Goods available for sale refers to the total amount of inventory that a company has acquired or produced during a specific period, including both the beginning inventory and any additional inventory acquired or produced during that period. It represents the total quantity of goods that are available for the company to sell to customers.
On the other hand, the cost of goods sold (COGS) refers to the direct costs incurred in producing or acquiring the goods that have been sold to customers during a particular period. It includes the cost of raw materials, direct labor, and any other direct costs associated with the production or acquisition of the goods.
The main difference between goods available for sale and the cost of goods sold lies in their timing and purpose. Goods available for sale represents the total inventory available at a given point, including both unsold and sold goods.
It is a measure of the company's inventory level. On the other hand, the cost of goods sold represents the cost associated specifically with the goods that have been sold to customers during a specific period. It is used to determine the cost of producing or acquiring the goods that were actually sold and helps in calculating the company's gross profit.
In summary, goods available for sale represents the total inventory available, while the cost of goods sold represents the cost specifically related to the goods sold during a given period.
Learn more about cost of goods sold visit:
https://brainly.com/question/24561653
#SPJ11
explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
In ________, one firm provides the product or service in a particular industry, which results in less price competition.
Answer:
Romeo and juliet
Explanation:
Hi can you please answer this question for me?
___________________________ is the interest that the bank pays you on the principal plus on the interest that you earned the preceding year
simple intrest
compound interest
complex interest
Answer:
compound interest
Explanation:
Compounding interest refers to the action of adding the interest earned in a period to the principal amount. This action increases the principal amount invested. In compound interest, both the principal amount and the interest earned increases every financial year.
Compound interest contrasts with simple interest, which is the interest earned on the principal amount only. Whereas compound interest amount increases every year, simple interest remains constant throughout the life of the investment.
Answer:
Compound Interest
Explanation:
Which of the following is not one of the categories into which the resources of a company are often divided?a. Human b. Social c. Financial d. Physical e. Value chain
The Value Chain is not one of the categories into which the resources of a company are often divided.
Here correct answer is D)
The Value Chain is a business analysis tool developed by Michael Porter in 1985, which is used to understand the activities that a company performs in order to create value for its customers. It is a tool to assess what activities a company should be engaged in, and how it should be organized to efficiently and effectively create value for its customers. The Value Chain is comprised of five primary activities: inbound logistics, operations, outbound logistics, marketing and sales, and service.
These activities are then divided into support activities such as procurement, technology development, and human resource management. The Value Chain is not a category of resources, but rather a tool used to understand how resources can be used to create value for customers.
Know more about Value Chain here
https://brainly.com/question/29781966#
#SPJ11
Why is leadership an integral part of an organization?
Organizational leadership conveys the organization's mission and vision, develops the strategic plan, and motivates people to use their skills to achieve the goals outlined in the plan and, ultimately, the leader's vision. Only a portion of the whole aim is achieved via traditional management.
Any organization's success depends significantly on its leadership. No organization can function effectively without effective leadership. To accomplish a set of goals through a human group, an organization is formed, and it becomes crucial to manage this human group.
An organization's ability to focus its resources for the achievement of goals and increased effectiveness is a crucial management function. Influential leaders are experts at inspiring and directing their team to achievement while having a positive impact on others.
To know more about leadership, refer to:
https://brainly.com/question/925501
#SPJ4
The information below illustrates a comparison made on an ________ basis.Company AGross Profit 2012: $2,742,000Gross Profit 2013: $ 3,600,100Gross Profit 2014: $4,785,550A. intracompanyB. incomeC. industry averagesD. intercompany
The information below illustrates a comparison made on an intercompany basis. Therefore, correct option is D.
This is because the data provided in this case is focused on a single company's gross profit across multiple years. Hence, it is a comparison between different periods within the same company. An intracompany comparison refers to comparing different aspects within the same company, while income and industry averages are not relevant to this type of comparison.
In an intercompany comparison, financial data from the same company over different periods are analyzed to identify trends, growth, and areas for improvement. Hence, the correct answer is option D.
Learn more about Intercompany:
https://brainly.com/question/31422700
#SPJ11
which of the following is an internet job search "do"
a. post your resume without considering privacy
b. pay attention to all directions before responding to job postings
c. assume that email is informal, private , or temporary.
d. take a passive role during your online job search.
Answer:
B
Explanation:
The reconstruction finance corporation is similar to later new deal legislation in that both.
The Recovery Finance Corporation is similar to the later New Deal Act in that the government protected the economy by interfering with the private sector.
Providing liquidity to the banking system and restoring public confidence in it was the primary goal of the Recovery Finance Corporation (RFC), established during the Hoover administration. The banking system was under great pressure during the recession of 1929-1933
He asked Congress in his December 1931 establishment of the Reconstruction Finance Company. Banks, railways and other institutions can borrow money from society.
To know furthermore about Reconstruction Finance at
https://brainly.com/question/333834
#SPJ4
3. Which of the following is not directly connected to value creation? 1. Earnings per share 2. Reinvesting profits to grow 3. Gross profits 4. Returns to capital that exceed costs of capital 4. Which of the following is not an example of a valuation multiple? 1. Debts to assets 2. Price to earnings 3. Current assets to current liabilities 4. Market capitalization to EBITDA
1. Gross profits is not directly connected to value creation. Gross profits represent the difference between revenue and the cost of goods sold, and they indicate the profitability of a company's core operations. While gross profits are important for assessing the efficiency of a company's operations, they do not directly measure the creation of value. Value creation is typically evaluated through factors such as earnings per share, reinvesting profits to grow, and returns to capital that exceed costs of capital.
2. Debts to assets is not an example of a valuation multiple. Valuation multiples are ratios used to value a company or its securities relative to a specific financial metric. Examples of valuation multiples include price to earnings (P/E ratio), current assets to current liabilities, and market capitalization to EBITDA. Debts to assets, on the other hand, is a solvency ratio that measures the proportion of a company's assets that are financed by debt. It is not a valuation multiple as it does not directly relate to valuing a company or its securities.
Learn more about Gross profits here
https://brainly.com/question/32468543
#SPJ11
A Chicago-based company decides to outsource all product designs to Singapore because it has been found to have the most efficient design companies. In this situation, the Blank______ implication for international business is being considered. Multiple choice question. first-mover location policy trade
In this situation when the company outsources its products the location implication for international business is being considered. Thus the correct answer is B.
What is outsourcing?Outsourcing is a technique in which a corporation contracts a third party to perform activities, manage operations, or offer services. These outsourcing companies will provide efficient work to the clients.
It arranges its own employees or computer systems to complete the tasks or provide the services, either on-site facilities or at off-site facilities locations.
These outsourcing services will help the business to lower the cost by outsourcing activities from countries where there is the availability of cheap manpower or skilled employees.
These will help to improve the productivity of a business by access to skilled resources and advanced technology. These will improve the efficiency and core competencies of the business.
Therefore, option B location is the correct answer.
Learn more about outsourcing, here:
https://brainly.com/question/14202035
#SPJ1
Nathan owns a termite inspection service, so he falls under the animal systems pathway in agricultural, food, and natural resources cluster?
True or False ?
true or false: incident response is a process in which an organization manages to handle an attack, which could be of any nature.
The statement is True. Incident response is a systematic approach to managing and mitigate the effects of an attack on an organization's IT infrastructure.
The attack could be of any nature, such as a cyber attack, natural disaster, or physical security breach. The incident response process involves preparation, detection and analysis, containment, eradication, and recovery. The goal is to minimize the impact of the incident on the organization's operations, reputation, and financial stability.
Effective incident response requires a well-defined incident response plan, trained personnel, and the use of specialized tools and technologies. Regular testing and updating of the plan are also crucial to ensure its effectiveness.
For more such questions on Incident response
brainly.com/question/19865161
#SPJ11
what are the basic requirements to become entrepreneur?Mention them
Answer:
Most entrepreneurs start their career with a business bachelor's degree or a specific bachelor's in entrepreneurship and then nourish their skills in an MBA program. In MBA programs, students are motivated to use their creative potential as they learn to build ventures.
Explanation:
hope it will help you have a great day bye and Mark brainlist if the answer is correct
\(kai6417\)
#carry on learning
When a firm has __________, it can place more emphasis on other objectives.
When a firm has money or dollars , it can place more emphasis on other objectives.
What is Firm objectives ?
Profit maximization is a business firm's primary goal, according to the traditional theory of the firm. Price and output of a given product under perfect competition are decided with the only goal of maximizing profits, under the assumptions of given tastes and technology.
What does the company hope to achieve financially?
firm is to maximize the wealth of its owners." that the management's top priority is stockholder wealth maximization, which translates into boosting the price of the common stock. maximize the firm's value. The goal is to increase the stock price in trading and markets that are thought to be efficient.
Learn more about Firm objectives
brainly.com/question/28523896
#SPJ4
under which circumstances is it permitted to share an unclassified draft document
The circumstances upon which it is permitted to share an unclassified draft document is:
"when the document is approved for public release."
According to regulations guiding business operations, it can share an unclassified draft document if and when it is approved for public sharing.At this point, individuals may share such documents outside of DoD.Hence, in this case, it is concluded that an individual is permitted to share unclassified draft documents with a non-DoD professional discussion group.
Learn more here: https://brainly.com/question/17635504
What is the cost of capital for the building if its value is $1900000 and annual cash flows forever of $200000 are expected with the first one in 1 year?
Cost of Debt = Credit Spread + Risk-Free Rate of Return (1 – Tax Rate)
The return a business must achieve to cover the cost of a capital project, such purchasing new machinery or constructing a new structure, is known as the cost of capital. The costs of both equity and debt are included in the cost of capital, depending on the company's chosen or existing capital structure. A company's long-term performance depends on its equity, which is the sum of money shareholders receive after selling off assets and paying off obligations.
The cost of a company's money (debt and stock) is what economists and accountants refer to as the cost of capital, or from the perspective of an investor, "the needed rate of return on a portfolio company's current securities." It is employed by businesses to assess new projects.
To learn more about cost of capital from the given link.
https://brainly.com/question/27752995
#SPJ4
Distinguish between the sources of information about foreign employment and the ways of getting it.
Working for a company in another country is referred to as foreign employment, and you usually only work in one country. This wouldn't be your native country .
While the terms "foreign employment" and "international workforce" (people of a different nationality) are sometimes used interchangeably, the term really refers to a multinational corporation expanding outside of its home country and recruiting there.
Employers prefer foreign employment because they cannot find qualified local employees, necessitating the hiring of foreigners to do the job.
The following are some methods for obtaining information about foreign employment:
Newspapers, notice boards, electronic media (radio, FM, television, etc.), websites, and public programs
Learn more on foreign employment-
https://brainly.in/question/15969075
#SPJ9
Roselawn Company reported net sales of $90,000 and net income of $18,000 for the previous year ended December 31. The company reported net sales of $100,000 and net income of $20,000 for the current year ended December 31. Total assets amounted to $200,000 at December 31 of the previous year and $246,000 at December 31 of the current year. The company’s profit margin for the current year ended December 31 (rounded to the nearest decimal point) is:
Answer:
The company’s profit margin for the current year ended December 31 (rounded to the nearest decimal point) is 20%
Explanation:
Use the following formula to calculate the Profit Margin
Profit Margin = \(\frac{Net Income}{Net Sales} X 100\)
Where
Net Income = $20,000
Net Sales = $100,000
Placing values in the formula
Profit Margin = \(\frac{20000}{100000} X 100\)
Profit Margin = 0.2 x 100
Profit Margin = 20%
Adjusting entries to record expenses incurred in the current period, that will be paid in a future period, is described as
Answer: accruing unpaid expenses
Explanation:
Companies communicate information about their business activities primarily through.
Firms are known to have financial statements. Companies communicate information about their business activities primarily through financial statements.
What are Financial statements?This is simply known as the written records that tells us the business activities and the financial performance of a specific firm.
Financial statements are known to be audited by government agencies, accountants, firms, etc. to known its accuracy etc.
The order of financial statements are:
Income statementCash flow statementStatement of changes in equityBalance sheet, etc.Learn more about financial statements from
https://brainly.com/question/26187077
.A ______ draft is paid on demand; whereas a bank would pay a _____ draft at maturity as stated in the ____A.time; sight; letter of creditB.sight; time; bill of ladingC.time; sight; bill of ladingD.sight; time; letter of credit
The correct answer is D. A sight draft is paid on demand; whereas a bank would pay a time draft at maturity as stated in the letter of credit.
A sight draft is paid on demand; whereas a bank would pay a time draft at maturity as stated in the letter of credit. A sight draft requires immediate payment upon presentation, while a time draft has a specific date for payment, allowing the buyer more time to gather funds.
The letter of credit serves as a guarantee for the seller that the bank will make the payment once the conditions outlined in the letter of credit are met. So answer is D.
To know more about Time Drafts visit-
https://brainly.com/question/29645285
#SPJ11
for business and personal finance: What is insurance?
Answer:
Insurance is the procedure by which persons or companies exposed to a specific risk agree with an institution specializing in compensation for damage that the institution will indemnify the damage caused when the risk materializes. The resulting contract is called insurance.
From a commercial point of view, insurance can be defined as the means by which the cost of incidental damage can be converted evenly into a continuous annual cost on an annual basis.
What are the roles of agriculture is to maximize the production in the agricultural sector ?
Agricultural modernization prepares conditions for industrialization by boosting labor productivity, increasing agricultural surplus to accumulate capital, and increasing foreign exchange via exports. ... As agriculture becomes more productive, excess labor moves from rural farm jobs to urban manufacturing jobs.
Why is strength an internal force
Answer:
Because it comes from within the person.
Explanation:
In business, we learn about the concept of internal force and external force as two factors that could influence the outcome of a certain event.
External forces are the type of influences that come from our environment. Generally, it's not something that we can control. We have to make proper adaptation to address the external forces to prevent it from ruining our goals.
Example of External Goals : Natural disaster, Future laws made by the government, etc.
Internal forces on the other hand are the type of influences that come from within ourselves as a person. It is something that we can control and constantly thrive to improve in order to make it easier for us to achieve our goals.
Example of internal goals: Strength, Emotional stability, Motivation, etc.
Bavarian Bar and Grill opened for business in November 2021. During its first two months of operation, the restaurant sold gift cards in various amounts totaling $5,200, mostly as Christmas presents. They are redeemable for meals within two years of the purchase date, although experience within the industry indicates that 80% of gift cards are redeemed within one year. Gift cards totaling $1,300 were presented for redemption during 2021 for meals having a total price of $2,100. The sales tax rate on restaurant sales is 4%, assessed at the time meals (not gift cards) are purchased. Sales taxes will be remitted in January. Required: 1. Prepare the appropriate journal entries (in summary form) for the gift cards and meals sold during 2021 (keeping in mind that, in actuality, each sale of a gift card or a meal would be recorded individually). 2. Determine the liability for gift cards to be reported on the December 31, 2021, balance sheet. 3. What is the appropriate classification (current or noncurrent) of the liabilities at December 31, 2021
1- Journal Entries: a. November 2021: Cash (or Accounts Receivable) $5,200 Gift Card Liability $5,200
b. December 2021: Cash (or Accounts Receivable) $2,100 Sales Revenue $2,000 Sales Tax Payable $80 Gift Card Liability $1,300
Gift Card Breakage Revenue $100 ($1,300 x 20%)
In November 2021, the restaurant received $5,200 in cash (or accounts receivable) from the sale of gift cards. This results in a liability for the restaurant as the gift cards are redeemable for meals within two years of the purchase date. In December 2021, customers presented gift cards with a total value of $1,300 to pay for meals that cost $2,100. Since the meals were sold in December, the restaurant collected 4% sales tax on the meals ($2,100 x 4% = $80). The $2,000 ($2,100 - $80) received from the customers is recorded as sales revenue, and the sales tax collected is recorded as a liability until remitted in January. The liability for the unredeemed gift cards at the end of the year is $1,300 ($5,200 - $2,100) and is recorded as a liability. The restaurant also recognizes $100 of breakage revenue ($1,300 x 20%) since experience within the industry indicates that 80% of gift cards are redeemed within one year.
2- Liability for Gift Cards:
The liability for gift cards to be reported on the December 31, 2021, balance sheet is $1,300.
3- Classification of Liabilities:
The liability for gift cards should be classified as current liabilities on the December 31, 2021, balance sheet since they are expected to be redeemed within one year.
Learn more about “ Gift Card Revenue “ visit here;
https://brainly.com/question/30610028
#SPJ4
How does a command economy differ from a mixed market economy? 1. In a command economy, citizens have fewer property rights. In a mixed market economy, citizens have more property rights. 2. In a command economy, citizens have more property rights. In a mixed market economy, citizens have fewer property rights. 3. In a command economy, citizens own all public property. In a mixed market economy, the government owns all private property. 4. In a command economy, citizens own all private property. In a mixed market economy, the government owns all public property
Answer: In a command economy, citizens have fewer property rights. In a mixed market economy, citizens have more property rights. A command economy is one in which the government has almost complete control of property, businesses, and the economy in general.
Explanation:
Mia doesn't have any credit history, so she's going to open a secured credit card to begin building her credit. She puts down an $800 security deposit. What feature of an unsecured credit card is Mia's security deposit most like?
the APR
the term
the credit limit
the annual fee
Answer:
i think it will be A OR C
Explanation:
The APR feature of an unsecured credit card is Mia's security deposit most like. If the new card doesn't offer a cheaper annual percentage rate, there is no benefit in transferring his credit card balance from one to the other.
What ways does a secured credit card aid in building credit history?
If you consistently make on-time payments, stay out of late fees, and maintain a low balance on your secured credit card, you might be able to create or improve your credit score. Most secured credit cards will notify the three credit reporting bureaus of your payment activity.
You won't have a credit score if you haven't used credit yet. After you open your first credit line, such as a credit card or student loan, you start to develop your credit score. At that time, how you use that first credit account affects your credit score.
To know more about APR, refer:
brainly.com/question/8846837
#SPJ2
Here is the condensed 2021 balance sheet for Skye Computer Company (in thousands of dollars): 2021 Current assets Net fixed assets $1,400 2,600 $4,000 Total assets $ 600 200 1,350 250 Accounts payable and accruals Short-term debt Long-term debt Preferred stock (10,000 shares) Common stock (40,000 shares) Retained earnings Total common equity Total liabilities and equity 775 825 $1,600 $4,000 Skye's earnings per share last year were $2. 60. The common stock sells for $45. 00, last year's dividend (Do) was $1. 90, and a flotation cost of 11% would be required to sell new common stock. Security analysts are projecting that the common dividend will grow at an annual rate of 10%. Skye's preferred stock pays a dividend of $2. 70 per share, and its preferred stock sells for $30. 00 per share. The firm's before-tax cost of debt is 9%, and its marginal tax rate is 25%. The firm's currently outstanding 9% annual coupon rate, long-term debt sells at par value. The market risk premium is 5%, the risk-free rate is 6%, and Skye's beta is 1. 612. The firm's total debt, which is the sum of the company's short-term debt and long-term debt, equals $1. 55 million
The growth rate of dividends: is 0.0513 or 5
Total common equity = Common stock + Retained earnings
Total common equity = 40,000 shares * $45 per share + $825,000
Total common equity = $2,025,000
Calculate the cost of common equity using the CAPM model:
RCE = RF + β × (RM - RF)
RCE = 0.06 + 1.612 × 0.05
RCE = 0.14 or 14%
Calculate the cost of preferred stock:
RPS = Dps / Pps
RPS = $2.70 / $30
RPS = 0.09 or 9%
Calculate the cost of debt:
Rd = 0.09
Calculate the weighted average cost of capital (WACC):
WACC = (E/V) × RCE + (D/V) × Rd × (1 - T) + (P/V) × RPS
where E = market value of equity, D = market value of debt, P = market value of preferred stock, V = total value of the firm, and T = marginal tax rate.
First, we need to calculate the market value of equity:
Market value of equity = Number of common shares outstanding × Price per share
Market value of equity = 40,000 shares × $45 per share
Market value of equity = $1,800,000
Next, we need to calculate the market value of debt:
Market value of debt = Short-term debt + Long-term debt
Market value of debt = $775,000 + $775,000
Market value of debt = $1,550,000
Next, we need to calculate the market value of preferred stock:
Market value of preferred stock = Number of preferred shares outstanding × Price per share
Market value of preferred stock = 10,000 shares × $30 per share
Market value of preferred stock = $300,000
Finally, we can calculate the total value of the firm and the WACC:
Total value of the firm = Market value of equity + Market value of debt + Market value of preferred stock
Total value of the firm = $1,800,000 + $1,550,000 + $300,000
Total value of the firm = $3,650,000
WACC = ($1,800,000 / $3,650,000) × 0.14 + ($1,550,000 / $3,650,000) × 0.09 × (1 - 0.25) + ($300,000 / $3,650,000) × 0.09
WACC = 0.1142 or 11.42%
Calculate the growth rate of dividends:
Growth rate of dividends = Retention rate × Return on equity
Retention rate = 1 - Dividend payout ratio
Dividend payout ratio = Do / Earnings per share
Dividend payout ratio = $1.90 / $2.60
Dividend payout ratio = 0.73 or 73%
Retention rate = 1 - 0.73
Retention rate = 0.27 or 27%
Return on equity = Earnings per share / Book value per share
Book value per share = Total common equity / Number of common shares outstanding
Book value per share = $2,025,000 / 40,000 shares
Book value per share = $50.625 per share
Return on equity = $2.60 / $50.625
Return on equity = 0.0513 or 5
Learn more about growth rate Visit: brainly.com/question/25849702
#SPJ4
Plz help this is timed
Answer:
the first option
Explanation:
All other options can be used to validate the checking up of the notes but verifying serial number is not ideal
Answer:
Verifying serial number
Explanation:
If they had a published list, counterfit makers would just use the list to generate serial numbers.
The interest rate a company pays on loans depends in part on
A. its current ratio, debt-asset ratio, and operating profit as a percentage of global sales revenues.
B. its credit rating and the length of the term of the loan (1-year versus 5-year versus 10-year)--the longer the payback period, the higher the interest rate.
C. its debt-equity ratio and interest coverage ratio in the prior year.
D. whether its credit rating is above or below a B rating--all loans made to companies with a B or lower rating are made at prime plus 3.5%, while loans to companies with a credit rating of B+ or above are made at prime plus 1.5% [prime is defined as the "base" or "lowest" interest rate that creditors charge very low-risk customers who put up 200% or more collateral]
E. the extent to which its default risk ratio is above/below 3.0.
The interest rate a company pays on loans depends in part on credit rating and the length of the term of the loan the longer the payback period, the higher the interest rate.
Option B is correct.
What does the term "interest rate" mean?An interest rate tells you how much borrowing costs and how much saving pays off. As a result, if you're a borrower, the interest rate is the percentage of the total loan amount that you pay to borrow money.
What kinds of interest rates exist?The three main types of interest rates are as follows: the effective rate, the real interest rate, and the nominal interest rate. The stated rate at which interest payments are calculated is what is referred to as the nominal interest on an investment or loan.
Learn more about interest rate:
brainly.com/question/25816355
#SPJ1