and capital structure of the firm's existing assets as a whole.

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What is economy of scale?explain how two of the many mutual beneficial relationship that merge in industrial concentration raise that business sectors productivity to such high intensities? Remember that productivity comes from both companies and workers

Answers

The economy of scale refers to cost advantages gained when a company increases production and lowers per-unit costs.

The economy of scale refers to the cost advantages achieved by a company when it increases its production scale and lowers its per-unit costs. This concept is based on the idea that as production volume increases, the fixed costs get spread over a larger number of units, leading to lower average costs.

Industrial concentration, which occurs when companies in the same business sector merge or collaborate, can lead to two mutually beneficial relationships that enhance productivity.

First, it enables companies to pool resources, technologies, and expertise, resulting in improved operational efficiency and economies of scale. This allows for larger production volumes, lower costs, and increased productivity.Secondly, industrial concentration facilitates specialization and division of labor. By consolidating operations, companies can allocate resources and tasks more efficiently, leading to increased specialization among workers. Specialization allows workers to focus on specific tasks, develop expertise, and increase their productivity, contributing to overall sector productivity.

In summary, through economies of scale and enhanced specialization, industrial concentration can raise productivity levels in business sectors by reducing costs, increasing production volumes, and fostering efficient resource allocation and specialized labor.

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Ferrell Inc. recently reported net income of $8 million. It has 580,000 shares of common stock, which currently trades at $59 a share. Ferrell continues to expand and anticipates that 1 year from now, its net income will be $10.8 million. Over the next year, it also anticipates issuing an additional 174,000 shares of stock so that 1 year from now it will have 754,000 shares of common stock. Assuming Ferrell's price/earnings ratio remains at its current level, what will be its stock price 1 year from now? Do not round intermediate calculations. Round your answer to the nearest cent.

Answers

Based on the given information and assuming the P/E ratio remains the same, the estimated stock price of Ferrell Inc. one year from now would be approximately $122.42.

To calculate the stock price of Ferrell Inc. one year from now, we can use the price/earnings (P/E) ratio. The P/E ratio is the ratio of the stock price to the earnings per share (EPS).

First, let's calculate the EPS one year from now:

EPS = Net Income / Number of Shares

EPS = $10.8 million / 754,000 shares

EPS ≈ $14.33

Next, we can use the current P/E ratio to find the estimated stock price:

P/E ratio = Stock Price / EPS

Given that the current P/E ratio remains the same, we can rearrange the formula to solve for the future stock price:

Stock Price = P/E ratio * EPS

To find the P/E ratio, we can divide the current stock price by the current EPS:

P/E ratio = Current Stock Price / Current EPS

P/E ratio = $59 / (Net Income / Number of Shares)

P/E ratio = $59 / ($8 million / 580,000 shares)

P/E ratio ≈ 8.537

Now, we can calculate the estimated stock price one year from now:

Stock Price = P/E ratio * EPS

Stock Price = 8.537 * $14.33

Stock Price ≈ $122.42

Therefore, based on the given information and assuming the P/E ratio remains the same, the estimated stock price of Ferrell Inc. one year from now would be approximately $122.42.

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Section 2 QuickBooks Online How it works 11 of 15 questions answered Question 12 Thomas would like his customers to see the full invoice details from within the email itself and have a PDF attached. Where would he navigate to make this change? O Gear > Custom form styles > Edit template > Emails > How your invoice appears in emails Gear > Account and settings > Sales > Online Delivery > How your invoice appears in emails Gear > Custom form styles > Edit template > Delivery > How your invoice appears in emails O Gear > Account and settings > Sales > Sales form content > How your invoice appears in emails ab

Answers

Thomas would navigate to Gear > Custom form styles > Edit template > Emails > How your invoice appears in emails to make the change. This is the correct option.

In QuickBooks Online, to configure how the invoice appears in emails, Thomas needs to access the Gear icon, then select "Custom form styles." From there, he should choose "Edit Template" and navigate to the "Emails" section. Within the "Emails" section, Thomas can customize the settings to display the full invoice details within the email itself and attach a PDF of the invoice. This allows his customers to easily view the invoice information directly from the email and also have a PDF copy for reference or printing if needed.

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Which is a sociocultural component in the general environment of a book publisher that can indirectly influence how it does business?

Answers

A sociocultural component in the general environment of a book publisher that can indirectly influence how it does business is social and cultural trends that influence what people read and how they consume literature.

The sociocultural component of the general environment in the book publishing industry is crucial to comprehend the market trends and the readers' demands. With the world continuously evolving, social and cultural shifts are taking place, and the book publishing industry has to adapt to these changes to keep up with its audience's needs and demands.Social and cultural trends play a significant role in shaping the book publishing industry, including reading trends, reading habits, demographics, cultural shifts, and new generations' emergence, such as millennials and Gen Z. These shifts have created new opportunities for the book publishing industry to tap into, such as the demand for e-books, audiobooks, and graphic novels. Additionally, the industry has had to keep up with the new age of diversity, equity, and inclusivity, creating more opportunities for underrepresented voices and highlighting diverse cultures and experiences.In conclusion, a book publisher's sociocultural environment can significantly impact how it does business by shaping trends, demographics, and reading habits. Understanding and adapting to these changes are crucial for the industry to keep thriving and continue meeting its audience's needs.

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If you were asked to prepare a change strategy for an online travel agency which uses a variety of different software packages, what steps would you initially undertake to decide what kind of change process to implement?

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When preparing a change strategy for an online travel agency using different software packages.

The steps to undertake

the initial steps involve assessing the current situation, defining desired outcomes, engaging stakeholders, conducting a feasibility analysis, performing a risk assessment, researching alternative solutions, developing a change management plan, and testing and piloting. These steps help gather information, involve key stakeholders, evaluate options, and develop a well-informed strategy for implementing new software packages.

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Nkosinathi Maduna has just been hired as a management analyst at Sibanye Digital Cell Phone Company. Digital Cell manufactures a broad line of phones for the consumer market. Nkosinathi's boss, Siyabonga Zwane, chief operations officer, has asked Nkosinathi to stop by his office this morning. After a brief exchange of pleasantries over a cup of coffee, he says he has a special assignment for Nkosinathi: "We've always just made an educated guess about how many phones we need to make each month. Usually we just look at how many we sold last month and plan to produce about the same number. This sometimes works fine. But most months we either have too many phones in inventory or we are out of stock. Neither situation is good." Handing Nkosinathi the table shown below. Siyabonga Zwane continues, "Here are our actual orders entered for the past 36 months. There are 144 phones per case. I was hoping that since you graduated recently from the Vaal University of Technology, you might have studied some techniques that would help us plan better. It has been awhile since I was in university—I think I forgot most of the details I leaned then. I would like you to analyse these data and give me an idea of what our business will look like over the next 6 to 11 months. Do you think you can handle this?" "Of course." Nkosinathi replies, sounding more confident than he really is. 'How much time do I have?" "I need your report on the Monday before Easter Holidays that would be April 11th I plan to take it home with me and read it during the holiday. Since I am sure you will not be around during the holiday, be sure that you explain things carefully so that I can understand your recommendation without having to ask you any more questions. Since you are new to the company, you should know that I like to see all the details and complete justification for recommendations from my staff."

Answers

Nkosinathi Maduna is a recently employed management analyst at Sibanye Digital Cell Phone Company. Siyabonga Zwane, the chief operations officer, has asked Nkosinathi to stop by his office for a special assignment.

The company has been using guesswork to determine the number of phones they need to produce every month. The chief operations officer has given Nkosinathi a table with the past 36 months' actual orders of 144 phones per case and asked him to analyse the data and give an idea of the business over the next 6 to 11 months. This is Nkosinathi's main answer.The main answer is that Nkosinathi Maduna has been given a special assignment to analyse the past 36 months' actual orders of 144 phones per case and give an idea of the business over the next 6 to 11 months. The company has been using guesswork to determine the number of phones they need to produce every month, which has led to an excess of phones in inventory or an out-of-stock situation.

Nkosinathi's boss wants him to provide complete justification for his recommendations and explain things carefully so that he can understand the recommendation without having to ask any more questions.Explanation in 125 words:Digital Cell manufactures phones for the consumer market. They have always guessed the number of phones needed for production each month, which often results in excess inventory or an out-of-stock situation. Siyabonga Zwane, the chief operations officer, has handed Nkosinathi a table with the actual orders entered for the past 36 months. Nkosinathi's task is to analyse the data and predict what the business will look like over the next 6 to 11 months. The chief operations officer wants complete justification for the recommendations given by Nkosinathi. Nkosinathi must explain his recommendations carefully so that the chief operations officer understands without having to ask any more questions.

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• 4. What must be done with a suspense account before preparing a statement of financial position? • A Include it in assets • B Clear it to nil • C Include it in liabilities • D Write it off

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Clear to nil must be done with a suspense account before preparing a statement of financial position. The option B, is correct.

A suspense account is a temporary account used to record transactions for which an organization has insufficient information. In other words, it's an account that serves as a placeholder for transactions that can't be accounted for properly at the moment. Transactions should be shifted out of a suspense account once they've been properly recorded.

Usually, suspense accounts are made to balance journal entries where the debits and credits are equal but an error has been made somewhere. So, as soon as the error is discovered and corrected, the account is then cleared.However, if the Suspense Account does not balance after some transactions have been examined, this implies that there is an accounting mistake or an inconsistency.

In such a scenario, it is critical to discover and resolve the mistake before generating a financial statement. Suspense accounts can be utilized to keep track of the costs that are not yet allocated, or in the case of accounting, transactions that require further attention. Suspense accounts must be cleared to zero before preparing a statement of financial position. Hence, option B is correct.

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Back to Assignment Attempts Keep the Highest / 1 5. Practice Problem 15-3 Axis Wells and Excavation (AWE) currently generates $210,000 in annual credit sales. AWE sells on terms of net 50 , and its accounts receivable balance averages \$14,000. AWE is considering a new credit policy with terms of net 25. Under the new policy, sales will decrease to $180,000, and accounts receivable will average $15,000. Compute the doys sales outstanding (DSO) under the existing policy and the proposed policy. Assume there are 360 days in a year. Round your answers to the nearest whole number: DSO Existung: days DSOnew: days

Answers

The DSO under the existing policy and the proposed policy, which is 24 days and 30 days, respectively.

In this problem, we need to calculate the doys sales outstanding (DSO) under the existing policy and the proposed policy. Axis Wells and Excavation (AWE) currently generates $210,000 in annual credit sales. AWE sells on terms of net 50, and its accounts receivable balance averages $14,000. AWE is considering a new credit policy with terms of net 25. Under the new policy, sales will decrease to $180,000, and accounts receivable will average $15,000.Steps to solve the problem:Calculate the DSO (days sales outstanding) under the existing policy.Here, credit sales = $210,000.Average accounts receivable = $14,000.Credit period = net 50.

Therefore, we have;Days sales outstanding (DSO) = (Average accounts receivable / Credit sales) x 360= (14000 / 210000) x 360= 24 days (approximately).Calculate the DSO under the proposed policy.Here, credit sales = $180,000.Average accounts receivable = $15,000.Credit period = net 25.Therefore, we have;Days sales outstanding (DSO) = (Average accounts receivable / Credit sales) x 360= (15000 / 180000) x 360= 30 days (approximately).Thus, the main answer is;Days sales outstanding (DSO) under the existing policy is 24 days, and days sales outstanding (DSO) under the proposed policy is 30 days.

The number of days required to collect the amount of credit sales is referred to as DSO. It is measured in days, and it tells how quickly a company can collect cash from credit sales. In this problem, we have calculated the DSO under the existing policy and the proposed policy, which is 24 days and 30 days, respectively.

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How can a ""positioning"" map be created and used? How is Trader Joe’s an example of segmentation and positioning? Any Canadian example similar to Trader Joe’s? (at least two…)

Answers

Positioning Map is a marketing tool that allows businesses to view their brand compared to those of competitors in the marketplace. In essence, it is a graph with two or three axes that represents where a product stands in the marketplace in relation to its competitors.

In the horizontal and vertical axes of a positioning map, businesses may position themselves based on two variables or criteria, while a third variable or criterion is usually used as a color-coding feature that is not meant to be measured. Here are some of the steps on how a positioning map can be created and used:Step 1: Decide on the two variables to be plotted.Step 2: Identify the points on the map where each product belongs.Step 3: Interpret and analyze the findings.Step 4: Use the map to make decisions regarding product positioning, branding, and pricing.

Trader Joe’s is a classic example of positioning and segmentation because it caters to a specific target audience: the health-conscious, budget-conscious, and organic food-seeking consumer. Their price range is budget-friendly, and they only stock their brand, which is geared to health-conscious customers. They cater to a specific customer segment and position their brand accordingly. Trader Joe's product line offers organic and natural food products to customers, which is a great example of brand positioning and market segmentation.

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Ahmed Company would like to compare its days' sales in receivables with that of a competitor, Khalid Company. Both companies have had similar sales results in the past, but Khalid Company has had better profit results Ahmed Company suspects th reason for the better profit results is that Khalid Company did a better job of managing receivables, Ahmed Company uses a calendar year that ends on December 31, while Khalid Company uses a fiscal year that ends on July 31 Information related t and receivables of the two companies follows: For Year Ended December 31, 20XX Ahmed Company Net sales Receivables, less allowance for doubtful $3,780,000 253,000 accounts of $16,000 For Year Ended July 31,

Answers

Ahmed Company had net sales of $3,780,000 and receivables of $253,000 (after deducting the allowance for doubtful accounts of $16,000) for the year ended December 31, 20XX.

Ahmed Company and Khalid Company are both interested in comparing their days' sales in receivables to identify potential differences in receivables management. While both companies have achieved similar sales results in the past, Khalid Company has consistently reported better profit outcomes. Ahmed Company suspects that this discrepancy may be attributed to Khalid Company's superior management of receivables. It is important to note that Ahmed Company operates on a calendar year, ending on December 31, while Khalid Company follows a fiscal year that concludes on July 31. The available information includes Ahmed Company's net sales of $3,780,000 and receivables, less allowance for doubtful accounts, amounting to $253,000 for the year ended December 31, 20XX.

The days' sales in receivables metrics indicate the average number of days it takes for a company to collect payment from its customers. By comparing this metric between Ahmed Company and Khalid Company, Ahmed can assess the effectiveness of their receivables management. With a closer examination of Khalid Company's financial data, including their net sales and receivables, it would be possible to calculate their days' sales in the receivables figure. This would enable a direct comparison between the two companies performance in this area. By identifying any significant differences in this metric, Ahmed Company can better understand how Khalid Company's superior receivables management practices may have contributed to its higher profitability.

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What is the importance of flood maps in preventing flooding? How
can federal, state,and local governments use flood maps to develop
plans for the future development, including building?

Answers

Flood maps play a crucial role in preventing flooding and its catastrophic consequences. Federal, state, and local governments can use these maps to develop plans for future development, including building in flood-prone areas.

Flood maps are elaborated sources of information that can help predict the risk and impact of floods. The maps offer a comprehensive understanding of the areas that are prone to flooding, and they indicate zones where construction is prohibited or restricted.

By using flood maps, governments can identify high-risk areas and implement measures such as building codes in order to reduce the likelihood of damage from floods.

Governments can also use flood maps in developing mitigation strategies, such as creating floodways or levees, to minimize the damage to human lives, property, and natural resources.

Flood maps can aid in managing risk by guiding development practices towards areas with less risk of flooding. By making these critical decisions, governments can avoid exacerbating the situation by preventing future development in high-risk areas, thereby saving many lives and preventing widespread damage.

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Hany wrote promissory note mentioning that he will pay 50,000 EG pounds if his

Answers

A promissory note is a legal document that acts as a binding agreement between two parties, usually to pay a specific amount of money.

The main answer refers to a response that meets the criteria or requirements set forth by the other party. The explanation would likely be an expansion or justification of the main answer in order to provide further detail or clarity.

Hany has essentially made a bet or wager, and the promissory note serves as a guarantee that he will follow through with his end of the deal.If Hany fails to provide a main answer in 40 words or less, he would be in breach of the promissory note and would be required to pay the specified amount.

However, if Hany does meet the criteria, he would not have to pay anything. It is important for both parties to agree on the terms of the promissory note before signing it, as it is a legally binding document.

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Lesson 1 Discussion
Consider your current (or last) job.
1. What activities did you perform?
2. Who were your customers internal and external) and how did you interact with them?
3. How could you measure the customer value you were adding by
performing your activities?
4. Within what area was your position (accounting, finance, analytics, marketing, MIS, operations, etc.)? Please describe the position while referencing the content in this lesson.

Answers

As an AI language model, I don't have personal experiences or a job, but I can help you answer your questions based on general information.

The specific activities performed in a job can vary depending on the role and industry. For example, in a marketing role, activities may include conducting market research, developing marketing strategies, creating promotional materials, managing advertising campaigns, and analyzing campaign performance.

The customers can be both internal and external. Internal customers may include colleagues from different departments or teams within the organization who rely on the outputs or support provided by your role. External customers are the individuals or organizations who use or purchase the products or services offered by the company. Interactions with customers can take place through various channels such as meetings, emails, phone calls, presentations, and customer support.

Measuring customer value can be done through various metrics depending on the nature of the job and its impact on customers. Some common metrics include customer satisfaction ratings, customer retention rates, Net Promoter Score (NPS), sales revenue generated from customers, repeat purchase rates, and feedback or reviews received from customers.

The position can fall within different functional areas such as accounting, finance, analytics, marketing, management information systems (MIS), operations, or other related fields. Each of these positions contributes to the overall organizational goals and objectives in their respective areas. In this lesson, the focus is on understanding the concept of customer value and how different roles within an organization can contribute to creating and delivering value to customers. The specific position you held can be described by referencing the content of the lesson and relating it to your responsibilities and contributions in terms of customer value creation.

It's important to note that the answers provided are general in nature and may vary based on the specific job, industry, and organization.

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critical analysis of marketing plan with real estate company
(1000 words)

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A critical analysis of a marketing plan for a real estate company involves assessing its effectiveness, relevance, and potential areas for improvement.

In this analysis, we will evaluate key components of a marketing plan and discuss their implications for a real estate company. Please note that without specific details about a particular real estate company and its marketing plan, the analysis will be more general in nature.

Market Research and Analysis:

A strong marketing plan begins with thorough market research and analysis. This involves studying the local real estate market, identifying target demographics, analyzing competitors, and understanding customer needs and preferences. A critical analysis should assess whether the marketing plan incorporates comprehensive market research and utilizes relevant data to inform strategic decisions. It should also evaluate the accuracy and validity of the research conducted.

Clear Objectives and Target Market:

An effective marketing plan should define clear objectives and identify the target market. The objectives may include increasing market share, expanding into new markets, or launching new real estate projects. The target market should be well-defined based on factors such as demographics, psychographics, and geographic location. The critical analysis should examine whether the marketing plan sets specific, measurable, achievable, relevant, and time-bound (SMART) objectives and whether the target market is accurately identified and addressed.

Value Proposition and Differentiation:

A compelling value proposition and differentiation strategy are crucial for success in the competitive real estate industry. The marketing plan should clearly communicate the unique selling points of the company's properties or services and differentiate them from competitors. The critical analysis should evaluate the effectiveness of the value proposition in capturing the attention and interest of potential customers and whether the differentiation strategy is adequately highlighted in the marketing plan.

Marketing Channels and Communication:

The marketing plan should outline the various channels and tactics to reach the target market effectively. This may include online advertising, social media campaigns, direct mail, print media, or partnerships with relevant stakeholders. The critical analysis should assess whether the marketing plan utilizes an integrated approach, combining traditional and digital marketing channels to maximize reach and engagement. It should also evaluate the clarity and consistency of the messaging across different communication platforms.

Budget Allocation and ROI Measurement:

A well-defined marketing plan should include a budget allocation for each marketing activity and a mechanism to measure return on investment (ROI). The critical analysis should assess whether the budget allocation aligns with the marketing objectives and whether the plan outlines clear metrics and tools to evaluate the effectiveness of marketing efforts. It should also consider whether the marketing plan incorporates mechanisms for tracking leads, conversions, and sales attribution.

Adaptability and Flexibility:

The real estate market is dynamic, and a successful marketing plan should demonstrate adaptability and flexibility to respond to market changes and emerging trends.b whether the marketing plan allows for adjustments and modifications based on market conditions and customer feedback. It should also assess the inclusion of contingency plans to mitigate risks and capitalize on opportunities.

In conclusion, a critical analysis of a marketing plan for a real estate company should assess its effectiveness in terms of market research, clear objectives, value proposition, marketing channels, budget allocation, and adaptability. By examining these key components, a real estate company can identify areas for improvement and enhance its marketing strategies to achieve better results. However, it is important to note that a thorough analysis would require access to specific details of a real estate company's marketing plan.

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Employment Standards Legislation specifies certain expectations such as minimum wage and termination notice. The terms of an employment contract can specify that the amount of termination notice expected by the parties can be less than the statutory requirement.
Select one:
True
False

Answers

Employment Standards Legislation specifies certain expectations such as minimum wage and termination notice. The terms of an employment contract can specify that the amount of termination notice expected by the parties can be less than the statutory requirement. This statement is True.

An employment contract is a written agreement that outlines the legal obligations and expectations between an employer and an employee. It includes terms and conditions such as working hours, wages, holidays, and notice periods. Employment Standards Legislation specifies certain expectations such as minimum wage and termination notice, which are the minimum requirements that an employer must adhere to.

The terms of an employment contract can specify that the amount of termination notice expected by the parties can be less than the statutory requirement. The reason behind this is that the employment contract is an agreement between the employer and employee, and both parties are free to negotiate the terms and conditions of the agreement. However, it is important to note that the terms of the employment contract cannot be less than the statutory minimum requirements set out in the Employment Standards Legislation.

This means that if the statutory requirement for termination notice is two weeks, the employment contract can specify a longer period of notice, but it cannot specify a shorter period of notice than the statutory requirement. In conclusion, Employment Standards Legislation specifies certain expectations such as minimum wage and termination notice. The terms of an employment contract can specify that the amount of termination notice expected by the parties can be less than the statutory requirement.

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The proportion of households with pets is estimated to be 85%.The proportion of 200 investigated households with pets is0.78.Is this providing evidence that the 85% estimate isincorrect? Test at 9 When implementing the physical-level design, for secondary keys, you must ensure that it is possible to retrieve data rapidly on the basis of a value of the ____ key.a. primaryb. secondaryc. alternated. foreign What then is the products pricing based on, if not costs?Present the products pricing and what the pricing strategy should be for your companys IT/digital product. The real risk-free rate is 3%. Inflation is expected to be 4% this year and 5% next year. The maturity risk premium is estimated to be.20(t-1)%, where t is the number of years to maturity. What is the yield on a 2-year Treasury note? Select one: a. 7.7% Ob 7.3% O c. 7.9% O d. 7.5% The Congressional Budget Office study on the minimum wage concluded which of the following? an increase in labor that would increase cost automation there would be a decrease in unemployment an increase in minimum wage would lead to job losses among low-skilled worker many job losses in the retail industry, but not in the food service industry is a term that refers to an employee's guaranteed rights to all the benefits of their retirement plan. For example, if an employee stays with the company for specified amount of time, that employee will be entitled to the employer's contribution to their retirement plan. O vesting rights lock-in rights tenured rights grandfathered rights What is gross domestic product (GDP)? 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In that part of the class, we argued that issuing money can be used to finance government spending. The (nominal) amount of revenue the government raises from the inflation tax is AM. In this and following points, you will analyze how large the revenue from this inflation tax is, relative to the size of the economy (nominal GDP): AV. Since the change in money supply (AM) is difficult to work with, we should AM express the revenue as a function of the growth rate of money supply (AM = 9m). Use this definition of the growth rate of money supply to calculate the revenue from the inflation tax as a share of GDP (M) function of gm and other parameters of the economy. You answer should be something like: A = 9M2 What is z? Can you give an interpretation of it? d. Look at slide 17 in Chapter 8 slides. Take your answer to part c) of this question and use the quantity theory of money to replace the growth rate of money supply (9m) with a term that includes the inflation rate (and other terms, like the growth rate of output). e. How much revenue is raised from inflation tax as a share of GDP? Suppose that M 10%, and use the equations from part c) and numbers from part a) of this question. Based on your answer, do you think inflation tax is an important source of revenue for the government? f. What if the government is in dire fiscal need and decides to increase the growth rate of money supply to 100%, holding all other variables constant (which is unlikely to hold in real life, but let's not overcomplicate things). With this inflation rate, how much revenue is raised from inflation tax as a share of GDP? With this kind of inflation rate, is inflation tax a significant source of revenue for the government? 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The 55th percentile is 26.38 X 5 Continue Save For Later Submit Assignment T tech Common stock currently trades at a price of $40 per share. The stock's year end dividend is expected to be $2 per share. The stock's required return is 9% and the stock's dividend is expected to grow at the same percent every year forever. What is the expected stock price five years from now? A) $48.67 B) $50.61 C) $51.05 D) $61.40 E) $61.54 which one of the following particles would tend to have the smallest de broglie wavelength if they travel at the same speed?A - ProtonB - PhotonC - Alpha-particleD - Neutron Choose the best answer. Which is NOT a TREND in supply chain management?a) The circular supply chain.b) Adopting lean principles.c) Reducing costs.d) Sustainable supply chains.e) Measuring supply chain return on investment (ROI). Suppose the price and supply of the PlayStations are related by p = S(q) = 0.75q. Explain what the quantity supplied for the PlayStations would be for each price listed below.$0 $10 $20Graph the supply curve that depicts p = 0.75qBased on the demand curve that is depicted by p = 16 1.25q and the supply curve that is depicted by p = 0.75q, what are the equilibrium quantity and prices? Support your answer with calculations and a graph Below are some accounts and their balances for a merchandising business. The ending inventory figure is $15 600. From this data, calculate the cost of goods sold figure.? Accounts Bank Accounts Receivable Merchandise Inventory Supplies Automobile Equipment Accounts Payable T. Lao, Capital Balances $ 1 500 22 450 14 500 1 300 18 000 22 000 4532 77 558 Accounts T. Lao, Drawings Sales Purchases Advertising Car Expense Rent Expense Utilities Expense Wages Expense Balances $12 000 82 600 41 300 I 100 5 500 9 000 2 150 13 890 When riding ________, you are facing the greatest potential for conflict between you and other vehicles. If the coefficient of determination of a simple regression equation is 0.81, the correlation coefficient is A. 0.9 B. Altyd negatief / Always negative C. Altyd positief / Always positive D. 0.6561 OE. +0.9 of/or -0.9 Discuss the opportunities and threats with BigCosoft's offer to Tocopharma and advice the management team on what to do. [35 Marks] Discuss any three different ways that Tocopharma can address its integration problems to enable working from home under the Covid-19 lockdown situation. What challenges can be encountered and how can they be resolved. A nutritionist is interested in the daily percent intake of a particular vitamin and how it relates to growth of babies under nine months old. She finds the growth of the babies, G, is dependent on the daily percent intake of this vitamin, x, and can be modeled by the functionG(x)=4+7.5x.Draw the graph of the growth function by plotting its G-intercept and another point. In addition to attracting new customers and creating transactions, the goal of marketing is to ________ customers and grow the company's business.a) recognize loyalb) reward loyalc) sell more tod) build relationships with