Concentrations. when one client or customer accounts for 10% or more of your revenue, Customer concentration occurs when the revenue from your top five clients represents 25% or more of your company's total revenue.
What are customer concentration?When one client or customer represents 10% or more of your revenue, or when your top four to five clients represent 25% or more of your revenue, you have high customer concentration. A company's revenue will be extremely sensitive when it is unduly dependent on a small number of clients or customers. A 10%–25% decline in revenue can push a company from being profitable to breaking even, endangering its capacity to continue operating.A concentrated customer base raises the risk for the business's owners, everyone who depends on it, and prospective buyers. Particularly, the level of risk associated with your cash flow will determine how potential purchasers value your company. A buyer's rate of return must be higher, which corresponds to a lower value buying price, for them to invest in a company with a concentrated customer base.To learn more about Concentration refer :
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Help me please... help
Direct stakeholders are those involved in the company's day-to-day activities. Like employees, who carry out their daily tasks, working on the company's ongoing projects. Indirect stakeholders are those who are more interested in the result of the production. Direct stakeholders are entities that have a visible role in the organization, regulation, operation and support of the bus service; or people, communities and entities that use the service or are impacted by it. Indirect stakeholders are anyone else whose interests are either enhanced or threatened.
Answer:
Explanation:
C part
When accountants are not independent, which of the following reports can they issue: Multiple Choice compilation report on historical financial statements. examination of inteenal control over financi
When accountants are not independent, they can issue a compilation report on historical financial statements.
They cannot issue an examination of internal control over financial reporting, which requires independence. An independent accountant is a person who is not a member of the organization's management team, board of directors, or an immediate family member of either.
The independent accountant can be a certified public accountant (CPA), a public accountant, or an accounting firm. Independence in the context of auditing means that the auditor should not be influenced or controlled by those charged with governance or management of the audited entity.
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What responsibilities does a parent have in an American school system?
What is the relationship between insurance and successful financial management? Why is insurance important?
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Insurance is an important aspect of risk management in business. Insurance is related to successful financial management because when a business is insured, it can weather times of loss and unforeseen occurrences without losing its strength. Insurance is important because it helps businesses to mitigate loss.
Insurance is an aspect of risk management in business where a policyholder pays an agreed sum to the insurer, with the intent of lightening any unforeseen losses they may encounter in the future. Insurance is important because businesses come with risks that could be sudden and unexpected.The pool of funds generated by the insurance company from other insurers will be used to attenuate the loss that the business will face.Conclusively, if businesses will thrive for a long time, insurance is very beneficial.Learn more here:
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what are the similarities and the differences between providing infrastructure needs for a totally underdeveloped site and a purpose-built facility
Both types of projects require careful planning and coordination, as well as sufficient financing and skilled labor. However, the scale and complexity of the project, as well as the level of customization and potential environmental impacts, may differ between a totally underdeveloped site and a purpose-built facility.
The similarities between providing infrastructure needs for a totally underdeveloped site and a purpose-built facility include the need for proper planning and coordination, the need for financing and investment, and the need for skilled labor and materials. Both types of projects require careful consideration of the surrounding environment, including the local climate, topography, and existing infrastructure.
The differences between providing infrastructure needs for a totally underdeveloped site and a purpose-built facility include the scale and complexity of the project, the level of customization required, and the potential environmental impacts. A totally underdeveloped site typically requires more extensive planning and construction, including the installation of basic utilities such as water, electricity, and sewage.
A purpose-built facility, on the other hand, may require more specialized infrastructure, such as specialized equipment or technology. Additionally, a totally underdeveloped site may have a greater potential for negative environmental impacts, such as deforestation or habitat destruction.
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What does this sign mean?
Answer:
Pedestrian : A person who walks on foot rather than in vehicles.
In your environment (business or personal), please describe a QUANTITATIVE hypothesis test related to a decision. What would be your data? What would be your null hypothesis? What would be your alternate hypothesis? What would be your Type 1 and Type 2 errors relative to your decision? Suppose you have a p-value of 0.01, what does this mean relative to your problem and decision? Suppose your p-value is 0.20, what does this mean relative to your problem and decision? Please refer to the discussion requirements in the syllabus.
A quantitative hypothesis test can be related to determining whether a new marketing campaign leads to a significant increase in sales.
What would be the data, null hypothesis, alternate hypothesis, and type 1 and type 2 errors relative to this decision?Data: The data for this hypothesis test would include the sales figures before and after the implementation of the marketing campaign.
Null Hypothesis: The null hypothesis would state that there is no significant difference in sales before and after the marketing campaign.
Alternate Hypothesis: The alternate hypothesis would state that there is a significant increase in sales after the marketing campaign.
Type 1 Error: A Type 1 error would occur if we reject the null hypothesis (assume the campaign was effective) when it is actually true (there is no significant increase in sales).
Type 2 Error: A Type 2 error would occur if we fail to reject the null hypothesis (assume the campaign was ineffective) when it is actually false (there is a significant increase in sales).
If the p-value is 0.01, it means that there is a 1% chance of observing the data if the null hypothesis is true. This suggests strong evidence against the null hypothesis, and we would reject it in favor of the alternate hypothesis. It indicates a significant difference in sales after the marketing campaign.
If the p-value is 0.20, it means that there is a 20% chance of observing the data if the null hypothesis is true. This suggests weak evidence against the null hypothesis, and we would fail to reject it. It indicates insufficient evidence to conclude a significant difference in sales after the marketing campaign.
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Paper Company receives a $6,000, 3-month, 6% promissory note from Dame Company in settlement of an open account receivable. What entry will Paper Company make upon receiving the note?
Upon receiving the $6,000, 3-month, 6% promissory note from Dame Company in settlement of an open account receivable, Paper Company will make the following entry: Debit Notes Receivable for $6,000 and Credit Accounts Receivable for $6,000.
When Paper Company receives the promissory note from Dame Company, it needs to record the transaction in its accounting records.
The entry for this transaction involves debiting the Notes Receivable account and crediting the Accounts Receivable account.
The Notes Receivable account is used to track the amount of money owed to Paper Company through promissory notes.
By debiting this account for $6,000, Paper Company recognizes the new promissory note as an asset, indicating that it has a right to receive payment from Dame Company.
On the other hand, the credit to the Accounts Receivable account reduces the outstanding amount of the open account receivable from Dame Company.
Since the promissory note settles the open account receivable, the credit of $6,000 in the Accounts Receivable account signifies that the amount is no longer owed by Dame Company.
By making this entry, Paper Company properly records the receipt of the promissory note and adjusts its accounts to reflect the settlement of the open account receivable.
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How many products are priced above average?
12
18
22
10
Answer: Im 100% sure its 12 I need you guys to trust me on this....trust me
_ _
0_0
Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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Which of the following is not generally allowed to make equity investments in corporations?
Investment banks
Commercial banks
Insurance companies
Mutual funds
Mutual funds are generally allowed to make equity investments in corporations. The main purpose of a mutual fund is to pool money from various investors to invest in a diversified portfolio of stocks, bonds, or other securities.
Equity investments refer to the purchase of ownership in a corporation, and mutual funds typically buy stocks to hold in their portfolios.However, there are certain entities that may not be allowed to make equity investments in corporations. One example is a non-profit organization, which may have restrictions on investing in for-profit companies.
Another example is a government agency, which may have limitations on investing public funds in private companies. Mutual funds, on the other hand, are regulated by the Securities and Exchange Commission (SEC) and must comply with certain investment guidelines and restrictions. They may also have their own investment policies and objectives that limit the types of securities they can hold in their portfolios, but generally, they are allowed to invest in equity securities such as stocks.
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Explain,using PED,why a company might introduce a policy of raising travel fares at peak times and lowering travel fares at non peak time ?
Using Price Elasticity of demand or (PED) a company might introduce a policy of raising travel fares at peak times because :-
Understanding the 'elasticity of demand' that is pertinent in this situation. Applying price elasticity of demand demonstrates the relationship between the impact of raising fares during busy periods and changes in total revenue, as well as the impact of reducing fares during less busy periods and changes in total revenue.
The quantity demanded of a good or service divided by the percentage change in price is the price elasticity of demand. The percentage change in quantity supplied divided by the percentage change in price represents the price elasticity of supply.To learn more about Price Elasticity of demand, click the links
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Which of the following is TRUE about owning a share of stock?
A. The value of a share is based on the number of investors in a company.
B. You have to return the share of company you own typically after 5 years, otherwise, you pay a penalty fee each year.
C. Owning a share means you own a percentage of the company.
D. Companies lose significant amounts of money every time someone buys a share.
Answer:
A
Explanation:
The answer to that Question would be A
The value of a share is based on the number of investors in a company that is TRUE about the share of stock.
What is a share stock?Share stock implies the ownership of the individuals in the business based upon the percentage of their holdings in total business shares. It means the single smallest denomination that a company has.
Therefore, the value that share has is based upon the demand for the company's share and supply in the market.
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What is a purchase money mortgage ?
A purchase money mortgage is basically a mortgage which is issued to the borrower and is done by the seller of the particular home and this is done as a part of the purchase transaction.
Sometimes, when a person is buying real property, they give the seller a mortgage on that property and this a part of the deal in order to buy the property. This is known as the purchase money mortgage, because this mortgage usually replaces a part of the cash or all of the cash which the buyer would be otherwise paying the seller.
Purchase money mortgages usually have a higher interest rates as compared to traditional bank mortgages. They are often done by those buyers who are without enough savings to cover a traditional down payment.
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in which way do employees waste time on social media? group of answer choices calling customers sending emails to coworkers surfing the internet to research competitive products conducting webinars shopping online
The Internet offers a variety of online services. Several examples are as follows: You can browse the billions of pages that make it up the "web" with a web browser.
What best sums up the Internet?The Internet, sometimes known as "the Net," is a global system of computer networks. It is a network of networks that allows users at any one computer to obtain information from any other computer with permission (and sometimes talk directly to users at other computers).
What distinguishes WiFi from the Internet?WiFi is just a wireless technology used to exchange the Internet between adjacent devices via hotspots. It is a worldwide network of networks whereby computers use the Internet Protocol to connect with one another. WiFi transmits data via radio frequency waves.
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what are premium, discount and par bonds? (use the relationship between coupon rate and yield to maturity to answer this question.
Premiums are sold for more than they are worth. sell at par, or at face value. Discounted goods are sold below face value.
What maturity actually means?Youth isn't a role in maturity; rather, maturity is determined by the way you decide to behave and react to different life experiences. It is basically a state of mind or wisdom that affects every aspect of a person's life, you understand.
Why is maturity so important?The capability to make intelligent choices is increased by maturity. Furthermore, making intelligent decisions contributes about general life stability. The rush of bad relationships, dubious decisions, wild nights out, and terrible jobs are no long there. Everything is significantly less steady as reasonable once you settle down.
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According to UCC 1-203, modification of a sales or lease contract must be made _____.
A.
within 90 days of the initial contract's execution
B.
in good faith
C.
within 30 days of the initial contract's formation
D.
in kind
E.
in earnest
According to UCC 1-203, modification of a sales or lease contract must be made in good faith.
Every sales and leasing transaction under the UCC 1-203 is subject to requirements of good faith and financial reasonableness. If these requirements are not performed, a later complaint for breach of contract might be filed.
According to Section 1-203, "every contract or duty imposed by this Act imposes a requirement of good faith in its execution and enforcement." The good faith condition of the UCC 1-203 can't be disregarded or disclaimed. In reality, good faith involves honesty. In the context of a the seller, "good faith" denotes actual honesty and adherence to acceptable business norms of ethical conduct in the trade. (To put it another way, the U.C.C. holds dealers to a greater standard than regular people.)
Option B is the correct answer.
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Pre-identifying critical infrastructure and key services that would need to be restored immediately after a disaster is primarily a _____________ responsibility of ________________.
Pre-identifying critical infrastructure and key services that need immediate restoration after a disaster is primarily the responsibility of emergency management agencies.
Emergency management agencies, such as government bodies or organizations tasked with disaster response and preparedness, have the primary responsibility of pre-identifying critical infrastructure and key services that would require immediate restoration after a disaster. They are responsible for assessing potential risks, developing disaster response plans, and coordinating efforts to mitigate and recover from emergencies. By pre-identifying critical infrastructure and key services, emergency management agencies can prioritize and allocate resources effectively during a disaster, ensuring the swift restoration of essential services and infrastructure necessary for public safety, health, and overall recovery.
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when volatility increases with all else remaining the same, which of the following is true? group of answer choices a. both calls and puts increase in value. b. both calls and puts decrease in value. c. calls increase in value while puts decrease in value. d. puts increase in value while calls decrease in value.
When volatility will increases with all else remaining the same, both calls as well as puts increase in value. Option A is correct.
This is because an increase in volatility increases the probability that the price of the underlying asset will move significantly, which increases the value of both call and put options. Call options give the holder the right to buy the underlying asset at a specified price (strike price) and are more valuable when the price of the underlying asset is expected to increase.
Put options give the holder the right to sell the underlying asset at a specified price and are more valuable when the price of the underlying asset is expected to decrease. An increase in volatility makes it more likely that the price of the underlying asset will move beyond the strike price of the options, increasing their potential profitability.
Hence, A. is the correct option.
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What is one major function of retail banks?
A. Keeping all deposits in reserve at all times
B. Offering loans that use car titles as collateral
C. Providing credit and debit cards to customers
D. Managing the payroll of major corporations
SUBMIT
Answer:
The role of retail banking is to help individual consumers manage their money, gain access to credit, and deposit their money in a secure way.
Explanation:
Providing credit and debit cards to customers is a major function of retail banks. Hence, the correct answer is option C.
What are retail banks?Retail banks are financial institutions that provide banking services to individuals and small businesses. These services include deposit accounts, such as savings and checking accounts, as well as loans, mortgages, credit and debit cards, and other financial products.
Providing credit and debit cards to customers is a major function of retail banks because it allows customers to make purchases without the need for cash and helps facilitate online and mobile payments. Credit and debit cards also generate revenue for retail banks through fees and interest charged on balances, making them an important source of income for banks.
Hence, providing credit and debit cards to customers is a major function of retail banks. Therefore, the correct answer is option C.
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as federal debt increases, __________ also rise, so that the deficit grows even if other government spending is held constant
As federal debt increases, interest payments also rise, leading to an increase in the deficit even if other government spending is held constant.
When the federal government accumulates debt by borrowing money to finance its operations, it incurs interest obligations on that debt. As the total debt increases, the amount of interest payments required to service that debt also grows. These interest payments become an additional expenditure that adds to the deficit, which is the difference between government spending and revenue.
Even if the government keeps other spending constant, the increasing interest payments on the growing debt act as a persistent drain on the budget. This means that a larger portion of government revenue must be allocated towards interest payments, leaving fewer funds available for other programs, investments, or reducing the deficit itself. Therefore, as federal debt increases, the deficit tends to grow due to the rising interest payments associated with the accumulating debt burden.
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What classifications are possible for a company's activities based on Porter's value chain model?
Based on Porter's value chain model, a company's activities can be classified as
competitive advantage, or
, which acts as a barrier to success.
which helps companies gain a
Answer: Common barriers to entry include special tax benefits to existing firms, patent protections, strong brand identity, customer loyalty, and high customer switching costs. Other barriers include the need for new companies to obtain licenses or regulatory clearance before operation.
Explanation: make me brainliest .
the maturity value of a promissory note is a.the face value of the note plus the interest due to the maturity date. b.its realizable value. c.the discounted value of the note. d.the face value of the note.
The correct response is a. The maturity value of a promissory note is the face value of the note plus the interest due to the maturity date.
A financial concept known as "face value" refers to a security's nominal or monetary value as indicated by its issuer. The original cost of the stock, as stated on the certificate, serves as the face value for stocks. The term "face value" refers to the nominal or monetary worth of a security; the issuing party declares the face value. The face value of a stock is its initial purchase price, as stated on its certificate; the face value of a bond is the amount that will be paid to the investor when the bond matures. Because there are other other influencing factors at work, such as supply and demand, the face value of a stock or bond is not a reliable indicator of its actual market worth.
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what benefits and limitations of businesses specializing in the prodution and supply of just one type of good
Answer:
Limited market: If the demand for the product decreases or the market becomes saturated, the business may struggle to sell its products.
Dependence on a single product: If something goes wrong with the production of the product, the business may struggle to continue operating.
Lack of diversification: Specializing in just one product means that the business is not diversified and may be more vulnerable to market fluctuations.
Hello,
I hope you and your family are doing well!
The benefits of specializing in the production and supply of just one type of good include achieving economies of scale, developing expertise in a specific market, and reducing costs. Limitations include limited market opportunities, dependence on a single product, and difficulty diversifying.
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Happy Holidays!
On a 100-acre farm, a farmer is able to produce 3,000 bushels of wheat when he hires 2 workers. He is able to produce 4,400 bushels of wheat when he hires 3 workers. Which of the following possibilities is consistent with the property of diminishing marginal product?.
Answer:
Option A is correct.
Explanation:
This condition will be satisfied in the option (a), where output increases by 1,200 bushels.
You run a school in Florida. Fixed monthly cost is $5,877.00 for rent and utilities, $5,910.00 is spent in salaries and $1,334.00 in insurance. Also every student adds up to $102.00 per month in stationary, food etc. You charge $660.00 per month from every student now. You are considering moving the school to another neighborhood where the rent and utilities will increase to $10,200.00, salaries to $6,892.00 and insurance to $2,185.00 per month. Variable cost per student will increase up to $189.00 per month. However you can charge $1,018.00 per student. You want to determine in percent the new charge compared to the previous charge. To calculate this, divide the new charge per student by the previous charge per student, keep in a decimal form and round to 3 decimal points. You run a school in Florida. Fixed monthly cost is $5,397.00 for rent and utilities, $6,383.00 is spent in salaries and $1,367.00 in insurance. Also every student adds up to $94.00 per month in stationary, food etc. You charge $670.00 per month from every student now. You are considering moving the school to another neighborhood where the rent and utilities will increase to $10,699.00, salaries to $6,633.00 and insurance to $2,281.00 per month. Variable cost per student will increase up to $184.00 per month. However you can charge $1,170.00 per student. How much do you currently charge per student?
The new current charge per student is $1018.00
The percentage increase in the new charge is 152.76%
The current charge per student is $660.
To calculate the new charge per student, we need to add up the fixed costs and the variable costs per student. The fixed costs in the new location will be $10,200 + $6,892 + $2,185 = $19,277.
The variable costs per student in the new location will be $189, so the total cost per student will be $19,277 + $189 = $19,466.
Therefore, the new charge per student will be $1,018.
To calculate the percentage increase in the new charge, we need to divide the new charge by the old charge and multiply by 100%. This gives us:
(1018 / 660) * 100% = 152.76%
The new charge is 152.76% higher than the old charge.
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Directions: Classify the following appetizers either Hot or Cold appetizer.
Write your answer in your test notebook.
1. cucumber stuffed _____________________
2. fresh fruits and vegetables _____________________
3. hard cooked eggs/stuffed eggs _____________________
4. pickled items _____________________
5. fries _____________________
6. salmon and cucumber bites _____________________
7. chips and dips _____________________
8. seafoods appetizer _____________________
9. pizza rolls _____________________
10. raw vegetables with dip _____________________
to ""synthesize"" means to combine information to create new information. please select the best answer from the choices provided t f
To "synthesize" means to combine information to create new information. The given statement is true.
Synthesizing is the process of combining or fusing several facts, theories, or notions to produce new information or insights. It entails taking distinct components or sources and combining them in a way that transcends simple summarization. When you synthesize, you evaluate and interpret the data, spot recurring themes or patterns, and create a cogent and thorough understanding.
Critical thinking and creativity are both involved in the higher-level cognitive process of synthesis. Making connections, coming to conclusions, and developing fresh insights or understandings are all part of it; it goes beyond merely repeating or regurgitating information that has already been said.
Thus, the mentioned above-given statement is true.
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Your complete question was as follows.
To synthesize means to form new information by combining parts or elements of other information. Please select the best answer from the choices provided t f
Answer: its true
Explanation:
Genera 5
3
Select the correct answer.
Which relationship is possible when two tables share the same primary key?
O A one-to-one
ОВ.
one-to-many
OC. many-to-one
OD. many-to-many
Reset
Next
Question:
Which relationship is possible when two tables share the same primary key?
Explanation:
One-to-one relationship.
Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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