the balance sheet of integrated systems reports total assets of $887,000 and $949,000 at the beginning and end of the year, respectively. sales revenues are $1.6 million, net income is $194,000, and net cash flows from operating activities are $147,000. calculate the cash return on assets, cash flow to sales, and asset turnover for integrated systems. (do not round intermediate calculations. round your final answers to 1 decimal place.)

Answers

Answer 1

The cash return on assets is 15.7%,  cash flow to sales is7.6%, and asset turnover for integrated systems is 2.1 times.

Cash return on assets

= Cash flows from operating activities / Average total assets

= 145,000 / [(898,000+951,000)/2]

= 15.7%

Cash flow to sales

= Cash flows from operating activities / Sales

= 145,000 / 1,900,000

= 7.6%

Asset Turnover

= Sales / Average total assets

= 1,900,000/924,500

= 2.1 times  

Asset turnover (ATO), total asset turnover, or asset turns is a financial ratio that measures the efficiency of a business enterprise's use of its assets in producing sales or income profits for the employer. Asset turnover is taken into consideration to be an interest Ratio, that's a set of monetary ratios that measure how efficiently an enterprise uses assets.

Asset turnover may be similarly sub-divided into constant asset turnover, which measures an organization's use of its fixed assets to generate revenue, and operating capital turnover, which measures an employer's use of its cutting-edge property minus liabilities to generate sales.

General asset turnover ratios can be used to calculate go-back on equity (ROE) figures as part of DuPont analysis. As an economic and pastime ratio, and as part of DuPont evaluation, asset turnover is part of the agency's essential analysis.

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Related Questions

Jennifer is a full-time student at University. She is finished her Junior year and started her senior year in 2020. Jennifer lived with her aunt while she attended school. Her aunt paid for all of her basic living expenses during 2020, including the summer months. Jennifer's parents paid for Jennifer's tuition costs of $20,000 in 2020. On Jennifer's parents' federal tax return, how much of an education credit can they claim for 2020

Answers

Answer:

Jennifer parents can get a tax credit of $2,500

Explanation:

As per the rule smaller of the two can be claimed as education tax credit

a) $1000 (40% of the total eligible tax credit)

b) maximum annual credit of $2,500 per eligible student

Jennifer parents can get a tax credit of $2,500

a company can manipulate income by overstating an impairment loss. the financial statement effects of this are (select all that apply.) multiple select question. future income is unrealistically high. future depreciation, depletion, or amortization is unrealistically low. current-year income is low. retained earnings in the year of the impairment loss is overstated.

Answers

In conclusion, a company can manipulate income by overstating an impairment loss, and the financial statement effects of this are that future income is unrealistically high, and retained earnings in the year of the impairment loss is overstated.

If a company overstates its impairment loss, the financial statement effects are (select all that apply) future income is unrealistically high, and retained earnings in the year of the impairment loss is overstated. An impairment loss happens when the value of a company's long-term asset has declined, and the carrying amount surpasses the fair value of the asset. This indicates that the asset is no longer generating the predicted amount of money.The financial statement effects of overstating an impairment loss include the following:Future income is unrealistically high.Retained earnings in the year of the impairment loss are overstated. However, overstating an impairment loss leads to lower current-year earnings, as the loss is greater than it should be.The overstatement of an impairment loss also leads to lower future depreciation, depletion, or amortization, which is unrealistically low. This is because depreciation, depletion, and amortization expenses will be reduced as the cost of the asset is lower than it should be.In conclusion, a company can manipulate income by overstating an impairment loss, and the financial statement effects of this are that future income is unrealistically high, and retained earnings in the year of the impairment loss is overstated.

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You are a member of the board of directors for Selfless Health, an integrated delivery system that includes an academic medical center, three community hospitals, a long term care facility, and a home health agency. Selfless Health struggles to operate in the black, in fact any years where the system does not lose money is considered an achievement. The board has been approached by MMC (Massive Mega-Capital, a venture capital firm) with an offer to acquire the health system.

The board chair has asked you to provide a summary analysis comparing not-for-profit and for-profit health systems. What are the benefits and risks of each model? Is there evidence of the superiority of either system? Does your home state allow for-profit ownership of hospitals? Conclude your summary with a recommendation for Selfless Health. Should it accept the takeover? Why or why not?

Answers

Not-for-profit health systems are typically exempt from taxes. For-profit health systems are driven by the bottom line and typically have more capital for investment. Yes, there are evidence of the superiority of either system. It depends from state to state as law differs. An analysis of the unique context of the organization should be conducted to determine the best option for Selfless Health. So according to the report it should decide.

There are distinct benefits and risks of both not-for-profit and for-profit health systems. Not-for-profit health systems are typically exempt from taxes, are governed by a board of directors, and have more flexibility in the types of services they can offer.

On the other hand, for-profit health systems are driven by the bottom line and typically have more capital for investment and operations. However, these systems may struggle with providing care for the underserved, as well as limiting transparency and facing external pressures from shareholders and investors.

Evidence does suggest that there is no superiority of either system; each one provides different benefits and carries different risks. It is also important to note that the laws and regulations regarding for-profit ownership of hospitals vary by state, so it is important to determine if your home state allows such ownership.

In conclusion, the board of directors at Selfless Health should carefully consider all the benefits and risks of both not-for-profit and for-profit systems before deciding whether or not to accept the takeover. An analysis of the unique context of the organization should be conducted to determine the best option for Selfless Health.

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What type of transactions should be recorded in the Payment, Fee, Withdrawal column
of your check register?

Answers

I don’t know Iam adult but I don’t know

true or false: although most appraisal assignments involve the valuation of properties with improvement (buildings) on the land, appraisers often must separately value the land.

Answers

Although most appraisal assignments involve the valuation of properties with improvements (buildings) on the land, appraisers often must separately value the land. This is a correct statement.

In the context of real estate appraisal assignment refers to an engagement for which a party or individual is retained to act, or would be perceived by the public as acting, as a disinterested entity in rendering an unbiased supportable appraisal. In the appraisal assignments process when the valuation of properties is made, the appraisers must separately value the land with building or construction on it.

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What does the phrase high risk = High reward mean when it comes to investing?

Answers

Answer: The phrase “higher risk, higher reward” is used in the general sense to set ratios between riskier stocks and more stable bonds and cash holdings. Investors adjust their risk according to their station in life.

Explanation:

What is the present value of the following uneven cash flow stream? The appropriate interest rate is 10%, compounded annually.

Answers

The present value of the uneven cash flow stream is $12,208.94.

In finance, the present value is the current value of a future stream of cash flows discounted at a specific rate of return. In this answer, we will focus on the calculation of the present value of an uneven cash flow stream using a 10% interest rate compounded annually.

An uneven cash flow stream is a series of cash flows that vary in amount and timing. To calculate the present value of an uneven cash flow stream, we need to discount each cash flow back to its present value using the appropriate discount rate.

The present value of each cash flow is then summed to obtain the present value of the entire cash flow stream.

For example, let's consider the following uneven cash flow stream:

Year 1: $1,000

Year 2: $2,000

Year 3: $3,000

Year 4: $4,000

Year 5: $5,000

To calculate the present value of this cash flow stream, we need to discount each cash flow back to its present value using a 10% interest rate compounded annually. The formula for calculating the present value of a single cash flow is:

PV = CF/(1 + r)^n

Where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of periods.

Using this formula, we can calculate the present value of each cash flow as follows:

Year 1: $1,000/(1 + 0.10)^1 = $909.09

Year 2: $2,000/(1 + 0.10)^2 = $1,652.89

Year 3: $3,000/(1 + 0.10)^3 = $2,487.10

Year 4: $4,000/(1 + 0.10)^4 = $3,486.85

Year 5: $5,000/(1 + 0.10)^5 = $4,673.01

The present value of the entire cash flow stream is the sum of the present values of each cash flow, which is:

PV = $909.09 + $1,652.89 + $2,487.10 + $3,486.85 + $4,673.01

PV = $12,208.94

Therefore, the present value of the uneven cash flow stream is $12,208.94.

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You own an ice cream store and are concerned that an employee may be giving generous scoops to friends and family and smaller scoops to some other customers. This may be reducing sales. In this example, you are the

Answers

Based on the story above, we are the example of principal. In other side, the employee is the example of agent.

In economic and business, marketing generally can be defined as the activity,  processes for creating, set of institutions, communicating, delivering, and exchanging offerings that have value for partners, customers, clients, and society at large. There are several key point in marketing, there are product, price, place, and promotion. In the other side, there are several types of marketing, such as sales promotion and brand marketing. In the marketing also there are seller, employee, and buyers.

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True or false: Corporate Social Responsibility (CSR) and corporate profits can at times go hand in hand.
True false question.
True
False

Answers

Answer:

TRUE

Explanation:

I think that answer

Preferred stock dividends (L.O. 2, 3)

Furlow Industries was organized at the beginning of 19×1.
Information about the company's stock follows.

Preferred stock

Cass A-$50 par, 8% cumulative, 10,000 shares issued and
outstanding
Class B-$10 par, 10% noncumulative, 6000 shares issued and outstanding
common stock-$5 par, 100,000 share authorized, 80,000 shares issued and outstanding
Class A preferred has preference over class B, and both have preference over common.
No dividends were distributed in 19×1. Distributions in 19×2, 19×3, and 19x4 amounted to $55,000, $75,000 and $90,000, respectively.


Instructions

a. Would Furlow have any dividends in arrears at the end of 19×1? If "yes," how would such amounts be treated in the financial statements?
b. Determine the dividends distributed in 19×2, 19×3, and 19×4 to class A stockholders, class B stockholders, and common stockholders.
c. Suppose Kenneth Sanchez is considering a purchase of Furlow's stock at the beginning of 19×5, primarily because of the accompanying dividend. What factor(s) should Sanchez consider in deciding whether to acquire class A stock, class B stock, or common stock

Answers

a. Furlow Industries would not have any dividends in arrears at the end of 19x1 because it did not pay dividends in that year. The unpaid dividends on cumulative preferred stock would have been reflected in the retained earnings balance in the financial statements of the company. These dividends in arrears are the unpaid dividends on cumulative preferred stock from prior years.

b. The dividends distributed in 19x2, 19x3, and 19x4 to Class A stockholders, Class B stockholders, and common stockholders are as follows:

19x2

Class A stockholders will get $40,000 in preferred dividends (8% × $50 par × 10,000 shares) since the preferred dividends are cumulative, and $0 is distributed to Class B stockholders and common stockholders.

19x3

Class A stockholders will get $64,000 in preferred dividends (8% × $50 par × 10,000 shares) since the preferred dividends are cumulative, and $11,000 is distributed to Class B stockholders and $0 to common stockholders.

19x4

Class A stockholders will get $96,000 in preferred dividends (8% × $50 par × 10,000 shares) since the preferred dividends are cumulative, and $14,000 is distributed to Class B stockholders and $20,000 to common stockholders.

c. Kenneth Sanchez should consider the following factors while deciding whether to acquire class A stock, class B stock, or common stock:

Risk: Common stock is the riskiest form of stock, while preferred stock is less risky. Class A stock is more secure than class B stock because it is a cumulative preferred stock.

Dividend yield: The dividend yield on each type of stock should be considered. Class A stock has a higher dividend yield than Class B stock and common stock.

Priority: Class A preferred stockholders have the first claim on dividends, followed by Class B preferred stockholders. Common stockholders are the last to receive dividends.

Voting rights: Common stockholders are the only shareholders who have voting rights. The preferred stockholders do not have any voting rights.

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For each scenario, calculate the cross-price elasticity between the two goods and identify how the goods are related. Please use the midpoint method when applicable, and specify answers to one decimal place. A 20% price increase for Product A causes a 10% decrease in its quantity demanded, but no change in the quantity demanded for Product B.

Answers

Answer:

No relation

Explanation:

The computation of the cross elasticity of demand is shown below:

= Percentage change in quantity demanded ÷ Percentage change in price

here the price is increased by 20% for product A

But there is no change in the quantity demanded for product B

So, the cross elasticity of demand is

= 0 ÷ 20%

= 0

Therefore there is no relation between two products or goods

I need advice on Commission prices...so far, I have come up with this:
Shoulders&up = $5, Hips&up = $7, Full body = $10
Line Art = see above prices, Black&White = +$3, Colored = +$5
Pet = +$1, Mounted = +$3, Background = +$5
Is this good? Am I over/underpricing my work? Am I just wasting my time and hopes on this?

Answers

Answer:

It's good

Explanation:

Don't put yourself down you're not wasting your hopes or time. You're doing what you like doing and that's what counts

A person performs a cost-benefit analysis in order to:
A. calculate the expenses of multiple businesses competing in the
same market.
B. evaluate the possible positive and negative effects of different
economic decisions.
C. analyze economic data to reach general conclusions about a
country's economy.
D. determine the tax rates a business will pay depending on its
profits in a year.
o

Answers

Answer:

B. evaluate the possible positive and negative effects of different economic decisions.

Explanation:

Cost-benefit analysis (CBA) is used to examine and compare the cost associated with a project or task and the benefits derived from it.

Simply stated, cost-benefit analysis is a form of utilitarianism commonly used by individuals, business firms and government in the decision-making process, as all the cost incurred are determined and analyzed.

This ultimately implies that, it may be used to determine how changes in differing levels of activities such as costs and volume affect a company's operating income and net income.

Cost-benefit analysis (CBA) sums the total cost associated with a project (activity) and compares this cost against the total benefits that would be generated. Thus, it helps in the decision-making process by comparing the net present value (NPV) of the cost of a particular project with the net present value (NPV) of its benefits.

Hence, a person performs a cost-benefit analysis in order to help him or her evaluate the possible positive and negative effects of different economic decisions with respect to an investment, project, activity, or programme.

which wheel settings change when you mount the subframe incorrectly in the transverse direction? Check all that apply
TOE
CAMBER
STEERING AXIS INCLINATION (SAI)
CASTER

Answers

The wheel settings that change when you mount the subframe incorrectly in the transverse direction is "CASTER" (Option D)

What is Caster?

Caster is the process of aligning a wheel with the direction of travel, which can be performed by caster displacement or caster angle. As with the front wheels of a shopping cart, caster displacement shifts the steering axis forward of the axis of wheel rotation. The steering axis is moved away from the vertical by the caster angle.

The caster angle, also known as the castor angle, is the angular displacement of the steering axis from the vertical axis of a steered wheel of a car, motorbike, bicycle, another vehicle, or watercraft as seen from the side.

Positive caster enhances the responsiveness of your vehicle while negotiating bends and the stability of your car when going at greater speeds. The sole disadvantage of a positive caster is that it increases the amount of effort required to steer your car.

Turning plates and a digital or bubble camber/caster gauge are the two most common methods for measuring caster angles. Measuring the upper and lower wishbone mounting points or the MacPherson strut angle.

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Describe the computation of the limit placed on the business interest deduction. is the disallowed business interest ever deductible?

Answers

The total of business interest income plus thirty percent of the company's adjusted taxable income may be deducted as business interest expenditure. Adjusted taxable income is defined as taxable income allocated to the business activity determined before deductions for interest, depreciation, amortization, or depletion. Business interest is defined as any interest paid on debt allocated to a trade or business activity. It is possible to keep using disallowed business interest forever.

The section 163(j) limitation does not apply to you for the 2019 tax year, notwithstanding the fact that you are subject to it for the 2018 tax year. Any business interest expense that was not permitted in 2018 due to the limitation is carried over to 2019 and won't be restricted in that year. As a result, for the 2019 tax year, you do not need to calculate the section 163(j) limitation.

On a legitimate debt, a taxpayer may write off interest that was collected or paid during the tax year. Business interest expense was generally deductible in the year the interest was paid or accrued prior to the Tax Cuts and Jobs Act of 2017 (TCJA), subject to several restrictions.

With an exemption for small firms, the TCJA repealed the earnings stripping restrictions in 163(j) by capping the deduction for net business interest expense at 30% of a taxpayer's "adjusted taxable income."

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what two tasks are included in developing findings as part of the marketing research approach? multiple select question. evaluating decisions presenting findings implementing recommended actions analyzing data

Answers

Developing findings as part of the marketing research approach includes two tasks: analyzing data and presenting findings.

The first task involved in developing findings is analyzing data. This involves collecting and organizing data obtained from the research process. The data is then analyzed using various statistical methods to identify patterns, trends, and relationships. By doing so, the researcher can gain insight into the research problem and formulate conclusions.

The second task is presenting findings. This involves communicating the results of the analysis to the relevant stakeholders in a clear and concise manner. The presentation should be tailored to the audience and may include visual aids such as charts or graphs.

The purpose of presenting findings is to convey the information obtained from the analysis to those who will make decisions based on the research.

It is worth noting that developing findings is only one part of the marketing research process. Once findings have been presented, decisions must be evaluated, recommended actions implemented, and the impact of these actions must be monitored. However, analyzing data and presenting findings are crucial steps in the process of conducting effective marketing research.

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Which of the strategies listed are used to determine a transfer price? A. Negotiated price O B. Market price OC. Cost 0 D. All of the above.

Answers

The strategies used to determine a transfer price include A. Negotiated price B. Market price C. Cost. The answer is D. "All of the above".

When determining a transfer price, companies can use various strategies, including negotiated price (A), market price (B), and cost (C). The negotiated price involves setting the transfer price through discussions and agreements between the buyer and seller. Market price refers to using the prevailing market rates for similar goods or services as the basis for the transfer price. Cost-based pricing considers the production and related costs incurred by the selling entity when determining the transfer price.

By considering all of these strategies, companies can assess different factors such as market conditions, production costs, and the bargaining power of the parties involved. This helps in establishing a fair and reasonable transfer price that aligns with market dynamics while also considering the internal costs and profitability goals of the company.

The answer is D. "All of the above".

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Decision Point: Using the Association to Grow the Business Several months after starting the advertising campaign, you meet with the director again. She says, "Our consumers are finally associating our cookie with a good-tasting experience over time. We see this in increased sales as well." She continues, "We feel that we can use this newly forged association in the consumer's mind between the cookie brand name and good taste in other ways to help grow our business, but we're not sure how. I'd like you to come up with some ideas." Which of the following options is the best choice to use the brand and its association in the consumer's mind with good taste? Select an option from the choices below and click Submit. License the brand to another company to use on a potato chip. Develop a line extension using the brand on a chocolate chip cookie. License the brand to a company that wants to use it on their lower cost baked goods.

Answers

The best choice to utilize the brand and its association with good taste in the consumer's mind would be to develop a line extension using the brand on a chocolate chip cookie.  Option B.

By developing a line extension, the company can leverage the positive association consumers have between the brand name and good taste to introduce a new product variant that aligns with their existing offerings. Chocolate chip cookies are a natural fit as they maintain the core essence of the original cookie while adding a popular flavor variation.

This allows the company to tap into the existing customer base who already associate the brand with good taste and provide them with a new product option to explore.

Introducing a line extension also provides an opportunity for the company to expand its market reach and capture new customers who may be attracted to the brand's reputation for quality and taste. By leveraging the positive brand association, the company can differentiate its chocolate chip cookies from competitors and establish a strong presence in the market.

On the other hand, licensing the brand to another company to use on a potato chip or licensing it to a company that wants to use it on their lower-cost baked goods may dilute the brand's association with good taste. Associating the brand with lower-cost or unrelated products could create confusion among consumers and weaken the brand's overall image.

Therefore, developing a line extension with a chocolate chip cookie aligns with the brand's existing identity, capitalizes on the positive association with good taste, and provides the company with the opportunity to expand its product portfolio while maintaining brand consistency and consumer loyalty. So Option B is correct.

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Define Networking
Explain types of Network
Explain topologies​

Answers

Answer: Network topology is the way a network is arranged , including the physical or logical description of how links and nodes are set up to relate to each other. There are numerous ways a networks can be arranged , all with different pros and cons and some are more useful in certain circumstances than others. hope you  understand

Explanation:

Calculate net worth using the following information.

Assets Liabilities
car - $3,500 car loan - $3,000
savings account - $1,000 credit card - $500
cash - $80
stock - $120
$1,200
$8,200
$12,000
$500

Answers

The net worth of the person, using the given information, can be found to be $ 1, 200

What is a person's net worth ?

The value of all assets less the sum of all obligations is what is known as net worth. In other words, net worth is the sum of all assets minus all liabilities.

A person's or company's net worth is the value of their assets less the amount of obligations they have. It is a crucial indicator for assessing a company's health because it offers a helpful overview of its present financial situation.

In the financial industry, one's net worth—also known as net wealth—is used to determine whether a person is eligible for a particular set of investment opportunities or financial products, such as hedge funds, structured products, or other sophisticated or alternative investments.

The net worth of a person can be found by the formula :

= Assets - Liabilities

= 3, 500 + 1, 000 + 80 + 120 - 3, 000 - 500

= 4, 700 - 3, 500

= $ 1, 200

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You are an American, working for a US hospital. The hospital sells services to a French hospital. Given a depreciation of the Euro, your French subsidiary (the one that receives the revenues from the French Hospital) received a lesser income last year, although a clause in your contract stipulates adjustment payment in US dollars. Therefore, your subsidiary has a balance sheet loss, although your consolidated global result is positive. This type of foreign exchange risk is known as:

Answers

Answer:

translation exposure

Explanation:

Translation exposure is also known as translation risk. In this type of risk, the value of a company's assets, equities, income, or liabilities change due to changes in the exchange rate,

French subsidiary received a lesser income last year, although payment will be adjusted in US dollars as per the contract.

Due to this, the subsidiary has a balance sheet loss, although the consolidated global result is positive.

This type of foreign exchange risk is known as translation exposure.

a musical instrument manufacturer is considered the best in the industry in terms of human resource management and its excellent supply chain that assures the company will deliver products on time. which macro strategy does this company demonstrate to achieve a sustainable competitive advantage?

Answers

Operational excellence is the plan for Niro music to gain a competitive advantage.

Early in the 1970s, Dr. Joseph M. Juran introduced the concept of operational excellence while educating Japanese industry leaders on how to improve quality. It was defined in the United States in the 1980s in reaction to "the crisis" experienced by large, established firms, whose market share was decreasing as a result of high-quality items imported from Japan.

An excellent workplace culture can be fostered using certain strategies and ideas that are part of the operational excellence style of thinking. Each employee must be able to recognise, provide for, and improve the flow of value to a client for there to be operational excellence.

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X Company, which uses the gross method and a perpetual inventory system, sold $2,000 of merchandise on account with credit terms of 2/10,n/30. If the customer pays within the discount period and takes the discount, X will record a journal entry that includes ______. (Check all that apply.)

Answers

Answer.

Explanation.

20 Characters long

3. What is an annual percentage rate (APR)? Describe one similarity and one
difference between the APR and the interest rate on a credit card or loan. Why
would the APR differ from a creditor's posted interest rate? In your response, also
explain how borrowers can use the APR to evaluate loan options, and describe why
borrowers should be wary of low introductory APRs. (8 points)
7

Answers

An annual percentage rate, or APR, is a figure that expresses the entire cost of borrowing money as a proportion of the loan's principle. An accurate picture of how much it costs to borrow money is intended to be provided by the APR on a loan or credit card.

What is annual percentage rate?

The term annual percentage rate of charge refers to the interest rate for an entire year rather than just a monthly fee or rate as applied on a loan, home loan, credit card, etc. It can also be referred to as a nominal APR or an effective APR. It is an annual rate of a finance charge. An annual percentage rate, or APR, is a figure that expresses the entire cost of borrowing money as a proportion of the loan's principle. An accurate picture of how much it costs to borrow money is intended to be provided by the APR on a loan or credit card.

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Gilbert Enterprises

Tom Gilbert, founder and chair of the board of Gilbert

Enterprises, could not believe his eyes as he read the quote about

his firm in The Globe and Mail. The stock had closed at

$3

Answers

The closing price of $3 for Gilbert Enterprises' stock indicates the price at which it ended trading on a particular day.

Gilbert Enterprises is a company founded by Tom Gilbert, who is also the chair of the board. Recently, Tom was shocked to read a quote about his firm in The Globe and Mail. The quote mentioned that the stock of Gilbert Enterprises had closed at $3.

This information provides us with the closing price of the company's stock on a particular day. The closing price is the final price at which the stock is traded for the day. It is an important indicator of the stock's performance.

To fully understand the significance of this closing price, we need to compare it with previous prices and analyze the trend. If the closing price of $3 is significantly lower than previous prices, it may indicate a decline in the company's stock value. On the other hand, if the closing price is higher, it may suggest an increase in the stock's value.

It is important to note that a single closing price alone cannot provide a comprehensive assessment of a company's financial health. Investors and analysts consider various factors such as company performance, industry trends, and market conditions to make informed decisions.

Further analysis of the stock's trend and other factors is necessary to assess its overall performance.

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The set of skills and knowledge needed to make informed decisions about
money matters is called financial literacy.
A. True
B. False

Answers

True
I’m pretty sure

a pollution charge is a form of tax imposed on group of answer choices low-income market-orientated industries. every economy in the world. pollution control technologies. the quantity of pollution that a firm emits.

Answers

A pollution charge is a form of tax imposed on the quantity of pollution that a firm emits. It's charged for the damage that a company causes to the environment by emitting pollution.

The charge is levied as a fee on the number of pollution produced. The fee varies depending on the amount of pollution produced.

It is a significant economic tool used to decrease the quantity of pollution in the atmosphere.The objectives of the pollution charge are to discourage activities that contribute to pollution and to encourage activities that help in controlling it.

It benefits the government in terms of revenue generated, while also benefiting the environment by lowering the amount of pollution produced by businesses.

The polluting firms will have to pay a tax as a consequence of their pollution activities. Pollution charge has been used as an essential policy tool in many countries for controlling pollution in the atmosphere.

This policy encourages industries to use pollution control technologies and adopt new, eco-friendly technologies that are more sustainable.

These measures lead to an overall improvement in the quality of life by reducing the amount of pollution in the environment.

Additionally, it's also vital to note that pollution charge should not be imposed on low-income market-orientated industries. It should be levied on every economy in the world that contributes to the pollution, but it should be proportional and fair in nature to prevent market distortions.

In conclusion, the pollution charge is an effective tool for controlling pollution.

It encourages companies to adopt eco-friendly technology and become more sustainable in their operations. It generates revenue for the government and improves the quality of life for individuals by reducing the amount of pollution in the environment.

It's a policy that should be implemented on every economy in the world to control pollution.

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The founders of the U.S. wanted to avoid establishing a permanent aristocracy or group of wealthy families who could control a great deal of the nation’s wealth. How is this idea related to estate and gift taxes?

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Answer:

There are two points that I would like to single out that are very similar. First by implementing tax and gift taxes, Founding Father wanted to weaken families and business of that time, since there was a threat that rich families could become permanent aristocracy which over time could lead to the point where that families will rule the US. Second, by implementing those two taxes, government is taking a share from receivers since the receivers are getting some good that they did not earn it, they have just received it as a gift or as an estate. This way inheritance or gift would be of a much lesser value then it was before someone’s death or before someone made a gift. This was important because wealth of powerful families would just accumulate and grow so government of that time, strictly out of political reasons, prescribed those two taxes, so that the wealth will be smaller of value after tax.

The idea of avoiding an aristocracy by the founders of USA is related to estate and gift taxes because:

There was a need to reduce the influence of the wealthy

According to the given question, we are asked to show the link which the founders of America had to preventing aristocracy and imposing estate and gift taxes.

As a result of this, we need to remember than an aristocracy is a government based on the wealthy and influential members of the society and this was one of the things which the Founding Fathers of America sought to prevent.

With this in mind, we can see that they imposed gift and estate taxes which was specifically targeted at the extremely wealthy so that their influence would be reduced and the country would not become an aristocracy.

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Examination of the sources of supply for purchased parts or materials in order to improve performance is called

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The vendor analysis is a method to evaluate and compare suppliers in a production chain.

What is vendor analysis?

The vendor analysis is a method that producers use to compare the cost-benefit of the different supplies and suppliers involved in their production.

This process is necessary to constantly improve because it allows the producer to improve their products from the process of acquiring the required raw materials.

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1.2.
State which environment unions are found in.​

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United state maybe cause you said which state ;-;
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