Chester Corp. ended the year carrying $20,657,000 worth of


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Chester Corp. ended the year carrying $20,657,000 worth of inventory. Had they sold their entire inventory at their current prices, how much more revenue would it have brought to Chester Corp.? Select: 1 $43,704,100 $32,615,000 $20,657,000 $11,369,000 ATTACHMENT PREVIEW Download attachment 29 pages COMP-XM® INQUIRER 2.pdf COMP-XM® INQUIRER Page 1 Front Page Page 2 Stocks & Bonds Page 3 Financial Summary Page 4 Production Analysis Annual Report Andrews http://ww2.capsim.com/cgi-bin/CpCGIReports2011.exe?XM=1… Page 5 Thrift Segment Analysis Page 6 Core Segment Analysis Page 7 Nano Segment Analysis Page 8 Elite Segment Analysis Annual Report Baldwin Page 9 Market Share Page 10 Perceptual Map Page 11 HR/TQM Report Annual Report Chester Annual Report Digby PRINT 1 of 29 5/7/14, 10:18 PM COMP-XM® INQUIRER http://ww2.capsim.com/cgi-bin/CpCGIReports2011.exe?XM=1… Top " Round: 2 Dec. 31, 2015 Efren Escoto Student: Efren Escoto Andrews Efren Escoto Baldwin Chester Digby Selected Financial Statistics ROS Asset Turnover ROA Leverage (Assets/Equity) ROE Emergency Loan Sales EBIT Profits Cumulative Profit SG&A / Sales Contrib. Margin % COMP-XM® INQUIRER 2 of 29 Andrews 6.0% 1.10 6.6% 1.7 11.2% $0 $160,547,759 $20,702,998 $9,586,140 $14,326,212 10.2% 35.6% Baldwin 0.6% 0.69 0.4% 2.5 1.0% $0 $140,706,366 $15,517,792 $796,755 $4,529,356 12.1% 34.4% Chester 9.1% 1.25 11.4% 1.9 22.3% $0 $177,076,547 $31,740,664 $16,169,854 $29,192,092 6.9% 33.6% Digby -0.8% 0.73 -0.6% 2.9 -1.7% $0 $150,730,295 $13,980,967 ($1,220,875) $3,361,271 9.1% 32.8% Page 1 5/7/14, 10:18 PM COMP-XM® INQUIRER http://ww2.capsim.com/cgi-bin/CpCGIReports2011.exe?XM=1… Top Stocks & Bonds Round: 2 Efren Escoto December 31 , 2015 Stock Market Summary Company Andrews Baldwin Chester Digby Close $60.44 $34.33 $80.51 $26.71 Change ($9.85) ($9.79) $13.92 ($11.09) Shares 2,050,942 2,675,670 1,915,875 2,882,967 MarketCap ($M) $124 $92 $154 $77 Book Value $41.80 $30.13 $37.89 $24.49 EPS $4.67 $0.30 $8.44 ($0.42) Dividend $0.00 $0.00 $0.00 $0.00 Yield 0.0% 0.0% 0.0% 0.0% P/E 12.9 114.9 9.5 -63.2 Bond Market Summary Company Andrews Baldwin Chester Digby Series# Face Yield Close$ S&P 11.2S2020 11.9S2021 10.9S2024 11.0S2025 $8,837,000 $7,072,000 $12,000,000 $13,000,000 11.4% 11.9% 11.5% 11.5% 97.83 100.41 95.17 95.44 BBB BBB BBB BBB 11.2S2020 12.4S2021 12.0S2023 12.6S2024 13.1S2025 $8,632,724 $5,825,802 $15,610,279 $17,788,546 $34,902,738 12.3% 13.1% 13.1% 13.4% 13.6% 91.03 94.53 91.59 94.02 96.32 CC CC CC CC CC 11.1S2022 11.2S2023 11.5S2024 11.6S2025 $2,509,600 $5,662,814 $1,377,976 $18,600,072 11.9% 12.0% 12.2% 12.3% 93.28 93.19 94.27 94.49 B B B B 11.3S2020 12.5S2021 12.5S2022 12.5S2023 12.9S2024 13.4S2025 $10,417,600 $14,665,611 $7,963,435 $9,569,958 $14,262,838 $28,649,980 12.5% 13.4% 13.5% 13.6% 13.8% 14.0% 90.09 93.42 92.75 92.17 93.62 95.86 C C C C C C Next Year’s Prime Rate 8.50% COMP-XM® INQUIRER 3 of 29 Page 2 5/7/14, 10:18 PM COMP-XM® INQUIRER http://ww2.capsim.com/cgi-bin/CpCGIReports2011.exe?XM=1… Top Financial Summary Cash Flow Statement Survey Cash flows from operating activities Net Income (Loss) Adjustment for non-cash items: Depreciation Extraordinary gains/losses/writeoffs Changes in current assets and liabilities: Accounts payable Inventory Accounts receivable Net cash from operations Cash flows from investing activities Plant improvements (net) Cash flows from financing activities Dividends paid Sales of common stock Purchase of common stock Cash from long term debt issued Early retirement of long term debt Retirement of current debt Cash from current debt borrowing Cash from emergency loan Net cash from financing activities Net change in cash position Round: 2 December 31, 2015 Efren Escoto Andrews Baldwin Chester Digby $9,586 $797 $16,170 ($1,221) $10,846 ($965) $13,224 $0 $8,217 $0 $14,367 $0 ($31) $5,097 ($1,087) $23,447 $864 $2,948 ($1,947) $15,885 $2,121 ($8,546) ($1,881) $16,081 ($1,204) $8,042 $95 $20,078 ($29,448) ($53,…

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