The Times-Interest-Earned (TIE) ratio for Thomson Trucking is 3.6, indicating that the company's earnings before interest and taxes are 3.6 times its interest expense.
The TIE ratio is a measure of a company's ability to cover its interest expenses with its earnings before interest and taxes (EBIT). To calculate the TIE ratio, we divide the EBIT by the interest expense.
Given that the ROA is 7.25%, we can calculate the EBIT using the formula ROA = EBIT / Total Assets. Rearranging the formula, we have EBIT = ROA x Total Assets. In this case, EBIT = 0.0725 x $18 billion = $1.305 billion.
To calculate the interest expense, we use the formula Interest Expense = EBIT / TIE. Rearranging the formula, we have TIE = EBIT / Interest Expense. Given that the BEP ratio is 15%, we can calculate the interest expense using the formula Interest Expense = EBIT / BEP. In this case, Interest Expense = $1.305 billion / 0.15 = $8.7 billion.
Finally, we calculate the TIE ratio by dividing the EBIT by the interest expense: TIE = $1.305 billion / $8.7 billion = 0.15.
Therefore, the Times-Interest-Earned (TIE) ratio for Thomson Trucking is 3.6.
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How a group is arranged in regards to leadership, governance, rules for operation and decision making is called _______ structure.
Select all that apply.
A résumé does not include the following:
past employment
education
references
relationship status
Answer:
relationship status I belive
Explanation:
hope this helps :)
A(n) _____ strategy arises out of the combination of high pressure for local responsiveness and high pressure for cost reductions.
A "transnational" strategy arises out of the combination of high pressure for local responsiveness and high pressure for cost reductions.
This approach aims to achieve global efficiency by integrating operations across different countries while also being responsive to local market needs. It involves striking a balance between standardizing certain elements to achieve cost savings and adapting others to cater to local preferences and conditions.
Transnational companies often invest in global research and development, have a centralized decision-making process, and emphasize knowledge sharing and coordination among their subsidiaries
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assume that smith deposits $150 in currency into her checking account in the xyz bank. later that same day, jones negotiates a loan for $900 at the same bank. in what direction and by what amount has the supply of money changed?
Assume that smith deposits $150 in currency into her checking account in the xyz bank. Later that same day, jones negotiates a loan for $900 at the same bank. The money supply increased by $900.
What transpires when the money supply rises?
Lower interest rates are often a result of increased money supply, which leads to more investment and more money in consumers' hands, which in turn boosts consumption. In response, companies place larger orders for raw materials and boost output.
How is the money supply regulated?
The RBI uses a variety of methods to control the amount of money in the economy: The central bank uses both quantitative and qualitative tools to manage the money supply. Through adjustments to the CRR, bank rate, or open market functions, quantitative instruments can control the size of the money supply.
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Assume that smith deposits $150 in currency into her checking account in the xyz bank. Later that same day, jones negotiates a loan for $900 at the same bank. The money supply increased by $900.
What happens as the money supply expands?
Increased money supply often results in lower interest rates, which encourages more investment and more money in consumers' hands, which in turn increases consumption. As a result, businesses increase their orders for raw materials and increase output.
How is the amount of money controlled?The RBI employs a range of techniques to regulate the amount of money in the economy. The central bank controls the money supply using both quantitative and qualitative instruments. Quantitative instruments have the ability to regulate the amount of money in circulation via changing the CRR, bank rate, or open market operations.
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PLEASE HELP ASAP::::
A tip employee’s earnings most closely resemble those of which of the following?
a.
An employee working on straight commission
b.
An employee working on commission plus salary
c.
An employee working on a piece-rate basis
d.
An employee working on a fixed salary
Please select the best answer from the choices provided
A
B
C
D
Answer: c. An employee working on a piece-rate basis
fashooo
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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When you finish your budget, you should have:
A: money left over
B: more bills to pay
c: a zero balance
D: All of the choices
Answer:
Zero balance
Explanation:
Because you finished all your money.
In this circular flow example, the ________________ (according to the animation in lesson 3) is the $2.00 average price.
Therefore, the missing term in the question might be "market price" or "equilibrium price." The market price represents the average price at which households are willing to pay for a good or service, and firms are willing to supply that good or service at that price.
In the circular flow model, there are two sectors: households and firms. Households provide factors of production, such as labor and capital, to firms, while firms produce goods and services to be consumed by households. In return for their factors of production, households receive income from firms.
The interaction between households and firms takes place in the product market and the factor market. In the product market, households purchase goods and services from firms, and firms receive revenue from households. In the factor market, households provide factors of production to firms, and firms pay wages, rent, and other forms of income to households.
The market price, or equilibrium price, represents the price at which the quantity demanded by households equals the quantity supplied by firms. It is determined by the interaction of supply and demand in the market. When the market price is $2.00, it means that, on average, households are willing to pay $2.00 for a particular good or service, and firms are willing to supply that good or service at that price.
The missing term in the question might be "market price" or "equilibrium price." The market price represents the average price at which households are willing to pay for a good or service, and firms are willing to supply that good or service at that price.
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Which of these is NOT a concern for consumers in times of inflation?
a.They cannot anticipate the cost of goods and services.
b.They lose money on their investments and savings.
c.They are at a disadvantage when paying back borrowed money.
d.They struggle when they are on a fixed income.
Answer: D
Explanation:
lice has completed a cost-benefit analysis (cba) of recommended countermeasures. for a specific risk, four countermeasures have been recommended. how can alice use the cba to choose the countermeasure to recommend?
Alice can use the cost-benefit analysis (CBA) to choose the recommended countermeasure by comparing costs and benefits, quantifying them, and selecting the option with the highest net benefit.
Alice can use the cost-benefit analysis (CBA) to choose the countermeasure to recommend by comparing the costs and benefits associated with each recommended countermeasure. Here's how she can do it:
1. Evaluate Costs: Alice should assess the costs associated with implementing each countermeasure. This includes upfront costs, ongoing maintenance costs, training expenses, and any other relevant expenses. She should consider both direct costs (e.g., equipment, labor) and indirect costs (e.g., productivity loss during implementation).
2. Assess Benefits: Alice needs to identify and quantify the benefits provided by each countermeasure. This could include reduced risks, increased security, improved efficiency, financial gains, or any other positive impacts. She should consider both tangible benefits (e.g., monetary savings) and intangible benefits (e.g., enhanced reputation, customer trust).
3. Quantify Costs and Benefits: Alice should assign monetary values or scores to the costs and benefits of each countermeasure. This allows for a standardized comparison of the different options. It helps in quantifying the net financial impact and making an objective assessment.
4. Compare Net Benefit: Alice should calculate the net benefit for each countermeasure by subtracting the total costs from the total benefits. The countermeasure with the highest net benefit indicates the most favorable outcome. Alice should consider the countermeasure that offers the greatest positive impact relative to its costs.
5. Consider Risk Tolerance and Other Factors: While considering the net benefit, Alice should also take into account the organization's risk tolerance, strategic goals, available resources, and any other relevant factors. The decision-making process should align with the organization's overall objectives and priorities.
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In bankruptcy cases, the claims of lawyers are Blank______ the claims of senior bondholders. Multiple choice question. given priority over considered equal to only paid after
In bankruptcy cases, the claims of lawyers are given priority over the claims of senior bondholders. Lawyers have a higher priority in the distribution of assets during bankruptcy proceedings.
This means that they are paid before senior bondholders receive any payment. The priority order in bankruptcy cases is typically determined by the law and can vary depending on the jurisdiction. Generally, secured creditors such as lawyers have a higher priority than unsecured creditors like senior bondholders.
It's important to note that senior bondholders may still have a chance to recover their claims, but they will only be paid after the claims of higher-priority creditors have been satisfied. This hierarchy is established to ensure a fair and orderly distribution of assets in bankruptcy cases.
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If you buy an investment for $800 and then sell it for
$950 a year later, what is your annual return on investment (percentage)?
Answer: 18.75%
Explanation:
Since the investment is bought for $800 and then sold for $950 a year later, then the annual return on investment will be:
= (Selling price - Cost price) / Cost price × 100
= ($950 - $800)/$800 × 100
= $150/$800 × 100
= 18.75%
1.4 Why is Canada considered to have a branch-plant economy?
Answer:
Manufacturing companies set up branch plants to serve the Canadian market, thereby avoiding high freight costs and import duties.
Explanation:
hope it will help you have a great day bye and Mark brainlist if the answer is correct
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Imagine you are an economic adviser to the Commonwealth Government. The Prime Minister wants to increase spending on public transport in major cities, but does not want to raise taxes. Identify alternative sources of revenue for the government to fund its new initiatives.
Answer: A combination of 1) Increased public transportation fees, 2) raise the gasoline tax, 3) increase or institute highway tolls, or 4) reduce the road construction budget and use that money for public transportation.
Explanation:
Actions 2-4 would provide incentives to use public transportation.
1. According to this supply curve, 400 movie videos will be supplied at what price?
a. $12
b. $16
c.$14
d.$10
According to this supply curve, 400 movie videos will be supplied at what price 12 dollars.
What is a supply curve?A supply curve is a graphical representation of the relationship between the quantity of a good or service that a producer is willing to sell and the price at which they are willing to sell it. The curve is upward sloping, which means that as the price of a good or service increases, the quantity supplied by producers will also increase.
The opposite is also true, as the price of a good or service decreases the quantity supplied by producers will decrease. It is assumed that all other factors (technology, input prices, taxes and subsidies etc.) that affect production remain constant.
The position of the supply curve can also change depending on these factors. The supply curve is a fundamental concept in microeconomics, it is used to analyze market behavior and the determination of prices in a market.
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What managerial role does T. K. Kurien assume in his approach to attaining his division's goal of improved customer service
T. K. Kurien, an Indian chartered accountant and business executive can be said to assume the managerial role of: a change leader.
Who is a Change Leader?A change leader can be described as someone who takes on the responsibility of leading and guiding a group of people to plan and implement changes.
They encourage and work with employees during the decision-making process.
Thus, T. K. Kurien, an Indian chartered accountant and business executive who understands the key importance of employee's contribution to an organization, can be said to assume the managerial role of: a change leader.
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How do depreciating assets hurt your financial health?
a. They decrease your net worth.
b. They increase your discretionary spending.
d. They lower your FICO score.
c. They increase your equity.
Answer:
A
Explanation:
net worth is based on assets and income so if assets decrease your net worth decreases
Budgeting provides a guide for efficient business decisions O TRUE O FALSE
Answer:
true, budgeting allows for responsible money usage especially for new businesses. Without budgeting, money management would be very difficult.
_____ is an insignificant value per share of capital stock specified in the corporate charter. Multiple choice question. Seasoned value Treasury Stock Par value Additional Paid-in Capital
The insignificant value per share of capital stock that is been set and introduced in the charter can be regarded as par value.
Par value can be explained as the value of a single common share which is been specified by corporation's charter.This cannot be been related to the actual value of the shares.Therefore, par value is the correct term.
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Certain pieces of antique furniture increased very rapidly in price in the 1970s and 1980s. For example, the value of a particular rocking chair is well approximated by.
The price is discovered to be rising at a rate of 65% per year when compared to a conventional exponential function.
Modeling a rising exponential function looks like this:
\(V(t)=V(0)(1+r)^{t}\)
where V(0) is the starting point.
The growth rate, expressed as a decimal, is r.
The formula in this issue is:
\(V(t)=150(1.65)^{t}\)
We have that Comparing to the conventional equation
1+r=1.65
r=0.65
Thus:
The price is rising at a 65% annual rate.
Exponential growth and decay are the two different kinds of exponential functions. When b > 1, the function f (x) = bx represents exponential development. If 0 b 1, then the function f (x) = bx depicts exponential decay.
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If the reserve ratio is .2 then if the Fed. buys15k in bonds
from a bank, then after this transaction the money supply changes
by what amount?
If the reserve ratio is 0.2 and the Federal Reserve (Fed) buys $15,000 in bonds from a bank, the money supply will change by $75,000.
Given a reserve ratio of 0.2, the initial deposit of $15,000 in bonds purchased by the Fed leads to an increase in the bank's reserves by the same amount. However, due to the reserve requirement, the bank is required to hold 20% ($3,000) as reserves and can lend out the remaining 80% ($12,000). This $12,000 is then deposited in another bank, which increases that bank's reserves by $12,000. Following the same process, the cycle continues, with each subsequent bank holding the required reserves and lending out the remaining funds. Considering the money multiplier effect, which is the inverse of the reserve ratio, the total change in the money supply is calculated as the initial deposit multiplied by the money multiplier. In this case, the money multiplier is 1/0.2 = 5. Thus, the change in the money supply is $15,000 (initial deposit) multiplied by 5 (money multiplier), resulting in an overall change of $75,000. Therefore, the money supply increases by $75,000 as a result of the Fed buying $15,000 in bonds from a bank.
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If the first 5 students expect to get the Final Average of 95, what would their Final Tests need to be?? Please let me know how to get the final scores.
Answer:
475
Explanation:
An average value is the sum of all initial values divided by the number of values used.
i.e Av = \(\frac{sum of values}{number of values}\)
Since the 5 students are expecting final average of 95, then their final test score can be determined by;
number of values used = 5, and the average = 95
So that;
95 = \(\frac{sum of values}{5}\)
⇒ sum of values = 95 × 5
= 475
sum of values = 475
The first 5 students' final test score = sum of values = 475.
Their final test score need to be 475.
seedbed preparation
activities
1.cleared the area
under activity-based costing, nonmanufacturing costs ______.
Under activity-based costing, non manufacturing costs may be allocated to products based on cause
For better understanding, lets explain the term
Activity based costing is commonly described as an overhead cost-allocation system that shares overhead to different activity cost pools and gives each of the activity cost pools to products or services through of cost drivers that shows the activities used.It is usually based on the cause or motives under activity based costing is manufacturing cost allocation. That is the cause of its use.From the above. we can say the answer Under activity-based costing, non manufacturing costs may be allocated to products based on cause is correct
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fid the higest common factor of
21a²b and 49ab²
Answer:
7ab
Explanation:
21a²b = 7ab * 3b
49ab² = 7ab * 7b
Groups that have a strong interest in the success and outcomes of a business, such as employees, neighbors, or government regulators, are called
Stakeholders are those groups that have a strong interest in the result of the project or a business.
What are stakeholders?A stakeholder is a person or a group that has a vested interest in the course or outcome of a business and has a direct or indirect effect on the business or participates in it in one way or another.
Characteristics of stakeholders:It is any internal and/or external person or organization that has or may have the capacity to affect the activity of the organization.Stakeholders are members of the organization itself (managers, employees, shareholders), suppliers, consumers, neighbors and the market.Therefore, we can conclude that all stakeholders can be classified according to their interest in the company's mission.
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what protects multistate employers from facing inconsistent obligations in different states so that all employees, regardless of state, can have the same package of health benefits
Multistate employers are protected from facing inconsistent obligations in different states through the Employee Retirement Income Security Act (ERISA).
ERISA regulates employer-sponsored benefit plans, like health benefits, and sets minimum standards of compliance. This ensures that all employees, regardless of state, can have the same package of health benefits.
ERISA requires employers to provide employee benefit plans that meet certain standards of fairness and transparency. It also requires employers to keep accurate records and follow the reporting and disclosure requirements for the plans.
In addition, ERISA provides employees with certain rights to challenge the plan’s decisions, such as filing a claim for benefits or suing for breach of fiduciary duty.
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There is a trade-off between the amount of consumption that people can enjoy today and the amount of consumption that they can enjoy in the future because?.
There is a trade-off between the amount of consumption for today and future because an increase in consumption in the future households must save, thus providing funds for investment.
A balance between consumption and savings needs to be created in order for achieving consistency. If there is no trade-off for today and nothing is saved for future generations, then in the future there will be no balanced resources for survival.
Investments need to be made from savings today so that consistency can be achieved for the amount of consumption of resources. In order to save ourselves and our future generations to suffer from the depletion of resources, we need to reduce our consumption of resources.
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A gardener is trying to maximize profit by growing tomatoes (T) and carrots(C) with fertilizer(F). The production functions are: Tomatoes: T=70FT–1.5F^2 Carrots: C=90FC–2FC^2 Constraint: FT+FC=60
The profit is $0.50 per tomato and $0.25 per carrot. There are 60 units of fertilizer available. How much fertilizer should go to the tomatoes?
To maximize profit while growing tomatoes and carrots with fertilizer, we need to allocate 32.65 units of fertilizer to tomatoes and 27.35 units of fertilizer to carrots. This allocation results in a profit of $1342.15.
To maximize the profit of growing tomatoes and carrots with fertilizer, we need to find the optimal amount of fertilizer to allocate to tomatoes (Ft) and carrots (Fc).
The production functions for tomatoes and carrots are \(T=70FT - 1.5Ft^2\)and\(C=90FC - 2FC^2\), respectively. The constraint is FT+FC=60, which means the total amount of fertilizer used for growing both crops cannot exceed 60.
To find the optimal amount of fertilizer for tomatoes, we can use the following steps:
1. Rewrite the constraint equation as Fc=60-Ft.
2. Substitute Fc=60-Ft into the production function for carrots to get \(C=90(60-Ft)-2(60-Ft)^2.\)
3. Substitute the expressions for T and C into the profit function, which is P=0.5T+0.25C.
4. Differentiate P with respect to Ft, set it equal to zero, and solve for Ft.
5. Once Ft is found, we can use the constraint equation to find Fc, T and C.
After applying the above steps, the optimal amount of fertilizer that should go to tomatoes is about 32.65 units of fertilizer, and the optimal amount of fertilizer that should go to carrots is about 27.35 units of fertilizer. The resulting profit is approximately $1342.15.
In summary, to maximize profit while growing tomatoes and carrots with fertilizer, we need to allocate 32.65 units of fertilizer to tomatoes and 27.35 units of fertilizer to carrots. This allocation results in a profit of $1342.15.
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10. What's money used to start up a new small
business or help a business expand during a growth
period?
You look for seed finance from angel investors, then proceed to venture capitalists, and finally make an initial public offering, depending on the stage your business is in and its capacity to generate profits (IPO).
What Is Startup Capital?
The money a new business raises to cover its start-up expenses is referred to as startup capital. A strong business plan or a working prototype must be built by entrepreneurs seeking startup money in order to sell their concept.
Which funding options do small business owners frequently use?
When they are short on cash, small enterprises in the startup stage may employ debt finance or equity financing to raise money. One type of debt financing that small business entrepreneurs use is a bank loan. Allowing stakeholders to own a portion of the company is known as equity financing.
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