ABC Bank issued perpetual preference shares some years ago. The bank pays an annual dividend of $3.2, and the required rate of return is 11%. If this share is currently sold at $27, would it be a good buy and why?

Answers

Answer 1

The PV of the perpetual preference shares is $29.09, and the current share price is $27. Hence, it would be a good buy, and one can expect a positive return on the investment in the long term, ABC Bank issued perpetual preference shares a few years ago.

The bank pays an annual dividend of $3.2, and the required rate of return is 11%. If this share is currently sold at $27, it would be a good buy.

To solve the given problem, we will use the formula of the present value of a perpetual annuity, which is as follows:

PV = Annual payment / Required Rate of return

The PV of this perpetuity can be calculated using the above formula as follows:

PV = $3.2 / 11%PV = $29.09

We can clearly see that the current share price is less than the calculated PV. Therefore, it would be a good buy.

Preference shares are those shares that have a fixed rate of dividend, which is paid to the shareholder before the payment of any dividend to the equity shareholders. The perpetual preference shares, also known as perpetual annuities, are similar to the conventional preference shares, but the only difference is that the former has no maturity date.The given problem can be solved by using the formula of the present value of a perpetual annuity, which is calculated as follows:

PV = Annual payment / Required Rate of return

The above formula helps us to calculate the present value of a perpetual annuity. Using this formula, we can calculate the present value of the perpetual preference shares that ABC Bank issued a few years ago. The bank pays an annual dividend of $3.2, and the required rate of return is 11%. Thus, the PV of this perpetuity can be calculated as follows:

PV = $3.2 / 11%

PV = $29.09

We can see that the calculated PV of the perpetuity is $29.09, which is greater than the current share price of $27. Hence, the current share price of ABC Bank’s perpetual preference shares is less than their PV, and hence, it would be a good buy. One can expect a positive return on the investment in the long term.

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Related Questions


1.
Name three ways to link HR strategy to business strategy. (150
words minimum)

Answers

The human resource strategy must align with the overall business strategy to increase the organization's efficiency and effectiveness. The HR strategy must cater to the workforce and ensure that their needs and goals align with the organization's objectives.

Here are three ways to link human resource strategy to business strategy:1. Identify the goals of the business strategy: To align HR strategy with business strategy, the HR department must know the goals and objectives of the business. HR strategy must be designed to support the business's mission and objectives. For example, if the business aims to expand into new territories, HR must hire and train new employees to support this expansion.2. Develop HR policies that align with business strategy: The policies that HR creates must support the business strategy. The HR policies must be designed to create a culture that aligns with the business's core values.

For instance, if the business aims to be environmentally friendly, HR can implement policies that focus on eco-friendly practices.3. Analyze workforce capabilities and skills: To align the HR strategy with the business strategy, HR must analyze the workforce's capabilities and skills. If the business aims to develop a new product, HR must ensure that the workforce has the right skills to achieve this goal. In conclusion, HR strategy is an essential aspect of any business strategy. The HR department plays a critical role in linking the HR strategy with the business strategy.

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You have just fulfilled your lifelong dream of opening an ice-cream shop and will be hiring six part-time employees for the upcoming summer season. How might you use Herzberg's theory to motivate your hires? In your response, be sure to first explain the difference between motivating and hygiene factors. Then, apply the theory to your new role as ice-cream shop owner and explain several things you could do to increase/maintain employee motivation.

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Herzberg's Two-Factor Theory distinguishes between motivating factors and hygiene factors in employee motivation. Motivating factors are intrinsic to the job and relate to the work itself, such as achievement, recognition, responsibility, growth, and advancement.

These factors contribute to job satisfaction and intrinsic motivation. On the other hand, hygiene factors are extrinsic to the job and include elements such as salary, working conditions, company policies, interpersonal relationships, and job security. These factors, when lacking, can lead to dissatisfaction but their presence does not necessarily lead to motivation.

As an ice-cream shop owner, you can apply Herzberg's theory to motivate your hires in the following ways:

1. Recognition and Achievement: Acknowledge and appreciate employees' efforts and successes. Recognize their achievements publicly, perhaps by awarding "Employee of the Month" or hosting small celebrations for milestones.

2. Responsibility and Empowerment: Provide employees with meaningful responsibilities and opportunities to make decisions within their roles. This fosters a sense of ownership and autonomy, increasing motivation.

3. Growth and Development: Offer training programs, workshops, or opportunities for skill enhancement. Encourage employees to learn new skills, take on additional responsibilities, or pursue personal and professional growth.

4. Feedback and Communication: Establish an open and transparent communication channel where employees can express their ideas, concerns, and suggestions. Provide regular feedback on their performance, offering constructive criticism and guidance for improvement.

5. Work Environment: Create a positive and supportive work environment where employees feel valued and respected. Foster teamwork, collaboration, and a sense of camaraderie among employees.

6. Flexibility and Work-Life Balance: Where possible, offer flexible work schedules to accommodate employees' personal needs. Show understanding and support for maintaining a healthy work-life balance.

7. Competitive Compensation and Benefits: Ensure that employees receive fair and competitive wages, considering industry standards and local market conditions. Additionally, provide attractive benefits such as employee discounts, performance-based incentives, or opportunities for profit sharing.

By addressing both the hygiene factors (ensuring fair compensation, providing a conducive work environment) and the motivating factors (recognition, growth opportunities), you can create a motivational environment that fosters job satisfaction and commitment among your part-time employees in the ice-cream shop.

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Which of the following investment strategies is passive? Allocating capital to firms that have higher average 5-year earnings per share. Allocating capital to firms that have higher than market average 5-year EPS growth. Allocating capital to firms that have higher than market average 5-year P/E ratio. Allocating capital across based on forecasted dividend growth Allocating capital on a pro-rata (by capitalisation) basis for all listed equities.

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Out of all the given investment strategies, the allocation of capital on a pro-rata (by capitalisation) basis for all listed equities is passive. In a passive investment strategy, investors seek to replicate the returns of the market as a whole, rather than attempting to outperform it.

There are several ways to implement passive investment strategies, including index funds and exchange-traded funds (ETFs).Index funds typically hold all the securities in a particular market index, such as the S&P 500, and aim to replicate the index's returns. ETFs are similar to index funds in that they track an index, but they trade on an exchange like a stock, and their prices fluctuate throughout the trading day.In a pro-rata (by capitalisation) basis passive investment strategy, an investor aims to allocate the investment capital across all listed equities based on the relative market capitalization of each security. This means that the investor aims to hold all the securities in proportion to their market capitalization, with no attempt to pick and choose securities based on any other factors. The idea behind this strategy is that the investor will earn returns similar to the overall market without incurring the additional costs and risks of active management.

Therefore, in a pro-rata (by capitalisation) basis, the allocation of capital for all listed equities is a passive investment strategy.

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The variable cost per unit was R7,75 for 15 000 units manufactured. Total costs incurred were R210 250 and it was found that the fixed overheads were R35 000 more than originally planned. What was the estimated amount for fixed costs? Select one: O A. R81 250 B. R175 250 O C. R75 000 O D. R59 000

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To determine the estimated amount for fixed costs, we can use the given information and calculate it as follows:

Let's start by calculating the total variable costs for the 15,000 units manufactured:

Variable cost per unit = R7.75

Number of units manufactured = 15,000

Total variable costs = Variable cost per unit * Number of units manufactured = R7.75 * 15,000 = R116,250

Next, we can calculate the total costs incurred by adding the total variable costs and the additional fixed overheads:

Total costs incurred = Total variable costs + Additional fixed overheads = R116,250 + R35,000 = R151,250

Now, we need to find the estimated amount for fixed costs. Since the total costs incurred include both variable and fixed costs, we can subtract the variable costs from the total costs to find the fixed costs:

Fixed costs = Total costs incurred - Total variable costs = R151,250 - R116,250 = R35,000

Therefore, the estimated amount for fixed costs is R35,000.

The correct option is O D. R59 000 is not the correct answer.

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as you view the three short clips from steve case, relate specifically back on the chapter material on the myths of entrepreneurship on how steve case's examples fit into our theoretical presentation. ( The subject is Entrepreneur and innovation)

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Steve Case is an American entrepreneur who co-founded AOL. The following are three short clips from Steve Case that can be related back to the myths of entrepreneurship in our theoretical presentation:

Clip 1: Steve Case talks about how AOL was almost sold in its early stages of development but was saved by a surge in user growth.

This clip relates to the myth that entrepreneurship is all about the idea. Many people believe that a successful startup is all about having a great idea, but the reality is that execution and adaptation are just as important. AOL's success was not due to its initial idea of being a gaming service, but rather its ability to pivot to a dial-up internet service provider and ride the wave of the internet boom.

Clip 2: Steve Case talks about the importance of creating a strong team with complementary skills.

This clip relates to the myth that entrepreneurship is a solo act. Many people believe that entrepreneurs have to go it alone and be a jack-of-all-trades. However, Steve Case emphasizes the importance of building a team with complementary skills, which is critical to a startup's success.

Clip 3: Steve Case talks about the importance of being flexible and adaptable.

This clip relates to the myth that entrepreneurship is a linear path. Many people believe that entrepreneurship is a straightforward journey with a clear beginning, middle, and end. However, Steve Case emphasizes the importance of being flexible and adaptable to changes in the market and the needs of the business. A startup's path is rarely linear, and entrepreneurs must be willing to pivot and change course as needed.

In summary, Steve Case's examples show how the myths of entrepreneurship do not always align with the reality of starting and growing a successful business. It is not just about having a great idea or going it alone, but rather about execution, building a strong team, and being flexible and adaptable to change.

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For each of the following, indicate which curve or curves, if any, in the Goods market and the Money market shift to reflect the proposed change. Also indicate whether the IS or LM shifts and in which direction.

(a) Accountingdiligenceincreases the lease rates the private sector pays tothegovernment9 to operate public infrastructure (such as airports or toll roads)

(b) RBA increases Ms

(c) Farmers anticipate a future decrease in MPK as global warming changes crop management

(d) In the US, Congress lets the temporary Estate tax cuts passed by under the Bush administration expire. (e) The public’s expectation of inflation increases

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(a)Main answer- When accounting diligence increases the lease rates the private sector pays to the government for operating public infrastructure, it affects the cost of production for businesses.

Explanation- This leads to a decrease in investment and a leftward shift in the Investment (I) curve in the goods market. There won't be any shift in the money market or the LM or IS curves.

(b) Main answer- When the Reserve Bank of Australia (RBA) increases the money supply (Ms), there will be a rightward shift in the Money Supply (Ms) curve in the money market.

Explanation- This increase in the money supply will lower interest rates, encouraging borrowing and spending, leading to an increase in Aggregate Demand (AD). Therefore, the LM curve will shift to the right in response to the increased money supply.

(c) Main answer- When farmers anticipate a future decrease in Marginal Product of Capital (MPK) due to global warming's impact on crop management, they may reduce their investments in capital.

Explanation- This will lead to a decrease in investment and a leftward shift in the Investment (I) curve in the goods market. There won't be any shift in the money market or the LM or IS curves.

(d) Main answer- When the temporary estate tax cuts passed by Congress under the Bush administration expire, there will be an increase in government revenue. This will lead to a decrease in the budget deficit or an increase in the budget surplus.

Explanation- Consequently, there will be a rightward shift in the Savings (S) curve in the goods market due to increased government savings. There won't be any shift in the money market or the LM or IS curves.

(e)Main answer-  When the public's expectation of inflation increases, it affects their behavior and decision-making. This leads to a decrease in real money balances and an increase in nominal interest rates.

Explanation- As a result, the demand for money (Md) decreases, causing a leftward shift in the Money Demand (Md) curve in the money market. There won't be any shift in the goods market or the IS or LM curves.

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•Find one company then relate it with the information systems strategic triangle and competing with IT on it •find info for company

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Amazon exemplifies the integration of the information systems strategic triangle by aligning its business strategy, organizational strategy, and IT strategy.

One company that can be related to the information systems strategic triangle and competing with IT is Amazon.com Inc. Amazon is a multinational technology company and one of the world's largest online retailers. It operates in various segments, including e-commerce, cloud computing, digital streaming, and artificial intelligence.

The information systems strategic triangle consists of three key components: business strategy, organizational strategy, and IT strategy. In the case of Amazon, these components are closely interrelated and contribute to its competitive advantage.

1. Business Strategy: Amazon's business strategy is centered around customer obsession and providing a wide range of products and services with convenient access and fast delivery. The company focuses on creating a seamless shopping experience and continuously improving customer satisfaction.

2. Organizational Strategy: Amazon has developed a highly efficient and customer-centric organizational structure. It emphasizes innovation, agility, and a decentralized decision-making process. This enables rapid adaptation to changing market conditions and customer preferences.

3. IT Strategy: IT plays a critical role in Amazon's success. The company heavily invests in technology and utilizes advanced information systems to support its operations. Amazon's IT infrastructure is known for its scalability, reliability, and security. It leverages technologies such as cloud computing, data analytics, and machine learning to optimize its supply chain, personalize recommendations, and enhance customer experience.

Competing with IT, Amazon has successfully utilized technology to gain a competitive edge in the retail industry. It has developed sophisticated algorithms and data analytics capabilities to analyze customer behavior, manage inventory, and optimize pricing. Amazon's recommendation system, powered by AI, has significantly contributed to its cross-selling and upselling strategies, increasing customer engagement and sales.

Furthermore, Amazon's cloud computing service, Amazon Web Services (AWS), has emerged as a dominant player in the cloud market. AWS provides scalable and cost-effective infrastructure services to businesses worldwide, enabling them to innovate and compete more effectively.

In summary, Amazon exemplifies the integration of the information systems strategic triangle by aligning its business strategy, organizational strategy, and IT strategy. The company's relentless focus on customer satisfaction and continuous technological innovation has enabled it to become a leader in the retail industry and compete effectively through the strategic use of IT.

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Case on Investment and Financial decision making:
Being a country with a large population, one of the great advantages of Bangladesh is that there is large domestic consumption. It is a blessing for those who meet this consumption desire. At present, our growth in the entire export sector, including garments, has been good. Overall, we are in a positive position.
Post-Covid, investors have begun working on new ventures. The hope is that the economy will recover soon. From that point of view, I would say credit growth in the private sector is also good. Investments in new factories and businesses have increased due to increasing demand in the market. At the same time, due to the rise in the value of the dollar, more credit has to be given to acquire the same amount of commodities as before this change.
The goal of monetary policy on credit growth in the private sector has not been achieved so far. It is likely, however, that a jump will be registered next June. With this in mind, the goal can be achieved this financial year. All things considered, this can be termed a good beginning and also a good time for future investments.
It is said credit is going to both trading and investment sectors. However, more credit is going to export-oriented industries, including garments and textiles, than to the trading sector. Many are now taking credit in the manufacturing sector for making cloth from yarn. Buyer demand is influencing this trend. They are giving less time to make the final product.
It is important to note that raw materials for these products take a long time to be imported from China or other countries. In order to save time, buyers are insisting that we produce yarn in our country. This way you don't have to waste time waiting for imports of cloth from other countries. Furthermore, there are also some restrictions on imports from China. At this time, we have the opportunity to take advantage of the value chains in the garment sector, where we can contribute to every step except cotton.
The SME sector shows potential growth but requires intensive financing from banks. To secure funding, the stability of an organization is better if the rules and regulations given by the central bank are followed.
At the end of the day, it is better to follow the formula of risk undertaking. This is because, even if there is a potential gain in short-term risk taking, it can be a loss for the bank if it does not take long-term risk taking into consideration.
Questions to be answered:
1.Summarize and write what you have understood from this article
2. If you were the financial manager of an organization , trying to invest based on the above information, how would you invest.
3. What precautions should the investor and the bank take to be more secured from risk?

Answers

1. Bangladesh has a large domestic consumption, and the export sector is doing well. 2.  I would invest in the garment sector as there is an opportunity to contribute to every step except cotton, 3. They should follow the formula of risk undertaking.

1. Summary of the article: Bangladesh has a large domestic consumption, and the export sector is doing well. After the Covid pandemic, investors are working on new ventures and credit growth in the private sector is good. Most credit is going to export-oriented industries. Raw materials take a long time to import. It is important to follow the formula of risk undertaking. SME sector requires intensive financing from banks.

2. As a financial manager of an organization, I would invest in the garment sector as there is an opportunity to contribute to every step except cotton. I would also consider investing in the manufacturing sector to meet the demand for yarn from the garment industry. It would be important to follow the regulations given by the central bank to ensure the stability of the organization. Additionally, I would undertake short-term risks, keeping in mind the potential long-term risks that may arise.

3. To be more secure from risk, both the investor and the bank should take several precautions: They should follow the formula of risk undertaking. They should consider the potential gains and losses while taking risks. Investors should focus on SME sector businesses that require intensive financing from banks to promote growth. Banks should ensure the stability of the organization by following regulations given by the central bank. Investors and banks should undertake short-term risks, keeping in mind the potential long-term risks that may arise.

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Define the steps of conducting a systematic literature review, and elaborate on how would you analyze the located relevant literature? (400 words) . please try to give an answer of at least 350 words, thank you.

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Systematic literature review steps: Define research question, search for relevant studies, screen literature, extract data, and synthesize findings. Analysis involves evaluating study designs and drawing conclusions.

Conducting a systematic literature review involves several key steps. Firstly, researchers need to define their research question and establish clear inclusion and exclusion criteria for the study. Next, an extensive search is conducted using various databases and sources to locate relevant studies. The identified literature is then screened based on predetermined criteria, such as relevance and quality.

Data is extracted from the selected studies, which may include information such as study design, sample size, variables, and results. The synthesized findings are then analyzed by evaluating the methodologies and designs employed in the studies, identifying patterns or themes across the literature, and assessing the overall quality and reliability of the evidence. This analysis helps researchers draw meaningful conclusions, identify gaps in knowledge, and make recommendations for future research or practice.

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I need information on the future rate of unemployment for the truck driving industry.
I need information on the future inflation rate for the truck driving industry.
I need information on the future labor force participation in the truck driving industry.
Subject is macroeconomics.

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The future rate of unemployment in the truck driving industry will be influenced by various factors, such as technological advancements (e.g., autonomous vehicles), changes in transportation demand, economic conditions, and industry-specific regulations.

Technological advancements may lead to automation and potential job displacement, affecting the demand for truck drivers in the long run. Economic fluctuations and shifts in trade patterns can also impact employment levels in the industry.

The future inflation rate for the truck driving industry will be influenced by factors such as fuel prices, labor costs, government policies, and supply chain dynamics. Fluctuations in fuel prices can significantly impact operating costs for trucking companies, which may then affect pricing and inflationary pressures within the industry. Labor costs, including wages and benefits, as well as broader economic factors like monetary policies and global economic conditions, can also contribute to inflationary pressures within the truck driving industry.

The future labor force participation in the truck driving industry will depend on factors such as demographic trends, technological advancements, industry growth, and labor market conditions. Demographic changes, such as an aging workforce or shifts in population distribution, can influence the availability of workers in the industry. Technological advancements, such as automation or the adoption of new transportation technologies, may affect the demand for labor in the industry. Additionally, the overall state of the labor market, including factors like wage levels, working conditions, and job opportunities, can impact labor force participation in the truck driving industry.

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Clockworks Co. reports the following data for the current year: Units sold... 1,200 Unit sales price...... $30 Unit variable cost.. $10 Total fixed cost... $18,000 Required: Calculate Clockworks' pretax income.

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To calculate Clockworks Co.'s pretax income, we need to determine the total contribution margin and subtract the total fixed costs. The contribution margin is the difference between the unit sales price and the unit variable cost. Clockworks Co.'s pretax income for the current year is $6,000.

Contribution margin per unit = Unit sales price - Unit variable cost

Contribution margin per unit = $30 - $10

Contribution margin per unit = $20

Total contribution margin = Contribution margin per unit * Units sold

Total contribution margin = $20 * 1,200

Total contribution margin = $24,000

Pretax income = Total contribution margin - Total fixed costs

Pretax income = $24,000 - $18,000

Pretax income = $6,000

Therefore, Clockworks Co.'s pretax income for the current year is $6,000.

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the government sent 1200 checks to most americans last summer. this can be thought of as a one time lump sum tax cut. 31) what should happen to labor supply? 32) what will happen to consumption and by how much? and why?

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Labor supply might decrease for some individuals who choose to reduce their work hours or take time off and  The specific amount of the increase in consumption cannot be determined without more information about individual behavior and economic conditions.

The effect on labor supply due to a one-time lump sum tax cut like the government sending $1200 checks to most Americans can vary depending on individual circumstances and preferences.

In general, a tax cut increases disposable income, which could potentially reduce the need for some individuals to work additional hours or take on additional jobs to meet their financial needs. Consequently, labor supply might decrease for some individuals who choose to reduce their work hours or take time off.

The impact on consumption resulting from a one-time lump sum tax cut also depends on various factors. Typically, a tax cut leads to increased disposable income, which can stimulate consumer spending. However, the magnitude of the effect on consumption may vary depending on individual propensities to consume and save. Some individuals might choose to spend the entire amount of the tax cut, leading to a significant increase in consumption.

Others might choose to save or use the funds to pay off debts, resulting in a smaller impact on immediate consumption.

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Assume that you are considering purchasing some of a company's long-term bonds as an investment. Which of the company's financial statement ratios would you probably be most interested in?

A) Plant assets to long-term liabilities
B) Debt to assets ratio
C) Debt to equity
D) All of these answers are correct

Answers

As an investor considering purchasing some of a company's long-term bonds as an investment, I will probably be most interested in the Debt to assets ratio of the company's financial statement ratios.

This is because the Debt to assets ratio compares the total amount of debt to the total amount of assets that a company has, making it a measure of a company’s solvency. It indicates what proportion of the company's assets have been financed with borrowed money or debt.Bondholders, lenders, and investors are interested in the Debt to assets ratio as it measures a company's overall leverage. It shows how much of the company's assets have been paid for by borrowed funds, which is crucial because companies with a higher debt to asset ratio have more debt relative to their assets. A higher debt to asset ratio implies a higher financial risk for the bondholders as well as lenders.Hence, as an investor considering purchasing some of a company's long-term bonds as an investment, I will probably be most interested in the Debt to assets ratio of the company's financial statement ratios.

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The following information applies to the questions displayed below) Alexa owns a condominium near Cocoa Beach in Florida In 2021, she incurs the following expenses in connection with her condo Insurance $ 2,500 Mortgage Interest 7.250 Property taxes 2.400 Repair & maintenance 1,650 utilities 3.500 Depreciation 15.75 During the year. Alexa rented out the condo for 100 days She did not use the condo at all for personal purposes during the year. Alexa's AG from all sources other than the rental property is $200,000. Unless otherwise specified. Alexa has no sources of passive income Assuming Alexa receives $22.000 in gross rental receipts, answer the following questions (Leve no answer blank. Enter zero if applicable) What effect does the rental activity have on her Al for the year? Required information The following information applies to the questions displayed below! Alexa owns a condominium near Cocoa Beach in Florida in 2021, she incurs the following expenses in connection with her condo Insurance $ 2,500 Morte Interest 7,250 Property taxes 2,400 Repairs maintenance 1,650 utilities 3,500 Depreciation 15,750 During the year. Alexa rented out the condo for 100 days. She did not use the condo at all for personal purposes during the year. Alexa's AG from all sources other than the rental property is $200,000. Unless otherwise specified. Alexa has no sources of passive income. Assuming Alexa receives $22.000 in gross rentat receipts, answer the following questions (Leave no answer blank. Enter zero if applicable.) b. Assuming that Alexa's AG from other sources is $90,000, what effect does the rental activity have on Alexa's AGI? Alexa makes all decisions with respect to the property AGE Required information The following information applies to the questions displayed below! Alexa owns a condominium near Cocoa Beach in Porida In 2021, she incurs the following expenses in connection with her condo Insurance 5,500 Mortgage Interest 7.250 Property taxes 2.0 Repairs intenance 1.650 utilities 3.500 Depreciation 15,75 During the year, Alexa rented out the condo for 100 days She did not use the condo at all for personal purposes during the year. Alexa's AG from all sources other than the rental property is $200,000. Unless otherwise specified Alexa has no sources of passive Income Assuming Alexa receives $22.000 in gross rental receipts, answer the following questions (Leave no answer blonk Enter zero if applicable) c. Assuming that Alexa sa trom other sources is $120,000, what effect does the rental activity how on Alexas Alexa makes ut decisions with respect to the property

Answers

a) Alexa can claim deductions for these expenses against the rental income she earned, which will reduce her AGI.  b) However, if her AGI was over $100,000, she would be subject to a phase-out of her rental deductions, which would reduce the amount of deductions she can claim.  c) Her AGI is reduced by $10,000 ($22,000 - $12,000).

a. The rental activity reduces Alexa's AGI by $22,000, which is the gross rental receipts she received during the year. AGI is calculated by subtracting allowable deductions from total income. Rental expenses such as insurance, mortgage interest, property taxes, repairs and maintenance, utilities, and depreciation are deductible.
b. If Alexa's AG from other sources is $90,000, the rental activity will reduce her AGI by $12,000 ($22,000 - $10,000). This is because rental deductions are limited to the amount of rental income earned if the taxpayer's AGI is $100,000 or less. Since Alexa's AGI is below $100,000, she can deduct up to $22,000 of rental expenses against her rental income of $22,000. However, if her AGI was over $100,000, she would be subject to a phase-out of her rental deductions, which would reduce the amount of deductions she can claim.
c. If Alexa's AG from other sources is $120,000, the rental activity will reduce her AGI by $10,000 ($22,000 - $12,000). This is because rental deductions are phased out for taxpayers with AGI over $100,000. For every dollar of AGI over $100,000, rental deductions are reduced by 50 cents. Since Alexa's AGI is $120,000, her rental deductions are reduced by $5,000 ($20,000 x 50%), which leaves her with $12,000 of allowable rental deductions.

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Holtzman Clothiers's stock currently sells for $39.00 a share. It just paid a dividend of $1.75 a share (i.e., D0 = $1.75). The dividend is expected to grow at a constant rate of 8% a year. What stock price is expected 1 year from now? Round your answer to the nearest cent.

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Let the Holtzman Clothiers’ expected stock price 1 year from now be denoted by P₁. Given that the stock currently sells for $39.00 a share and just paid a dividend of $1.75 a share. We have D₀ = $1.75.Now the dividend is expected to grow at a constant rate of 8% a year.

This means that the dividend expected next year D₁ is given by;

D₁ = D₀(1 + g)where g is the expected rate of dividend growth.

Substituting D₀ = $1.75 and g = 8%, we get;

D₁ = $1.75(1 + 0.08)D₁ = $1.89Now we need to determine the expected stock price 1 year from now.

This can be done using the constant growth model which is given by;P₁ = D₁/(r - g)where r is the expected rate of return on the stock. Since no rate of return is provided, we assume that it is equal to the required rate of return on the stock.Using the CAPM model, the required rate of return on the stock is given by;

r = r_f + β(r_m - r_f)where r_f is the risk-free rate, r_m is the expected market return, and β is the stock beta. Since no information is provided on the risk-free rate and the expected market return, we use the historical values. Assume that;r_f = 2.5%r_m = 11%β = 1.5

Substituting these values into the CAPM model, we get;

r = 2.5% + 1.5(11% - 2.5%)r = 16.5%

Now we can use the constant B to find the expected stock price 1 year from now;

P₁ = D₁/(r - g)P₁ = $1.89/(16.5% - 8%)P₁ = $28.27Therefore, the expected stock price 1 year from now is $28.27.

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(Related to The Business of Life: Saving for Your First House) (Future value) You are hoping to buy a house in the future and recently received an inheritance of $20,000. You intend to use your inheritance as a down payment on your house.


a. If you put your inheritance in an account that earns 9 percent interest compounded annually, how many years will it be before your inheritance grows to $32,000 ?
b. If you let your money grow for 10.25 years at 9 percent, how much will you have?
c. How long will it take your money to grow to $32,000 if you move it into an account that pays 3 percent compounded annually? How long will it take your money to grow to $32,000 if you move it into an account that pays 13 percent?
d. What does all this tell you about the relationship among interest rates, time, and future sums? a. If you put your inheritance in an account that earns 9 percent interest compounded annually, how many years will it be before your inheritance grows to $32,000? years (Round to one decimal place.)

Answers

a. It will take approximately 6.95 years for your inheritance to grow to $32,000.

b. After 10.25 years, you would have approximately $46,789.25.

c. It will take approximately 7.43 years for your money to grow to $32,000 at a 13 percent interest rate.

d. As the interest rate increases or the time horizon extends, the growth of the initial amount accelerates, resulting in a higher future value.

a. To determine how many years it will take for your inheritance to grow to $32,000 in an account earning 9 percent interest compounded annually, we can use the future value formula:

Future value = Present value * (1 + Interest rate)^Number of periods

$32,000 = $20,000 * (1 + 0.09)^Number of periods

Solving for the number of periods:

(1 + 0.09)^Number of periods = $32,000 / $20,000

(1.09)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.09) = log(1.6)

Number of periods = log(1.6) / log(1.09)

Number of periods ≈ 6.95

Therefore, it will take approximately 6.95 years for your inheritance to grow to $32,000.

b. If you let your money grow for 10.25 years at 9 percent, the future value can be calculated using the same formula:

Future value = $20,000 * (1 + 0.09)^10.25

Future value ≈ $46,789.25

Therefore, after 10.25 years, you would have approximately $46,789.25.

c. To calculate how long it will take for your money to grow to $32,000 in an account that pays 3 percent compounded annually, we can use the same future value formula:

$32,000 = $20,000 * (1 + 0.03)^Number of periods

Solving for the number of periods:

(1 + 0.03)^Number of periods = $32,000 / $20,000

(1.03)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.03) = log(1.6)

Number of periods = log(1.6) / log(1.03)

Number of periods ≈ 22.61

Therefore, it will take approximately 22.61 years for your money to grow to $32,000 at a 3 percent interest rate.

If you move your money into an account that pays 13 percent compounded annually, we can follow the same calculation:

$32,000 = $20,000 * (1 + 0.13)^Number of periods

Solving for the number of periods:

(1 + 0.13)^Number of periods = $32,000 / $20,000

(1.13)^Number of periods = 1.6

Taking the logarithm of both sides:

Number of periods * log(1.13) = log(1.6)

Number of periods = log(1.6) / log(1.13)

Number of periods ≈ 7.43

Therefore, it will take approximately 7.43 years for your money to grow to $32,000 at a 13 percent interest rate.

d. The calculations above demonstrate the relationship among interest rates, time, and future sums. Higher interest rates and longer periods of time lead to larger future sums. As the interest rate increases or the time horizon extends, the growth of the initial amount accelerates, resulting in a higher future value. This highlights the impact of compounding and the importance of considering both interest rates and time when evaluating the growth potential of an investment.

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Please, Answer The Following Questions And Give A Broad Explanation: 1. What Are The Tax Rules That Determine If An Independent Contractor Is An Employee? Why Would A Business Want To Have Independent Contractors And Not Employees For Tax Purposes? Find A Tax Case That References An Employer Being Forced To Reclassify Independent Contractors As
Please, answer the following questions and give a broad explanation:

1. What are the tax rules that determine if an independent contractor is an employee? Why would a business want to have independent contractors and not employees for tax purposes? Find a tax case that references an employer being forced to reclassify independent contractors as employees.

2. What is the difference between a defined benefit and a defined-contribution plan? Are they both treated the same way for tax purposes? What IRC sections reference these plans?

Answers

1. Tax rules that determine if an independent contractor is an employee:
The IRS considers three general categories to identify whether a worker is an employee or an independent contractor: Behavioral control, Financial control, and Relationship control.

The employer's right to instruct and control how the worker performs the job, how he is paid, and the specific duration of the working relationship is used to determine behavioral control. If the worker gets directions from the employer on how to execute the work, they are an employee. In the case of financial control, the worker has significant investment or operating costs, such as setting his own fees or purchasing his own equipment; an independent contractor. The third control is the relationship between the employer and the worker, which includes the purpose of the working relationship, how permanent it is, and whether the worker receives benefits, such as insurance or paid leave.

There are several reasons why a company would choose to hire independent contractors instead of employees. One of the main reasons is for tax purposes. By hiring independent contractors, a business can save money on payroll taxes, workers' compensation insurance, and employee benefits. Additionally, independent contractors are not covered by most labor laws, which means businesses do not have to provide them with benefits such as paid time off, health insurance, or retirement plans.

A tax case that references an employer being forced to reclassify independent contractors as employees is the case of FedEx Ground Package System, Inc. v. Commissioner. In this case, the IRS challenged FedEx's classification of its delivery drivers as independent contractors. The court ruled that the drivers were employees and not independent contractors, which meant that FedEx was responsible for paying payroll taxes, workers' compensation insurance, and other employee benefits.

2. Difference between defined benefit and defined-contribution plans:
Defined benefit plans are retirement plans that provide a specified retirement benefit to employees based on a specific formula. Employers are responsible for funding these plans and guaranteeing that the employees receive a certain amount of retirement income. In contrast, defined-contribution plans are retirement plans in which employees contribute a certain amount of money to their accounts, and the employer may also contribute a portion of the funds. The amount of money employees receive at retirement is determined by the performance of the investments in their accounts.

Defined benefit and defined-contribution plans are treated differently for tax purposes. Defined benefit plans offer tax-deductible contributions, and the investment earnings grow tax-free until the employee receives benefits. Defined-contribution plans also offer tax-deductible contributions, and the investment earnings grow tax-free until the employee receives benefits. The IRS Code section that refers to defined benefit plans is Section 401(a), while Section 401(k) refers to defined contribution plans.

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Conde de Mowing planned create expenditure model with proportionales de meditsiime spending G-52.5 Twent propriul Grech tures will be equal toplied by the facts Y-T-ON-Y EX-5 trilis 16 Find the equilibrium level of output? What is the equilibrium level of compte Is there a trade deficit or trademar How We What is the count balance

Answers

The count balance is the difference between exports and imports. In this case, the count balance is -$16.0 billion since the net exports are -$16.0 billion.

An expenditure model determines the factors that affect the changes in national spending. The equilibrium level of output is the output level at which the total quantity produced is equal to the total quantity demanded. In this question, we have to find the equilibrium level of output. An expenditure model can be used to predict how a change in spending will impact economic activity. The model has four components; consumption, investment, government spending, and net exports. For this question, we'll use the expenditure model to find the equilibrium level of output. Calculate the expenditure of the economy from the given information. We can calculate the expenditure of the economy by using the formula:

E = C + I + G + NXE = $52.5 + $20.0 + $45.0 + (-$16.0)E = $101.5 billion

Note: Consumption (C) = $52.5 billion Investment (I) = $20.0 billion Government spending (G) = $45.0 billion

Net exports (NX) = Exports (X) - Imports (M) = $20.0 billion - $36.0 billion = -$16.0 billion

Now, we can use the expenditure-output model to find the equilibrium level of output:

E = Y101.5 = Y

From the above calculation, the equilibrium level of output is $101.5 billion. Next, we need to find if there is a trade deficit or surplus. A trade deficit occurs when imports are greater than exports. On the other hand, a trade surplus occurs when exports are greater than imports. In this case, the net exports are negative, which means that the economy has a trade deficit. Finally, we need to find the count balance. The count balance is the difference between exports and imports. In this case, the count balance is -$16.0 billion since the net exports are -$16.0 billion.

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The United States Environmental Protection Agency has defined five tiers of environmental costs. The tier-4 'relationship and image costs' are

contingent costs arising from failure to clean up contaminated sites

direct costs associated with capital expenditures, raw materials, and other operating and maintenance costs

less tangible costs relating to consumer perceptions, and employee and community relations

costs that organisations impose on the environment and society for which they may not be held legally responsible

hidden regulatory costs of monitoring and reporting environmental activities and emissions

Centralisation, one of the building blocks of organisational structure, refers to

the degree to which decision making is concentrated at the top of the organisation

the formal, position-based reporting lines and stipulations regarding who reports to whom

the degree to which a task is divided into separate jobs

how efforts of individuals and teams are orchestrated and how resources are distributed

the extent to which employee behavior is guided by rules and procedures

Answers

The tier-4 'relationship and image costs' defined by the United States Environmental Protection Agency (EPA) are less tangible costs relating to consumer perceptions, and employee and community relations.

These costs are contingent costs arising from failure to clean up contaminated sites. They represent the intangible impacts on an organization's reputation, brand image, and relationships with customers, employees, and the community due to environmental contamination issues. Centralization, on the other hand, is one of the building blocks of organizational structure. It refers to the degree to which decision making is concentrated at the top of the organization.

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HRM Sony Family Case:
Sony Family One way to manage human resources effectively is to treat each member of the organization as the "member of the family deserving respect and recognition". There should be no class system or social status differentiation among all the employees from the president down to floor worker. The tendency of successful organizations is towards participative style of management and workers' participation in making operational decisions. Nothing is more motivational to workers than to know that there are no barriers between them and the management and there are no 'ivory towers' where managers get special and superior treatment than the workers. This style of management is especially prevalent in the Japanese industries where there is open and free communication between management and workers. This open interaction among all is highly encouraged by one Japanese company which has established a reputation for quality, service and human relations in the whole world. That company is SONY. To break down barriers between management and staff, Sony has instituted common cafeterias, known as on-site dining. On-site dining is perceived as more than merely a pleasant dining experience. According to Sony's director of facilities management, "When employees eat in, they tend to exchange work ideas. They walk the work at a different level." On-site dining also saves time as well as abuses of lunch hour time because workers do not have to commute to different restaurants for lunch. Morita, a onetime highly successful Chief Executive Officer (CEO) of Sony, once explained: "I have always made it a point to know our employees, to visit every facility of our company and to try to meet, and know every single employee." He himself socialized with the employees because he considered them as a part of Sony Family. To him, it was not human resource management; it was respect, for one's family. The on-site dining facility helps to strengthen work-related relationships and thus increase employee morale and productivity. It is a one-class cafeteria and there is no special place or special food reserved for top management. All the employees eat in the same place under the same environment. It. brings employees together in a more relaxed setting, outside the work environment, so that they have the opportunity for social bondage. This, in turn, can create work relationships and enhance productivity. Workers get to know each other on a first name basis and then try to help each other in the work environment. This also helps in providing easy access to management and this is a morale boosting element. This is due to the fact that on site dining encourages intra-company networking by bringing together people at different positions in the structural vertical as well as horizontal hierarchy from different departments. Such networking can ultimately facilitate internal communication since people get, to know each other with respect and affection. Such Japanese work ethic is being adopted by more and more American companies. They are beginning to realize that human resource management is not moving the people to work, but motivating the people to work and motivation comes with respect and recognition rather than financial incentive or comfortable working conditions alone.
Questions:
1. How can you describe performance management at Sony?
2. How the career path in managed at sony?

Answers

1. Performance management at Sony: Sony, an international company, has a reputation for quality, service, and human relations. Its management style is especially prevalent in the Japanese industries where open and free communication between management and workers is encouraged. It is observed that Sony's management style is based on the belief that participative management and workers' participation in operational decision-making are more motivational than a hierarchical or bureaucratic management system.

Sony treats each member of the organization as a member of the family deserving of respect and recognition, with no class system or social status differentiation among all the employees. The organization's tendency is toward a participative management style, and workers' participation in operational decision-making is encouraged.

2. Career path management at Sony: Sony provides career development plans for its employees by offering them opportunities to learn new skills, take on new tasks, and participate in training programs. The company encourages employees to enhance their career prospects by offering them lateral or vertical job opportunities in the organization.

Sony believes in promoting from within, and their employees are offered opportunities to move from one department to another or from one unit to another. Morita, a former CEO of Sony, considered his employees as a part of the Sony Family. He believed that a successful company depends on its employees' commitment to their work.

As a result, Sony strives to offer a friendly and productive working environment where employees can feel comfortable and can achieve their career goals.

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Susan has a $2,000,000 retirement account. Beginning today, Susan wishes to withdraw the first of twenty-five equal annual payments but still have $400,000 remaining after the final withdrawal. Assuming the retirement account will earn 7.5 percent per year, how much can she withdraw each period?

Answers

Susan can withdraw approximately $42,760.57 each period from her retirement account to have $400,000 remaining after the final withdrawal.

To determine how much Susan can withdraw each period from her retirement account, we can use the formula for the present value of an annuity.

The present value of an annuity formula is given by:

PV = PMT * [(1 - (1 + r)^(-n)) / r]

Where:

PV = Present Value (desired remaining balance)

PMT = Payment amount (to be determined)

r = Interest rate per period (7.5% or 0.075 in decimal form)

n = Number of periods (25)

Plugging in the values:

$400,000 = PMT * [(1 - (1 + 0.075)^(-25)) / 0.075]

To solve for PMT, we can rearrange the equation:

PMT = $400,000 * [0.075 / (1 - (1 + 0.075)^(-25))]

Calculating this expression:

PMT = $400,000 * [0.075 / (1 - 0.29578)]

PMT = $400,000 * [0.075 / 0.70422]

PMT = $400,000 * 0.1069

PMT ≈ $42,760.57

Therefore, Susan can withdraw approximately $42,760.57 each period from her retirement account to have $400,000 remaining after the final withdrawal.

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Susan can withdraw approximately $42,760.57 per period from her retirement account to ensure that she has $400,000 remaining after the final withdrawal.

This calculation is based on the present value of an annuity formula, which takes into account the desired remaining balance, interest rate, and number of periods.

By plugging in the values into the formula and solving for the payment amount (PMT), we find that PMT is approximately $42,760.57. This means that Susan can withdraw this amount each period to achieve her desired remaining balance.

It's important to note that this calculation assumes a constant withdrawal amount over the specified period and doesn't account for potential changes in investment returns or other factors that may affect the actual value of the retirement account.

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The Wall Street Journal reports that the rate on four-year Treasury securities is 1.6 percent and the rate on five-year Treasury securities is 2.6 percent. According to the unbiased expectations hypotheses, what does the market expect the one-year Treasury rate to be four years from today, E(5r1)?

Answers

According to the unbiased expectations hypothesis, the market expects the one-year Treasury rate four years from today, E(5r1), to be equal to the market rate on a five-year Treasury security. In this case, the rate on a five-year Treasury security is reported as 2.6 percent.

Therefore, based on the unbiased expectations hypothesis, the market expects the one-year Treasury rate four years from today to be 2.6 percent.

The unbiased expectations hypothesis suggests that market participants form their expectations of future interest rates based on all available information and that these expectations are unbiased and accurate predictors of future rates.

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A bailment:
Question options:
A)
cannot be based on an oral agreement
B)
can involve real or personal property
C)
requires that title be passed to the bailee
D)
transfers possession to the bailee

Answers

A bailment is a legal arrangement involving the transfer of possession of personal property from one party (bailor) to another party (bailee) without the transfer of ownership.

The correct option is D) transfers possession to the bailee

In a bailment, the bailor retains ownership of the property but transfers temporary possession to the bailee for a specific purpose or period of time. This transfer of possession can occur through an oral or written agreement between the parties involved.

A bailment can involve both real or personal property, but the correct statement is that it specifically involves personal property. Real property refers to land and immovable structures, while personal property refers to movable assets such as vehicles, jewelry, or furniture. In a bailment, personal property is entrusted to the care and responsibility of the bailee.

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The amount of money that can potentially be generated from each dollar of new deposits is measured by the____. discount rate. money multiplier. interest rate. required reserve ratio.

Answers

The amount of money that can potentially be generated from each dollar of new deposits is measured by the money multiplier.

The money multiplier is a concept used in banking and economics to determine the potential increase in the money supply resulting from an initial deposit. It represents the ratio of the change in the money supply to the change in the monetary base. When new deposits are made into the banking system, banks are required to keep a fraction of those deposits as reserves and are allowed to lend out the remaining portion. This lending creates new deposits in the economy, which can then be further lent out and create additional deposits. The money multiplier reflects the cumulative effect of this lending and deposit creation process.

The money multiplier is influenced by various factors, including the required reserve ratio set by the central bank, which determines the proportion of deposits that banks must hold as reserves. A lower reserve ratio means that banks can lend out a larger portion of their deposits, leading to a higher money multiplier and a greater potential for money creation. Conversely, a higher reserve ratio limits the lending capacity of banks and reduces the money multiplier. Thus, the money multiplier provides an indication of the potential expansion of the money supply resulting from new deposits and serves as a measure of the money-generating capacity of the banking system.

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There are different financial instruments to hedge the exchange rate risk. The main text mentions three financial instruments: forwards, swaps and options. Explain what these instruments entail and which of them is most fit to secure that at a specific time a certain amount of foreign currency can be exchanged to local currency against a predetermined exchange rate.

Answers

Forwards are the most suitable instrument to secure that at a specific time a certain amount of foreign currency can be exchanged for local currency against a predetermined exchange rate.

The financial instruments that are utilized to hedge exchange rate risks include forwards, swaps, and options. They each entail distinct characteristics and have varying applications based on the situation. However, the predetermined exchange rate can be secured by utilizing these instruments based on the user's needs.Forwards:Forwards are the most basic and straightforward financial instrument utilized for exchange rate risk hedging. They entail an agreement to exchange currencies at a specified exchange rate at a specific point in the future. Forwards are custom-made contracts with no formal market or clearinghouse. The purpose of using forward contracts is to safeguard the business from currency exchange rate risks by locking in a predetermined exchange rate for a future transaction. Forwards are more efficient than options in this scenario, as they provide better assurance against future exchange rate changes.Swaps:A swap entails exchanging one currency for another at a predetermined exchange rate. This exchange is for a predetermined amount and period. A swap is a financial contract between two parties who exchange an equivalent amount of capital in two different currencies for a specific period. It has two types of transactions, known as the spot transaction and the forward transaction. A swap can secure a specific amount of foreign currency for exchange to the local currency at a predetermined exchange rate in a specific period. Swaps are often utilized to extend the exchange of one currency for another to a more prolonged duration, such as many years. They are typically utilized by organizations seeking to manage long-term currency exchange rate risks.Options:Options are derivatives of the underlying asset, which in this case is the exchange rate. Options provide the buyer the right but not the responsibility to buy or sell the underlying asset at a predetermined price, quantity, and time. As opposed to forwards and swaps, options allow the purchaser to benefit from the upside of favorable exchange rate changes while capping the downside at the cost of the option. Options are best suited for volatile currency pairs and for businesses who have the ability to tolerate some exchange rate risks. The disadvantage of options is that they can be more expensive than forwards or swaps, especially when the potential exchange rate risk is low.

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5. For the most recent two-week pay period. Company Tachpans had a single employee: Mark. Mark's salary for the period was $5,600. Federal Income Tax withholding for the period is $1,350; state withholding is $252. Social Security and Medicare are withheld at 6.2% and 1.45% respectively. Mark's earnings for the year to date are $67,000. Mark has also authorized Tachpans to withhold a retirement contribution of $1,000 per pay period and a charitable contribution of $90. Required: Use tab "P 5" to prepare the journal entry to record the payroll expense for this period. This entry should include Mark's net pay. Prepare the journal entry to record the payroll taxes for this period. Company Tachpans has made all the unemployment tax payments it is required to make for this year.

Answers

The journal entry to record the payroll expense for Mark, an employee of Tachpans, for the most recent two-week pay period, is prepared in this question. The entry includes Mark's net pay, retirement contribution, and charitable contribution. Also, the journal entry to record payroll taxes for this period is required.

The payroll expense for Company Tachpans involves Mark's salary, federal income tax withholding, state withholding, social security withholding, and Medicare withholding. The entry to record the payroll expense for this period is:

DEBIT:

Salary expense: $5,600

Federal income tax withholding payable: $1,350

State income tax withholding payable: $252

Social security tax payable: $346.40 [($5,600 x 6.2%)]

Medicare tax payable: $81.20 [($5,600 x 1.45%)]

Retirement contribution payable: $1,000

Charitable contribution payable: $90

CREDIT:

Cash or checking account: $2,480.40 [($5,600 - $1,350 - $252 - $346.40 - $81.20 - $1,000 - $90)]

The entry shows that the total payroll expense for Tachpans is $7,119.60. In addition to the payroll expense, Tachpans also needs to record the payroll taxes for this period that include social security taxes and Medicare taxes.

Tachpans is required to withhold 6.2% of an employee's gross pay for social security taxes and 1.45% for Medicare taxes. The entry to record payroll taxes for this period is:

DEBIT:

Social security tax payable: $346.40 [($5,600 x 6.2%)]

Medicare tax payable: $81.20 [($5,600 x 1.45%)]

CREDIT:

Social security tax expense: $346.40

Medicare tax expense: $81.20

The amount of payroll taxes to be paid is equal to the amount of social security tax expense and Medicare tax expense. The total payroll taxes for this period are $427.60.

Company Tachpans has already made all the unemployment tax payments it is required to make for this year.

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Explain how an agile supply chain requires an appropriate blend of coordination, communication and speed in procurement, inventory, assembly and delivery of products and services in times of challenges, such as the covid-19 worldwide pandemic. (25) please do not lock copy

Answers

An agile supply chain is crucial in times of challenges like the COVID-19 pandemic. It requires an appropriate blend of coordination, communication, and speed in various aspects, including procurement, inventory management, assembly, and product/service delivery. Here's how each of these components contributes to an agile supply chain during such challenging times:

Procurement: Agile procurement involves establishing strong relationships with suppliers, maintaining transparency, and having alternative sourcing strategies. During the pandemic, when supply chains were disrupted, agile procurement allowed organizations to quickly identify alternative suppliers, negotiate flexible contracts, and ensure the availability of critical inputs for production.

Inventory Management: Agile inventory management focuses on optimizing inventory levels and having real-time visibility of inventory across the supply chain. In times of challenges like the pandemic, where demand and supply patterns were uncertain, organizations with agile inventory management systems could quickly adjust their inventory levels, prioritize essential products, and minimize excess stock or shortages.

Assembly: Agile assembly refers to flexible production processes that can quickly adapt to changes in demand, product configurations, or customization requirements. During the pandemic, companies with agile assembly capabilities were able to adjust their production lines to manufacture essential goods like personal protective equipment (PPE) or medical supplies, reconfigure production layouts to ensure social distancing, and implement safety protocols effectively.

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Please show all work in excel! will upvote once both answred thank you!
You are offered an annuity that will pay you 10,000 at the end of each year for 20 years, with the first payment being in 10 years from today. If the interest rate is 12% annually, what is this annuity worth to you today?
26,935.56
24,100.55
200,000
64,394.55
74,694.44
Your company is considering a project with the following cash flows.
year cashflow
0 -800
1 5000
2 200
3 -5000
Assuming the cost of capital is 10%, first internal rate of return?
7.46%
7.51%
8.20%
0%
9.54%

Answers

The annuity is worth approximately $26,935.56. The project has a first IRR of approximately 7.46% with cash flows of -$800, $5,000, $200, and -$5,000 over four years at a cost of capital of 10%.

The explanation of the calculations for excel sheet is

Annuity Calculation

To calculate the present value of an annuity, we can use the formula:

PV = C * [(1 - (1 + r)⁻ⁿ) / r],

where PV is the present value, C is the cash flow per period, r is the interest rate per period, and n is the number of periods.

Using the given information:

C = $10,000 (cash flow per year),

r = 12% (interest rate), and

n = 20 (number of years).

Using the formula, we can calculate the present value (annuity worth) as follows:

PV = $10,000 * [(1 - (1 + 0.12)^(-20)) / 0.12]

PV ≈ $26935.56

Therefore, the annuity is worth approximately $26,935.56 today.

Internal Rate of Return (IRR) Calculation

To calculate the internal rate of return (IRR), we need to find the discount rate that makes the net present value (NPV) of the cash flows equal to zero. We can use the IRR function in Excel to find the IRR.

Using the cash flows given:

Year 0: -$800

Year 1: $5,000

Year 2: $200

Year 3: -$5,000

In Excel, you can use the following formula to calculate the IRR:

=IRR(B1:B4),

where B1:B4 represents the range of cash flows.

Using this formula, the first internal rate of return is approximately 7.46%.

Therefore, the first internal rate of return for the project is approximately 7.46%.

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When Lorraine sent her son Aldan to college, she purchased a house near campus for $110,000. Empty lots in the area sold for approximately $10,000 at the time. After Aidan graduated, Lorraine decided to keep the house for use as a rental. The fair market value at the time of the conversion was $171,000, and the price of the land had risen to $20,000. What is the basis for depreciation of the house? $
90,000 $
100,000 $
110,000 $
171,000
Question 10 of 75.
Which of these cases would be subject to the "kiddie tax"?
Mina, age 12, earned $800 in dividends, with no other income.
Jordan, age 15, worked as a lifeguard all summer and earned $2,800 with no other income.
Bophy, age 14, earned $1,000 in interest and had a $1,800 royalty from a family oil well. She had no other income.
Victor, age 19, is taking a year off before starting college, He received $4,200 in dividends with no other income.
Question 12 of 75.
Carsten converted $1,000 into Bitcoin in November 2020. In October 2021, when the value of his holding had increased to $2,500, Carsten decided to purchase a watch using Bitcoin. He spent the entire holding on the watch. How will Carsten report this on his tax return?
No reporting is necessary until he sells the watch. At that time, he will report a gain or loss, depending on the sale price of the watch.
As a short-term capital gain of $1,000 on Form 8949. His basis in the watch is $2,500.
As $2,500 in ordinary income.
No reporting is necessary when purchases are made using virtual currency.
Question 19 of 75.
Given the information provided, choose the response that best describes a taxpayer who can claim a deduction for transportation expenses.
Esteve, an employee, is reimbursed by his employer for his public transit pass. Meshawn, a salaried manager for a box store, uses his Ford F-150 to deliver purchased goods to customers if they don't have a vehicle large enough.
John, a self-employed taxpayer, usually drives his Chevy Suburban when he travels between clients to visit with them at their place of business. Occasionally, he trades cars with his wife and uses her Chevy Sonic. Juan, a self-employed attorney, leased a new Camaro this year. He uses it for travel between his home and the office where he conducts all of his business.
Question 20 of 75.
Mechello is a self-employed consultant in Springfield, MO. She traveled to San Diego in February to attend a week-long conference. After the conference ended, she stayed for two extra days to relax and do some sightseeing. She had the following expenses: $600 airfare, $1,800 hotel (9 nights), $900 In meals, and $100 in taxi charges. What is her total allowable deductible expense for the trip? $
2,500 $
2,800 $
3,000 $
3,400
Question 28 of 75.
If a servicemember receives reimbursement for moving expenses, how much will the amount be reported to them?
Using Form DD 214.
On a separate Form W-2 with code P in box 12.
The amount is not reported as it is not taxable income.
Using Form DD 2058.
Question 36 of 75.
Which of the following statements is TRUE regarding the effect of a health savings account (HSA) on tax outcomes?
Pre-tax contributions reduce the tax liability. Employer contributions do not affect annual contribution limits.
After-tax contributions are not deductible. Distributions are always taxable income.
Question 45 of 75.
Noela (24) has a health savings account (HSA). In 2021, she made contributions of $4,250 to the HSA. Where on the return will she calculate the additional tax?
Form 5329.
Form 1099-SA.
Form 8863.
Form 5498-SA.

Answers

Aidan graduated, Lorraine decided to keep the house for use as a rental.

Question 10 of 75: The case that would be subject to the "kiddie tax" is Mina, age 12, who earned $800 in dividends with no other income.

The "kiddie tax" applies to unearned income over a certain threshold for children under a certain age.

Question 12 of 75: Carsten will report the transaction on his tax return as a short-term capital gain of $1,000 on Form 8949.

His basis in the watch will be $2,500.

Question 19 of 75: John, a self-employed taxpayer who uses his Chevy Suburban and occasionally his wife's Chevy Sonic for business travel, can claim a deduction for transportation expenses.

Question 20 of 75: Mechello's total allowable deductible expense for the trip would be $2,800.

This includes the airfare, hotel expenses, meals, and taxi charges.

Question 28 of 75: If a servicemember receives reimbursement for moving expenses, the amount will be reported on a separate Form W-2 with code P in box 12.

Question 36 of 75: The statement that is TRUE regarding the effect of a health savings account (HSA) on tax outcomes is that pre-tax contributions reduce the tax liability, and employer contributions do not affect annual contribution limits.

Question 45 of 75: Noela will calculate the additional tax related to her health savings account (HSA) contributions on Form 5329.

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a morbid fear of disease 2. one who loves foreign things or places 3. the act of worshiping fire 4. impairment of the ability to write 5. unwholesome sexual attraction to animals 6. the study of the origins of the gods 7. use of the same letters to represent sounds (as in tough and dough). 8. giving birth to more than one offspring at a time 9. lacking color 10. liking to be with others; enjoying crowds

Answers

Here are the answers to the given questions:

1. A morbid fear of disease - There are various terms for the fear of diseases, which include pathophobia, germophobia, bacillophobia, and nosocomephobia.

2. One who loves foreign things or places - A person who loves foreign things or places is called a xenophile.

3. The act of worshiping fire - The act of worshiping fire is known as pyrolatry.

4. Impairment of the ability to write - Dysgraphia is the impairment of the ability to write

.5. Unwholesome sexual attraction to animals - Zoophilia is an unwholesome sexual attraction to animals.

6. The study of the origins of the gods - The study of the origins of the gods is called Theogony.

7. Use of the same letters to represent sounds (as in tough and dough) - Homophones are the use of the same letters to represent sounds.

8. Giving birth to more than one offspring at a time - Giving birth to more than one offspring at a time is called multiple births.

9. Lacking color - The term that describes the lacking of color is Achromatic.

10. Liking to be with others; enjoying crowds - The term that describes liking to be with others and enjoying crowds is Sociable or gregarious.

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