At b. 224 kits point should they be ordering if they desire a stock out risk of 4%.
What is stock?In the world of finance, stock (sometimes known as capital stock) refers to all of the shares that constitute a corporation's or company's ownership. (The term "stocks," in particular American English, is frequently used to describe shares.) A single share of stock represents a fractional ownership interest in the company based on the total number of shares. The shareholder (stockholder) will then typically be entitled to that portion of the company's earnings, proceeds from the sale of company assets (after paying off all senior claims such as secured and unsecured debt), or voting rights, with these rights frequently being distributed in proportion to the amount of money each stockholder has invested. Due to the possibility of issuing specific classes of stock, not all stock is created equal.
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When the members of a marketing channel operate to satisfy their own objectives and maximize their own profits, often at the expense of the other members, the channel operates as:.
Suppose your company can purchase new equipment for $870,000. Your company's profits would increase by $236.000 per year for 5 years, paid at the end of each year. The equipment becomes worthless at the conclusion of the 5th year, no salvage value. You assume an inflation rate of 2%, the risk of this equipment not leading to this profit is 2%, and your cost of capital would be 4% to purchase this equipment. Should you purchase this equipment? Show your work. Carry answer to the nearest dollar.
To determine whether purchasing the equipment is a financially viable decision, we can calculate the Net Present Value (NPV) of the investment. NPV helps assess the profitability of an investment by considering the time value of money and discounting future cash flows to their present value.
First, let's calculate the present value of the annual profit increase for 5 years. We'll use a discount rate of 4% to account for the company's cost of capital and inflation rate.
Annual profit increase: $236,000
Discount rate: 4%Inflation rate: 2%Number of years: 5Year 1:
Present value = $236,000 / (1 + 0.04) = $226,923.08Year 2:
Present value = $236,000 / (1 + 0.04)^2 = $218,533.94Year 3:
Present value = $236,000 / (1 + 0.04)^3 = $210,804.47Year 4:
Present value = $236,000 / (1 + 0.04)^4 = $203,703.01Year 5:
Present value = $236,000 / (1 + 0.04)^5 = $197,200.30Next, we calculate the present value of the equipment cost:
Equipment cost: $870,000Present value = -$870,000 / (1 + 0.04)^5 = -$757,372.47 (negative value since it's an outflow)
Now, let's calculate the NPV by subtracting the present value of the equipment cost from the sum of the present values of the annual profit increases:
NPV = ($226,923.08 + $218,533.94 + $210,804.47 + $203,703.01 + $197,200.30) - $757,372.47
= $1,057,164.80 - $757,372.47
= $299,792.33
Since the NPV is positive ($299,792.33), it indicates that the investment in the equipment is financially viable. The company can expect to earn a positive return on investment by purchasing the equipment.
About investmentInvestment is an investment activity, either directly or indirectly, with the hope that in the future the owner of the capital will receive a number of benefits from the results of the investment.
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what multiplication do you do to convert currency
Explanation:
you multiply by the exchange rate.
A decrease in the price of toothpaste in a tube can lead to a decrease in the purchase of toothpaste in a pump. This means: A. Toothpaste in a tube and in a pump are substitute goods and the demand curve for toothpaste in a tube will shift right. B. Toothpaste in a tube and in a pump are complementary goods and the demand curve for toothpaste in a tube will shift right. C. Toothpaste in a tube and in a pump are substitute goods and the demand curve for toothpaste in a pump will shift left. D. Toothpaste in a tube and in a pump are complementary goods and the demand curve for toothpaste in a pump will shift left. E. Toothpaste in a tube and in a pump are complementary goods and the demand curve for both toothpastes will shift left.
Answer:
C. Toothpaste in a tube and in a pump are substitute goods and the demand curve for toothpaste in a pump will shift left.
Explanation:
toothpaste in a tube and toothpaste in a pump are substitute goods.
Substitute goods are goods that can be used in place of another good.
If the price of a good increases, the demand for the substitute increases and if the price of the good reduces, the demand for the substitute increases.
Only changes in price of a good can lead to movement along the demand curve for that good. A decrease in the price of toothpaste in a tube would lead to a movement downward along the demand curve
Other factors affecting demand leads to a shift of the demand curve either to the right or to the left.
A decrease in the price of toothpaste in a tube would lead to a decrease in the purchase of toothpaste in a pump. This would lead to a leftward shift of the demand curve of toothpaste in a pump to the left.
What is one purpose of the Federal Trade Commission?
A. To reduce government involvement in business
B. To develop international trade policies
C. To reduce competition between companies
D. To prevent unfair practices against consumers
Answer:
its d to prevent unfair practices against consumers
Explanation:
6.Elizabeth's credit card bill elizabeth just received her credit card bill. She calculates the compound interest on her bill and considers the payments she could make. If she pays the minimum payment of $45, it will take her five years to bring her balance to $0. How can Elizabeth most responsibly pay off her bill sooner ?
Answer: pay more than the minimum payment each month
Explanation:
For Elizabeth to responsibly pay off her bill sooner, she has to pay more than the minimum payment each month.
It should be noted that if she continues paying the minimum monthly payment, it'll take her five years and collecting a loan isn't appropriate as well as she will still have to pay back the loan and incur more debt.
Therefore, she should pay more than the minimum amount as that'll make her pay quicker.
Name two things that can happen during a strong earthquake
Answer:
An earthquake damages buildings and land, Violent shaking from an earthquake collapses buildings, which causes the most deaths and casualties, and destroys power lines and ruptures natural gas supply lines, causing fires. Land can also collapse or pull apart, causing more buildings to fall
Explanation:
g00gle
Stocks are generally considered a higher risk because:
a) Their value varies over time
b) They are not covered by FDIC
c) Rate of returns are not guaranteed
d) All the above
vendor managed inventory and continuous replenishment systems both serve to
Vendor Managed Inventory (VMI) and Continuous Replenishment Systems (CRS) both serve to improve supply chain efficiency and inventory management.
Vendor Managed Inventory (VMI): VMI is a collaborative approach between a supplier/vendor and a customer where the supplier takes responsibility for managing the customer's inventory levels. In VMI, the vendor monitors the customer's inventory levels, forecasts demand, and initiates replenishment orders accordingly. The key benefits of VMI include reduced stockouts, optimized inventory levels, improved order fulfillment, and streamlined supply chain coordination.
Continuous Replenishment Systems (CRS):CRS is a system where inventory is replenished continuously based on real-time demand data. It involves the continuous monitoring of sales and inventory levels, and automatic generation of replenishment orders as soon as stock reaches a certain threshold. CRS aims to minimize stockouts and reduce inventory holding costs by maintaining optimal inventory levels at all times. This system often involves close collaboration and data-sharing between suppliers and customers, ensuring efficient supply chain management and timely replenishment.
In summary, both VMI and CRS aim to improve inventory management by ensuring timely replenishment, reducing stockouts, and optimizing inventory levels, ultimately leading to more efficient supply chains and improved customer satisfaction.
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one year ago, zxy deposited $1,860 in an account that has earned and will earn 1.90 percent per year in compound interest. if acb deposits $1,910 in an account today that earns simple interest, then how much simple interest per year must acb earn to have the same amount of money in 12 years from today as zxy will have in 12 years from today? answer as an annual rate. 2.06% (plus or minus .05 percentage points) 2.03% (plus or minus .05 percentage points) 2.25% (plus or minus .05 percentage points) 1.84% (plus or minus .05 percentage points) none of the above is within .05 percentage points of the correct answer
Simple interest per year must acb earn to have the same amount of money in 12 years from today as zxy will have in 12 years from today. A rate is within 0.05 percentage points of an annual rate.
What is the annual rate?
The profits from an investment over a given time period are referred to as annual yield. Earnings from holding an investment, such as dividends and interest, are included in the yield. In other terms, the yield is the annual return on investment that a shareholder receives.
The annual rate, on the other hand, is the percentage that investors earn annually for their investments. The interest that an investor can anticipate from a debt security like a bond or certificate of deposit is also expressed as an annual rate. The annual rate for a loan is the proportion of the principle that the lender will charge every year until the loan is fully repaid. The interest rate on debt securities is often referred to as the coupon rate.
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One step in forming a___
is to issue stock to shareholders.
A. limited liability company
B. sole proprietorship
C. partnership
D. corporation
One of the steps involved in the formation of a corporation is the issue of shares to the stockholders.
What is a corporation?
A corporation is a business organization, which is registered and recognized as per the Company Laws of the regions that such corporations operate in.
The capital of a corporation is divided into small units, also known as common stock. The subscribers or the bearers of such stock are regarded as stockholders.
Hence, option D; Corporation is formed with an intention of distribution of stock to the stockholders.
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What is one of the key goals of unions?
A: to encourage more workers to form unions
B: to ensure that employers heed environmental laws
C: to get wage increases for their members
D: to engage in featherbedding
Answer:
l think to encourage more workers to form unions
Explanation:
please follow me
Answer: C
Explanation:
a company recorded a total of $1,200 in depreciation. if $900 is for manufacturing equipment and $300 is for office equipment, a total of $ will be recorded as an expense.
The total amount recorded as an expense will be $1,200. Depreciation is an accounting method used to allocate the cost of an asset over its useful life.
In this case, the company recorded a total of $1,200 in depreciation, with $900 allocated to manufacturing equipment and $300 allocated to office equipment.
To find the total amount recorded as an expense, we add up the depreciation for both manufacturing equipment and office equipment. Therefore, the total amount recorded as an expense will be $900 + $300 = $1,200. This means that the company's financial statements will reflect a $1,200 expense due to the depreciation of their assets.
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spring break has jack traveling to the beach. before departing on his journey, he takes some sleep-inducing cold medication. he breaks his leg after falling asleep behind the wheel and colliding with a tree on the highway. which of the following is the hazard in this context? jack. broken leg. knowing how to drive. spring break. taking the medicine
Answer: im pretty sure its jack
Explanation:
In December 2018, Apple had cash of $86.92 billion, current assets of $140.51 billion, and current liabilities of $108.32 billion. It also had inventories of $4.99 billion. a. What was Apple's current ratio? b. What was Apple's quick ratio? c. In January 2019, Hewlett-Packard had a quick ratio of 0.55 and a current ratio of 0.78. What can you say about the asset liquidity of Apple relative to Hewlett-Packard? a. What was Apple's current ratio? Apple's current ratio was (Round to two decimal places.) b. What was Apple's quick ratio? Apple's quick ratio was I. (Round to two decimal places.) c. In January 2019, Hewlett-Packard had a quick ratio of 0.55 and a current ratio of 0.78. What can you say about the asset liquidity of Apple relative to Hewlett-Packard? (Select the best choice below.) So O A. Apple's higher current and quick ratios demonstrate that it has much higher asset liquidity than does Hewlett-Packard. This means that in a pinch, Apple has less liquidity to draw on than does Hewlett-Packard OB. Apple's higher current and quick ratios demonstrate that it has much lower asset liquidity than does Hewlett-Packard. This means that in a pinch, Apple has more liquidity to draw on than does Hewlett-Packard O c. Apple's lower current and quick ratios demonstrate that it has much higher asset liquidity than does Hewlett-Packard. This means that in a pinch, Apple has more liquidity to draw on than does Hewlett-Packard OD. Apple's higher current and quick ratios demonstrate that it has much higher asset liquidity than does Hewlett-Packard. This means that in a pinch, Apple has more liquidity to draw on than does Hewlett-Packard. Click to select your answer(s)
Apple's current ratio was 1.30. Apple's quick ratio was 0.76. Apple's higher current and quick ratios demonstrate that it has much higher asset liquidity than does Hewlett-Packard. A higher current ratio and quick ratio indicate that a company has more current assets relative to its current liabilities, which means it is more able to meet its short-term obligations
a. Apple's current ratio was 1.30. This is calculated by dividing current assets by current liabilities:
Current ratio = Current assets / Current liabilities
Current ratio = $140.51 billion / $108.32 billion
Current ratio = 1.30
b. Apple's quick ratio was 0.76. This is calculated by subtracting inventories from current assets and then dividing by current liabilities:
Quick ratio = (Current assets - Inventories) / Current liabilities
Quick ratio = ($140.51 billion - $4.99 billion) / $108.32 billion
Quick ratio = 0.76
c. Apple's higher current and quick ratios demonstrate that it has much higher asset liquidity than does Hewlett-Packard. This means that in a pinch, Apple has more liquidity to draw on than does Hewlett-Packard.
Therefore, Apple has higher asset liquidity than Hewlett-Packard.
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Which step directly follows "loss of jobs” in the stagflation cycle?
Answer:
fewer items produced
Explanation:
Answer:
D
Explanation:
The cost of equity 1. is less than the cost of debt 2. is greater than the cost of debt 3. depends on the riskiness of the firm 4. depends on the firm's current ratio O a. 2 and 3 O b. 1 and 4 O c. 2 and 4 O d. 1 and 3
Option A. 2 and 3 is the correct answer. The cost of equity is greater than the cost of debt and depends on the riskiness of the firm.
The cost of equity is the return that a company requires to decide if an investment meets capital return requirements. Firms often use it as a capital budgeting threshold for the required rate of return.
Cost of equity vs cost of Debt:
The cost of equity is often higher than the cost of debt. Equity investors are compensated more generously because equity is riskier than debt, given that:
Debtholders are paid before equity investors (absolute priority rule).
Debtholders are guaranteed payments, while equity investors are not.
Debt is often secured by specific assets of the firm, while equity is not.
In exchange for taking less risk, debtholders have a lower expected rate of return.
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Which loan type am I? I have limits on the amount that you can borrow based on your year in college. The federal government makes the interest payments on me while you are in college, and you make the interest payments on me after you graduate.
FIN-FL-10-10.1: Which loan type am I? I have limits on the amount that you can borrow based on your year in college. The federal government makes the interest payments on me while you are in college, and you make the interest payments on me after you graduate.
Unsubsidized Federal Student Loan
Private Student Loan
Subsidized Federal Student Loan
Institutional Student Loan
Based on the characteristics, the type of loan described is the Subsidized Federal Student Loan.
What is a student loan?This is a type of loan provided by banks or other types of financial institutions that aims at covering tuition and other education-related expenses.
What are the types of student loans?Some of the types of student loans include:
Private student loans.Federal loans (classified into subsidized or unsubsidized).Institutional student loan.What is a subsidized federal student loan?This type of loan differs from other types because:
Students do not pay interests until they graduate, instead, the federal government pays these interests.The federal government regulates this type of loan, which includes regulating how much you can borrow.Learn more about loans in: https://brainly.com/question/11794123
Answer:
Subsidized Federal Student Loan
Explanation:
I just know
price is a concept relating to how post-deregulation transportation firm, determine and impose charges for their services. which is a distinguishing feature of this concept of price?
The distinguishing feature of this concept of price is b)a value or level that is determined based on prevailing market forces."
This means that the price of a service offered by a transportation firm is not solely determined by the costs incurred by the firm in providing the service, but also by the supply and demand dynamics in the market.
The firm considers the current demand for its services and the prices charged by competitors to determine the price for its services. This price can change in response to changes in demand or changes in the prices of competitors.Therefore the correct answer is b.
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Select the correct text in the passage.
What sentences in the following passage indicate increased expenses for developing the advertisement?
An exercise equipment company decided to create demand for its latest plece of equipment through a TV commercial. For this purpose, it hired
an ad agency reputed for its creative skills. This agency pitched five different concepts to its client. After an extensive internal discussion, the
client gave approval for one of the ideas. The next step was to write script for the ad. Using in-house cloud-based scripting software, the agency
wrote scripts in real time. This made it easier for company to communicate effectively with the ad makers. The company also approved the
tagline and storyboard for its product. The agency hired professional actors for enacting the scene.
paragraph 2 I hope sorry if it's wrong
Answer:
For this purpose, it hired an ad agency reputed for its creative skills
and The agency hired professional actors for enacting the scene
Explanation:
both requires money. to hire someone you need money which shows a increase of expenses
the purchases discounts account is a(n): multiple choice contra expense account. contra revenue account. liability account. expense account.
Contra expense accounts with a credit balance, such as Purchase Discounts, Returns, and Allowances, are used to offset the Purchase expense account, which typically has a debit balance, in order to report a company's net value of purchases made during an accounting period on its income statement.
Is the discount on purchases a revenue or a cost?
The company's net sales are calculated by subtracting sales discounts, returns, and allowances from gross sales. As a result, the Sales Discounts account in the general ledger is a revenue counter account. Discounts on sales are not included in the expense report.
In accounting, what exactly is a purchase discount?
If payment is received by a predetermined date, a payer may deduct a purchase discount from the invoice amount. This rebate is utilized when a vender needs to speed up the inflow of money.
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A password that contains full sentences or lines from a favorite movie or book is called a
•catchphrase
•moviebook
•passbook
•passphase
Answer:
passphrase is the correct answer
Answer: passphrase
Explanation:
I did the exam
An important principle for firms desiring to export is:answer choicesa. sell to countries with high standards of living.b. keep in mind that American methods are probably always best.c. find a need in the global market and fill it.d. if your product sells well in the U.S. it will sell well globally.
The correct answer is option (c) identify and fill a global market need.
Firms must identify a demand in the global market and create products or services to meet that demand in order to successfully export products. Understanding the needs and preferences of customers in different countries, as well as adapting to local cultures, regulations, and business practises, is required.
Simply assuming that American methods are always superior, or that a product that sells well in the United States will sell well globally, may result in failure in international markets. Targeting only high-income countries, on the other hand, may limit the potential for growth and profitability.
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What does indigenous technology mean?
Answer: I hope this is helpful mark brainlist if right then no if wrong
Explanation:
Indigenous technology is used by the native inhabitants of a country or region and it constitutes an important part of its cultural heritage. Characteristically, indigenous technologies: Are recognized as animate, imbued with the breath of life and they live in form and function.Technologies employed by the native inhabitants of a country and which constitute an important part of its cultural heritage and should therefore be protected against exploitation by industrialized countries; the problem of indigenous knowledge has been discussed during the Rio Conference but it does not receive much ...Types of indigenous technology in India are; (i) Generic Drugs. (ii) Thorium based Nuclear Reactors. (iii) Plastic RoadsIndigenous Technology is created within a sensory environment that builds on our sense of relationship, meaning, balance, feeling, memory and place as well as sight, sound, smell, taste and touchIndigenization is the process by which Indigenous ways of knowing, being, doing and relating are incorporated into educational, organizational, cultural and social structures of the institution.One example of Indigenous Technologies in action today can be witnessed in differential approaches to medicine. Medical technologies in the Western Scientific sense of the term might conjure images of biomedical research labs, electromagnetic monitors or imaging systems such as CT or MRI scans.Indigenous technology is used by the native inhabitants of a country or region and it constitutes an important part of its cultural heritage. Characteristically, indigenous technologies: Are recognized as animate, imbued with the breath of life and they live in form and function.
Alia Valbuena earns 68,400 per year as an automotive engineer. What is her monthly salary ? What is her weekly salary ?
Question 1
25 pts
Client 1: When I was three years old, I started making candy with my grandrłother.
I am now 10 and I want to sell chocolate candy with a farm theme to my friends and
family. My product ideas include Brown Cows (chocolate cows on a stick), Pigs in
Mud (marshmallow dipped in caramel, nuts and chocolate) and Farm Eggs (jelly
beans dipped in chocolate). The start-up expenses for my business are pretty small: a
few candy molds, candy and chocolate.) My parents have agreed to loan me the
money I will need and to let me work in the family kitchen. Schoolwork has to take
priority over business so if I have more sales than I can handle, I will probably ask
friends or my older brother to help. My brother is also pretty good at math and
computers so he could help me with keeping track of my expenses and advertising. I
really like the product development and packaging part of the business.
Answer:
This is an absolutely great idea. The only problem is where are you planning to hold your Business? Where are you selling these candies? How will you spread the word? What can you do to make sure people come back and want more of your product?
Explanation: I always wanted to sell candy when I was little but never pulled the trigger on it. For starters I think you should make the names a bit more of a friendly connotation so people don't assume the worst of your product. Your best bet to sell your items and candies would be at school. Now to be honest more kids are carrying money around now than they ever had when I was in elementary-middle school. This is your best bet. Make sure when you are selling your candies to not go in debt with your business, so many people I know tried this and failed because they put way more money then they were making because they thought it would pay off. Yes sometimes take the risk but almost always if your just trying to make a couple bucks, take it easy and sell for a reasonable price. If it costs about $10 to make "Brown Cows" for about 20 people then sell each brown cow for $1.25 per stick. If you have 20 people who are willing to buy you would make 15 dollars profit. Final thing is actually finding people to sell to. Most people go at these type of things alone which I think is a great idea. But if you want to get the word out even more tell a popular kid that you will pay him 5 for every 20 "Brown Cows" he sells. You can really pay him anything you want as long as your not going over your profit margin! Good luck and I would love to know how this goes!
A savings account pays interest at an annual percentage rate of 1.9 %, compounded monthly a) Find the annual percentage yield of this account. Write your answer as a percentage, correct to at least four decimal places.
b) How long will it take (in years) for an initial deposit of $1000 to grow to $2500? Round your answer to the nearest tenth of a year.
The annual percentage yield of the savings account that pays interest at an annual percentage rate of 1.9 %, compounded monthly is approximately 1.9066%.
a) To find the annual percentage yield (APY) of the savings account, we can use the formula:
APY = (1 + r/a)ᵃ⁻¹
Where:
r = annual interest rate (in decimal form)
a = number of times the interest is compounded per year
In this case, the annual interest rate is 1.9% or 0.019 in decimal form, and the interest is compounded monthly, so n = 12.
Plugging the values into the formula:
APY = (1 + 0.019/12)¹² - 1
Calculating this expression:
APY ≈ 0.019066
Therefore, the annual percentage yield of the account is approximately 1.9066% (rounded to four decimal places).
b) To determine how long it will take for an initial deposit of $1000 to grow to $2500, we can use the formula for compound interest:
A = P(1 + r/a)ᵃᵇ
Where:
A = final amount (in this case, $2500)
P = initial deposit (in this case, $1000)
r = annual interest rate (in decimal form)
a = number of times the interest is compounded per year
b = time in years
We need to solve for b, so rearranging the formula:
b = (log(A/P)) / (n x log(1 + r/n))
Plugging in the given values:
b = (log(2500/1000)) / (12 x log(1 + 0.019/12))
Calculating this expression:
b ≈ 6.7
Therefore, it will take approximately 6.7 years (rounded to the nearest tenth of a year) for the initial deposit of $1000 to grow to $2500 in this savings account.
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According to the theory of ____, a country should only produce and export
those products that it can produce efficiently. Anything else the country
should import.
A. international trade
B. domestic trade
O c. absolute advantage
O D. comparative advantage
According to the theory of comparative advantage, a country should only produce and export those products that it can produce efficiently. Anything else the country should import. Thus the correct option is D.
What is an export?When an individual sends their goods to foreign countries in order to sell it is called an export which helps them to seek better revenue as the foreign nations lack these goods which helps in strengthening the economy.
Producing a good or service at a reduced opportunity cost is one of the advantages of comparative advantage. Companies with a comparative advantage can sell their products and services for less than their rivals.
The principle of comparative advantage states that a nation should only produce and export goods that it can do so profitably.
Therefore, option D is appropriate.
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Answer:
comparative advantage
Explanation:
cuz i said so
1. Take a look at the year-over-year income statement. How have
the three companies been performing over time in terms of revenue
and income growth?
2. Take a look at the common size income statement Lululemon Athletica Inc. (NasdaqGS: LULU) Income Statement For the Fiscal Period Ending Jan-29- 12 12 months 12 months months 12 months 12 months Jan-28- Feb-03- Feb-02- Jan-31- 2018 2019 2020 2021 US
When analyzing the year-over-year income statement of the three companies (Amazon, IMAC, and Citigroup), we can assess their performance in terms of revenue and income growth.
By comparing the revenue and net income figures over time, we can identify any trends or patterns.
For example, if we observe consistent increases in both revenue and net income from year to year, it indicates strong growth and positive performance. Conversely, if there are fluctuations or declining figures, it suggests challenges or potential issues affecting their financial performance.
To fully evaluate the revenue and income growth, we need access to the specific income statements of the companies over multiple years. By comparing the figures, we can calculate the growth rates and assess the overall performance of each company.
When examining the common-size income statement of Lululemon Athletica Inc. (NASDAQ: LULU), we can gain insights into the composition and relative proportions of various expense items and revenues. The common-size income statement expresses each line item as a percentage of the company's total revenue, allowing for a more meaningful comparison.
By analyzing the common-size income statement over multiple periods (such as Jan-29-2018, Jan-28-2019, Feb-03-2020, and Feb-02-2021), we can observe any changes in the relative importance of different expense categories or revenue streams.
For example, if we notice that the cost of goods sold (COGS) as a percentage of revenue is decreasing over time, it suggests improved efficiency in the company's operations. Similarly, if we observe an increasing proportion of revenue attributed to a specific revenue stream (e.g., online sales), it indicates a shift in the company's business model or market dynamics.
Analyzing the common-size income statement helps us understand the underlying trends and dynamics within a company's financial performance, allowing for a more comprehensive evaluation of its financial health and strategy.
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What is cd how is it work ?