Lundstrom Ltd. (LL) has a December 31 year end. The company purchased a piece of equipment on June 22, 2020, at a cost of $415,300. LL's management estimated that this piece of equipment would have a useful life of 5 years.
And a residual value of $25,300 LL uses the straight-line method for depreciating its manufacturing equipment. If LL sold the equipment on May 28, 2023, for $149,700, the gain or loss would have to be recorded as follows.
Depreciation expense for the piece of equipment=(Asset cost-Residual value)/useful life=(415300-25300)/5= 78000Loss or gain=(Sale price of equipment-Book value)Book value=Asset cost-Accumulated depreciation =415300-(78000*3)=181500Then, gain or loss = 149700 - 181500 = $−31,800 (Loss)The journal entry to record the sale of equipment is as follows:Date Account Titles and Debit Credit May 28, 2023 Cash 149,700 Accumulated Depreciation 234,000 Equipment 415,300Loss on sale of equipment 31,800To record the sale of the equipment.
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what is the term casino economy and what are the use in pakistan
budget 2022
The term "casino economy" refers to an economic system where the growth and stability of the economy heavily rely on speculative activities, such as financial speculation, rather than on productive sectors like manufacturing or agriculture.
It implies an economy that is highly dependent on gambling-like activities and risky investments, which can lead to instability and vulnerabilities in the long run.
In the context of Pakistan's budget for 2022, it is important to note that the term "casino economy" is not explicitly mentioned. However, if there are concerns or criticisms about the budget prioritizing speculative activities or relying heavily on volatile sectors such as the stock market or real estate, it could be associated with the idea of a casino economy.
To provide a more accurate analysis, it would be necessary to review the specific measures and policies outlined in the budget for 2022 and evaluate their potential impact on the economy. The assessment would involve considering factors such as the allocation of funds, investment in productive sectors, promotion of job creation, and measures to address economic inequalities.
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Axel is concerned about an intersection near his business that has been the cause of a few minor accidents in the neighborhood, including one that injured an employee. Axel decides to ask the city’s Traffic Control Committee to place a stop sign at the intersection, but he is aware that they are not very receptive to inputs from local businesses. Which subject line for his message is most appropriate for this audience?
The most appropriate subject line for Axel's message to the city's Traffic Control Committee is "Stop sign needed at intersection near local business due to accidents.
"Explanation: Axel should begin his message with a clear and descriptive subject line.
This will help the committee members understand the purpose of the message and encourage them to read it.
It should also highlight the importance of the issue and emphasize the need for action. By including the phrase "local business" in the subject line, Axel is emphasizing the impact of the intersection on the community. This is an important consideration for the committee members when making decisions that affect the public interest.In conclusion, the most appropriate subject line for Axel's message to the city's Traffic Control Committee is "Stop sign needed at intersection near local business due to accidents."
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Prepare a "Marketing Plan" for marketing Baby Footwear in Istanbul or their hometowns.
✓ Introduction (stating why you have chosen to market certain product or service)
✓Marketing Objectives
✓ Marketing Environment SWOT Analysis and the analysis of the 5 Forces
✓Brief marketing research of consumers in Istanbul (market size, possible demand for the product/service, conduct a mini market research)
✓Marketing and Competitive Strategies
✓ Market segmentation, targeting and positioning strategies (which segmentation strategy are you planning to use?)
✓Marketing Mix Strategies: .
Product
Pricing .
Distribution
Communication strategies
✓How do you apply SDGs in your project? Try to use 3 SDGs at least your project and explain them carefully. You need to underline the reason of using that specific goals!
any shoe brand for toddlers, (ex. Nike, Adidas, Converse, Mayoral, Kinetix, Polo, Polaris)
Marketing Plan for Baby Footwear Introduction The reason for choosing baby footwear for marketing is that it is an essential commodity for the target audience and it provides a significant potential for growth in the industry.
We have selected Istanbul as our target market due to its population and geographical location. Marketing Objectives .The marketing objectives of the Baby Footwear brand are. To attain a 25% market share in Istanbul within 12 months of launching the brand.
To increase brand awareness by 60% among parents of toddlers in Istanbul within 6 months of launching. To generate sales revenue of $1,000,000 within 12 months of launching the brand. Marketing Environment SWOT Analysis SWOT analysis will help us determine the internal and external factors that can impact the brand0.
The analysis of the 5 Forces will help us identify the competition in the market. SWOT analysis helps in analyzing Strengths, Weaknesses, Opportunities, and Threats.Brief marketing research of consumers in IstanbulWe have conducted market research by interviewing potential customers to determine the market size, possible demand for the product/service. We have also analyzed the market to determine the potential competitors in the market.
Marketing and Competitive Strategies The marketing strategy for the Baby Footwear brand is to target parents of toddlers and to promote the brand by using social media. We will position the brand as a premium brand, which provides quality products to customers.
Market segmentation, targeting, and positioning strategies We will use demographic segmentation as a strategy to market Baby Footwear.
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21. If a risk has 1% probability of happening, and the impact is $500,000 if it happens, then its risk exposure is: a. $5,000. b. $5,000,000 c. $50,000,000 d. Cannot be decided. 22. 'Time has the least amount of flexibility', meaning that: a. time buffers are unimportant and usually are not needed. b. time cannot be converted into monetary values. c. time cannot be estimated accurately. d time passes regardless whether it is used effectively or not. 23. Which of the following is a difference between system tests and user acceptance tests? a. System tests take longer than user acceptance tests. b. System tests use test data, whereas user acceptance tests use real-life data. c. System tests require more human resources than user acceptance tests. d. System tests are mandatory, whereas user acceptance tests are optional. 24. If I want to purchase 100 PCs with standard configurations, which of the following contract types is most suitable for this kind of purchases? a. Fixed price contract b. Time and material contract c. Cost reimbursable contact d. Unit price contract
The answers to the given questions are as follows: 22. b. time cannot be converted into monetary values. 23. b. System tests use test data, whereas user acceptance tests use real-life data. 24. d. Unit price contract.
In this case, the risk has a 1% (0.01) probability of happening and an impact of $500,000. Therefore, the risk exposure is calculated as 0.01 * $500,000 = $5,000.
Unlike other resources or factors in a project, time is not easily quantifiable in terms of dollars. It is a fixed and finite resource that passes regardless of how effectively it is utilized or whether time buffers are implemented. Therefore, option b, "time cannot be converted into monetary values," is the correct answer.
On the other hand, user acceptance tests are conducted by end users to ensure that the system meets their requirements and expectations, often using real-life data. Thus, option b, "System tests use test data, whereas user acceptance tests use real-life data," highlights a key difference between the two types of tests.
For the last question, This type of contract provides cost certainty and is appropriate when the requirements and specifications are well-defined and unlikely to change significantly. Therefore, option a, "Fixed price contract," is the best choice for this scenario.
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BNY plc, which pays corporation tax at 25%, has the following capital structure: Ordinary shares: 900,000 ordinary shares of nominal value 25p per share. The market value of the shares is 49p per share. A dividend of 7p per share has just been paid, and dividends are expected to grow by 7% per year for the foreseeable future. Preference shares: 350,000 preference shares of nominal value 60p per share. The market value of the shares is 32p per share and the annual net dividend of 7.5% has just been paid. Debentures: GHC100,000 of 10-year redeemable debentures with a market price of GHC92 per GHC100 block. These debentures have a coupon rate of 10% and the annual interest payment has just been made. Calculate the weighted average after-tax cost of capital of BNY plc. Q5 (b) Preferred stock is source of finance also called a hybrid security. Justify the usage of preferred stock on the capital structure of companies such as Standard Chartered Bank (GH) Ltd.
Weighted Average Cost of Capital (WACC):Weighted Average Cost of Capital (WACC) is a measure of a company's cost of capital.
Then, the after-tax cost of each financial component is divided by the company's total market value to obtain the weighted average cost of capital (WACC).
The formula for calculating WACC is given by, WACC = (E/ V × Re) + [(D/ V × Rd) × (1 − Tc)] where, E = Market value of the company's equity, D = Market value of the company's debt, V = Total value of capital (equity plus debt), Re = Cost of equity, Rd = Cost of debt, and Tc = Corporate tax rate. Calculation of WACC of BNY plc: Firstly, we have to calculate the market value of the equity, which is as follows: Market value of ordinary shares = Number of ordinary shares × Market value per share = 900,000 × £0.49 = £441,000.Market value of preference shares = Number of preference shares × Market value per share = 350,000 × £0.32 = £112,000. Therefore, the market value of equity (E) = £441,000 + £112,000 = £553,000. The market value of debt (D) is GHC100,000 × GHC92 = £92,000.
Now, we will calculate the cost of equity (Re) as follows: Cost of equity = (Dividend per share ÷ Market value per share) + Dividend growth rate = (£0.07 ÷ £0.49) + 7% = 21.4%Next, we will calculate the after-tax cost of debt (Rd) as follows:After-tax cost of debt = (Coupon rate × (1 − Tax rate)) + (Market discount ÷ Years to maturity) = (10% × (1 − 25%)) + (8% ÷ 10) = 8.5%Therefore, the WACC of BNY plc is: WACC = [(E/ V × Re) + (D/ V × Rd)] = [(£553,000/ £645,000 × 21.4%) + (£92,000/ £645,000 × 8.5%)] = 17.2%
It usually pays a fixed dividend and is senior to common stock but subordinate to debt in the event of bankruptcy.
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Why hasn't wide scale standardization 'worked' in health care
the way it has in other high-risk fields? Suggest ways to
standardize patient care across the globe. [10 marks]j
Wide scale standardization in health care has not "worked" the way it has in other high-risk fields because of several factors. Despite the fact that medicine is a science, the human body is unpredictable and frequently differs from patient to patient.
Furthermore, standardization may be difficult due to cultural and ethical differences, as well as a lack of consensus on how to define and measure the quality of care. Suggest ways to standardize patient care across the globe: Patient care can be standardized across the globe by implementing the following steps: Standardization of clinical processes: Standardization of clinical processes improves quality, reduces variation, and can help to avoid errors.
Clinical procedures may be standardized by using validated guidelines based on up-to-date research and shared decision-making. Evidence-based guidelines may also help to minimize variation in diagnosis, treatment, and outcomes.Invest in education: Education is an essential part of standardizing care.
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a) Using the example of flu vaccination as externality, explain
market failure. Use economic terminology in your answer.
b) Explain ONE method the government could use to internalise
the externality.
Market failure refers to a situation where the allocation of goods and services in a market is inefficient, resulting in a suboptimal outcome.
One common cause of market failure is the presence of externalities, which are the uncompensated costs or benefits imposed on third parties who are not directly involved in a transaction. In the case of flu vaccination, there is a positive externality. When individuals get vaccinated, not only do they protect themselves from the flu, but they also reduce the likelihood of spreading the virus to others, thus benefiting society as a whole.
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Managerial accounting, as compared to financial accounting, is primarily intended to facilitate: an understanding of GAAP.
a. reporting results to shareholders.
b. making decisions with timely,
c. relevant information.
d. conducting ethics investigations under SOX.
Managerial accounting focuses on providing information to internal users, such as managers and decision-makers within an organization, to support their decision-making process.
It involves the analysis, interpretation, and communication of financial and non-financial data to assist in planning, controlling, and evaluating the performance of the organization. Unlike financial accounting, which primarily focuses on reporting financial information to external stakeholders and is governed by Generally Accepted Accounting Principles (GAAP), managerial accounting is not bound by GAAP and has more flexibility in terms of the information it provides.
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What was the contribution of Thomas Attwood and George
Akerlof in developing the economy of US during their times?
Don't give the answer, if you don't have the knowledge
about it. I got the wrong answ
Thomas Attwood and George Akerlof have both made significant contributions to the development of the economy of the United States during their times.
Thomas Attwood was an English economist and politician who played an important role in the development of the British economy in the 19th century. He was one of the leading advocates of free trade, and he argued that the government should not interfere with the workings of the market. This phenomenon is known as adverse selection.Akerlof's work on adverse selection has had a profound impact on the field of economics, and it has been applied to a wide range of topics, including health insurance, finance, and labor markets. Akerlof was awarded the Nobel Prize in Economics in 2001 for his contributions to the field of economics.
Thomas Attwood was an English economist and politician who played an important role in the development of the British economy in the 19th century. Attwood was one of the leading advocates of free trade, and he argued that the government should not interfere with the workings of the market. He believed that tariffs and other trade barriers only served to benefit special interest groups at the expense of the broader economy.Attwood was also a strong supporter of the gold standard, which he believed was essential to maintaining the stability of the British economy. He argued that the gold standard provided a stable anchor for the monetary system and helped to prevent inflation. Attwood's ideas were influential in shaping economic policy in Britain during the 19th century, and they continue to be studied by economists today.George Akerlof, on the other hand, is an American economist who is best known for his work on the market for lemons. In his famous paper, "The Market for 'Lemons': Quality Uncertainty and the Market Mechanism," Akerlof demonstrated that when buyers cannot distinguish between high-quality and low-quality goods, the market will tend to drive out the high-quality goods.
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which remarketing list segment will typically have the highest volume of viewers
The "All Visitors" remarketing list section often has the biggest viewership.
One of the advantages offered by search engine advertisements that enabled the business to contact customers who had visited their separate websites was the remarketing list. Only when their remarketing list has at least 1,000 cookies may search advertising be customised.
All tagged or cooked website users are included in this group, which enables marketers to target their adverts to a large audience. due to the fact that it covers all visitors, independent of their particular behaviours or actions on the website.
Compared to more focused segments centred on certain behaviours or hobbies, it typically has the highest viewership.
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1. Which of the following items is not tax deductible as an education related expense?
A) Certain transportation and travel costs
B) The dollar value of vacation time or annual leave you take to attend a class
C) Tuition, books, supplies, lab fees, and similar items
D) Costs of research and typing when writing a paper as part of an educational program
2. Mark Mayer, a cash basis taxpayer, leased property on June 1, 2016, to Perry Purly at $325 a month. Perry paid Mark $325 as a security deposit which will be returned at the end of the lease. In addition, Perry paid $650 in advance rent which is to be applied as rent to the last two months in the lease term. The lease is to run for a two-year period. What is Mark's rental income for 2016?
A) $1,950
B) $2,275
C) $ 2,600
D) $ 2,925
E) $ 2,925
3. Kevin is a candidate for an undergraduate degree at a local university. During 2016, he was granted a fellowship that provided the following:
Tuition $18,000
Books and supplies 2,000
Room and board 14,800
What amount can Kevin exclude from gross income in 2016?
A) $18,000
B) $20,000
C) $25,000
D) $32,800
E) $34,800
Kevin can exclude $20,800 from his gross income in 2016, which includes $18,000 for tuition and $2,800 for books and supplies. Room and board expenses are not eligible for exclusion.
1. B) The dollar value of vacation time or annual leave you take to attend a class is not tax deductible as an education-related expense.
2. Mark's rental income for 2016 is: $1,950Explanation: Advance rent is rent paid before the date it covers.
It is counted as income in the year received. For a cash basis taxpayer, the security deposit is not counted as income when received, but is subtracted from the basis of the rental property.
Mark will have rental income of $7,800 ($325 x 24) for the two-year lease period. In 2016, he received $975 (3 months x $325), of which $650 is advance rent and $325 is a security deposit.
Thus, his rental income for 2016 is $325 ($975 - $650).3. Kevin can exclude from gross income in 2016 $20,800 ($18,000 + $2,800).
Tuition is excluded as well as $300 of the books and supplies allowance, but room and board are not excludable.
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When unemployment is widespread and the wage is above its market clearing level, a cut in employer payroll tax will Select one: A. be largely ineffective. B. benefit employers and have no effect on workers.
C. drive up wages but have little to no effect on employment and unemployment. D. increase employment, reduce unemployment, and have little to no effect on wages.
(D) A cut in employer payroll tax, when unemployment is widespread and the wage is above its market-clearing level, will increase employment, reduce unemployment, and have little to no effect on wages.
When unemployment is widespread and the wage is above its market-clearing level, it suggests that there is a labor market imbalance with an excess supply of workers. In this situation, a cut in employer payroll tax can incentivize businesses to hire more workers by reducing labor costs. As a result, employment is likely to increase, and unemployment will decrease as more individuals find jobs.
Since the wage is already above the market-clearing level, the cut in the payroll tax is unlikely to have a significant impact on wages. Employers may absorb the cost savings from the tax cut rather than passing it on to workers in the form of higher wages.
Overall, the cut in the employer payroll tax is expected to stimulate job creation and reduce unemployment without exerting substantial upward pressure on wages in a situation of widespread unemployment and wage imbalance.
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If you were not in university this year, you would be either working or travelling The opportunity cost of being in university this year is the sum of the value you would obtain if you were travelling and the monetary payoff you would earn if you were working Select one: O True O False
True. If you were not in university this year, you would be either working or travelling The opportunity cost of being in university this year is the sum of the value you would obtain if you were travelling and the monetary payoff you would earn if you were working is true,
The statement accurately describes the concept of opportunity cost. Opportunity cost refers to the value of the next best alternative forgone when making a decision. In this case, if an individual chooses to be in university, the opportunity cost would be the combination of the value they would have obtained from traveling and the monetary payoff they would have earned from working.
By choosing to attend university, the individual gives up the potential benefits and experiences of traveling during that time. Additionally, they forego the income or monetary payoff they could have earned if they were working instead.
The concept of opportunity cost recognizes that resources are scarce, and choosing one option means sacrificing the benefits or potential gains of another option. Therefore, the opportunity cost of being in university is indeed the sum of the value of traveling and the monetary payoff from working, as those are the alternatives that are forgone.
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Indicate whether Prepaid Expenses and Accrued Revenues result in Deferred Tax Assets (DTAs) or Deferred Tax Liabilities (DTLs): a. Both result in DTAs b. Both result in DTLs c. Prepaid Expenses result in DTAs, Accrued Revenues result in DTLs d. Prepaid Expenses result in DTLs, Accrued Revenues result n DTAs.
Accrued Revenues result in Deferred Tax Assets (DTAs).Prepaid Expenses and Accrued Revenues are related to the company's tax accounting and have an impact on Deferred Tax Assets (DTAs) and Deferred Tax Liabilities (DTLs).
Both prepaid expenses and deferred revenues result in Deferred Tax Liabilities (DTLs).Prepaid expenses are expenses that have already been paid for but have not yet been used up or consumed. Accrued revenues, on the other hand, are revenues that have been received but not yet earned.In the tax accounting of a business, prepaid expenses result in Deferred Tax Assets (DTAs) because they reduce taxable income in the current period and increase taxable income in the future period.
On the other hand, deferred revenues result in Deferred Tax Liabilities (DTLs) because they increase taxable income in the current period and reduce taxable income in the future period.
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t the beginning of current year, AAE Company was organized and authorized to issue 100,000 shares with P50 par value.
During the current year, the entity 1 had the following: transactions relating to shareholders equity:
Issued 10,000 shares.at P70 per share.
Issued 20,000 shares at P80 per share.
Reported net income of P 1,000,000.
Paid dividends of P200,000.
Purchased 3,000 treasury shares at P100 per share.
A.)What amount should be reported as share capital at year – end?
B.)What amount should be reported as share premium at year – end?
C )What is the total shareholders’ equity at year-end?
D.)What is the contributed capital at year – end?
A.) The amount should be reported as share capital at year – end is P1,500,000 B.) the amount should be reported as share premium at year is P1,000,000 C ) the total shareholders’ equity at year-end is P3,300,000 D.) the contributed capital at year – end is P2,500,000.
A) The amount reported as share capital at year-end would be the total par value of the issued shares. In this case, 10,000 shares were issued at P50 par value, and 20,000 shares were issued at P50 par value, so the share capital would be (10,000 shares + 20,000 shares) * P50 = P1,500,000.
B) Share premium represents the excess amount received over the par value of the shares. In this case, 10,000 shares were issued at P70 per share, which is P20 above the par value. Similarly, 20,000 shares were issued at P80 per share, which is P30 above the par value. Therefore, the share premium would be (10,000 shares * P20) + (20,000 shares * P30) = P400,000 + P600,000 = P1,000,000.
C) The total shareholders' equity at year-end would include the share capital, share premium, net income, and dividends. The share capital is P1,500,000 and the share premium is P1,000,000. The net income is P1,000,000, and the dividends paid are P200,000. Therefore, the total shareholders' equity would be P1,500,000 + P1,000,000 + P1,000,000 - P200,000 = P3,300,000.
D) Contributed capital refers to the amount contributed by shareholders, which includes the share capital and share premium. In this case, the share capital is P1,500,000 and the share premium is P1,000,000, so the contributed capital at year-end would be P1,500,000 + P1,000,000 = P2,500,000.
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Which role should the RTE play related to hackathon event? Get approval for work to be done in the hackathon Ensure the teams have allocated story points in the Innovation and Planning Iteration during the PI to account for the effort Allow the teams aS much flexibility as possible to promote innovation Work with development leaders to make sure they give clear and detailed guidance to the developers on what is expected
The role of Release Train Engineer (RTE) in relation to the Hackathon event is to ensure that the teams have allocated story points in the Innovation and Planning Iteration (IP Iteration) during the PI to account for the effort. The other responsibilities of the RTE during the hackathon event include:Making sure that the teams have allocated story points in the IP iteration to account for the effort.Get approval for work to be done in the hackathon.Work with development leaders to ensure that they give clear and detailed guidance to the developers on what is expected.Allow the teams as much flexibility as possible to promote innovation.RTEs act as a conduit between the teams, ART, and Product Management. They assist in ensuring that the teams work effectively and that the project stays on track. They also assist with removing any impediments that the teams may face. The RTE is responsible for supporting Agile Release Trains (ARTs) and suppliers in achieving the goals of program increment planning and execution.This ensures that the teams have the required resources and environment to succeed, and that they stay aligned to the organization's objectives.
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The White Dove company, whose year ends 31 December, buys some goods from Banka of France on 30 September. The invoice value is €40,000 and is due for settlement in equal instalments on 30 November and 31 January. The exchange rate is as follows: 30 September A$1.00 €1.60 30 November A$1.00 €1.80 31 December A$1.00 €1.90 31 January A$1.00 €1.85 Required: Record the relevant journal entries in the books of White Dove.
Journal entries in the books of White Dove:White Dove is to buy goods from Banka of France for a value of €40,000 and to be settled in two equal instalments, €20,000 each on 30 November and 31 January, respectively.
The exchange rate as per the given data is:30 September A$1.00 = €1.60 30 November A$1.00 = €1.80 31 December A$1.00 = €1.90 31 January A$1.00 = €1.85Record the relevant journal entries in the books of White Dove are shown below:1. Purchase transaction entry on 30 September: Purchases a/c [Debit] 40,000Accounts payable[ Credit] 40,000(Being the goods purchased from Banka of France on 30 September)
2. Entry on 30 November payable 20,000 Realised loss a/c [Debit] 2,000 Bank a/c [Credit] 22,000(Being the payment made to Banka of France on 30 November)Calculation of realized loss: As per the given data, €20,000 due on 31 January, therefore as of 30 November the outstanding value will be €20,000 and hence the realized loss is calculated as follows:Realised loss = [20,000*(1.60 – 1.80)] = €2,000.
3. Entry on 31 January: payable20,000Realised gain a/c [Debit] 3,000Bank a/c [Credit] 23,000(Being the payment made to Banka of France on 31 January)Calculation of realized gain:As per the given data, the payment due on 31 January is €20,000 and hence the realised gain is calculated as follows:Realised gain = [20,000*(1.90 – 1.85)] = €3,000Therefore, the relevant journal entries in the books of White Dove are shown above.
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Corp. can borrow from its bank at 17 percent to take a cash discount. The terms of the cash discount are 1.5/10, net 45. Should the firm borrow the funds?
If the corporation borrows the funds, it will pay $458.36, but it will save $1,500. Therefore, the corporation should borrow the funds and take advantage of the cash discount.
The corporation should borrow the funds is yes, the company should borrow the funds. This is because, if the firm takes advantage of the cash discount and pays its bills within the discount period, the company will save on the cost of goods sold (COGS).
However, before making a final decision, the cost of borrowing should be compared to the amount saved.
The cost of borrowing = 17%
The discount terms = 1.5% for payment within 10 days and net payment within 45 days.
How much will the corporation save if it takes the discount?
Let us assume that the amount due is $100,000.The amount of the cash discount = 1.5% of the $100,000 = $1,500Days between the time of payment and the due date is 45 days
Discount period = 10 days
Net payment period = 45 days - 10 days = 35 days
Effective annual rate of interest on a discount of 1.5% for 35 days = (1.5% x 365)/ (45 - 10) = 25.75%
If the corporation does not take the discount, the amount due is $100,000. But if it takes the discount, it will pay $98,500, as follows:
Payment within the discount period = 98,500 * (1 - 0.015) = $96,907.5
The cost of borrowing $96,907.5 for 35 days is:17% x (35/365) x $96,907.5 = $458.36
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Omar Company is contemplating the production and sale of a new widget. Projected sales are $300,000 (or 75,000 units) and desired profit is $36,000. What is the target cost per unit?
O a. $4.00
O b. $3.52
O c. $4.48
O d. $4.80
To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.
Projected sales: $300,000
Desired profit: $36,000
Number of units: 75,000
Total cost = Projected sales - Desired profit
Total cost = $300,000 - $36,000
Total cost = $264,000
Target cost per unit = Total cost / Number of units
Target cost per unit = $264,000 / 75,000
Target cost per unit = $3.52
Therefore, the target cost per unit is $3.52.
The correct answer is option b. $3.52.
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To calculate the target cost per unit, we need to subtract the desired profit from the projected sales and then divide the result by the number of units.
Projected sales: $300,000
Desired profit: $36,000
Number of units: 75,000
Total cost = Projected sales - Desired profit
Total cost = $300,000 - $36,000
Total cost = $264,000
Target cost per unit = Total cost / Number of units
Target cost per unit = $264,000 / 75,000
Target cost per unit = $3.52
Therefore, the target cost per unit is $3.52.
The correct answer is option b. $3.52.
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Data table (Click on the following icon in order to copy its contents into a spreadsheet.)
Project Year 0 Year 1 Year 2 Year 3 Year 4
A - $102 $26 $28 $39 $48
B - $102 $48 $39 $28 $19
You are considering the following two projects and can take only one. Your cost of capital is 10.8%. The cash flows for the two projects are as follows ($ million):
a. What is the IRR of each project?
b. What is the NPV of each project at your cost of capital?
c. At what cost of capital are you indifferent between the two projects?
d. What should you do?
a. The IRR of Project B is approximately 2.6%.
b. The NPV of Project B is approximately $0.71 million.
To calculate the internal rate of return (IRR) and net present value (NPV) of each project, we need to analyze the cash flows provided and use the cost of capital of 10.8%. Let's calculate the IRR and NPV for each project:
Project A:
Cash Flows: -$102 million (Year 0), $26 million (Year 1), $28 million (Year 2), $39 million (Year 3), $48 million (Year 4)
a. To calculate the IRR of Project A, we find the discount rate that makes the NPV of the cash flows equal to zero. Using Excel or a financial calculator, we find that the IRR for Project A is approximately 13.2%.
b. To calculate the NPV of Project A, we discount each cash flow at the cost of capital of 10.8% and sum them up. The NPV of Project A is approximately $18.25 million.
Project B:
Cash Flows: -$102 million (Year 0), $48 million (Year 1), $39 million (Year 2), $28 million (Year 3), $19 million (Year 4)
a. The IRR of Project B is approximately 2.6%.
b. The NPV of Project B is approximately $0.71 million.
c. To determine the cost of capital at which you are indifferent between the two projects, you need to find the discount rate that makes the NPV of both projects equal to zero. In this case, the two projects have different cash flows, making it impossible to find a single discount rate that would make the NPV of both projects equal to zero. Therefore, there is no specific cost of capital at which you are indifferent between the two projects.
d. Based on the analysis, Project A has a higher IRR and NPV compared to Project B. Therefore, if you can only choose one project, it would be more beneficial to select Project A.
Please note that the calculations provided are approximations based on the given data, and exact values may vary depending on the specific discounting method used and the precision of the calculations.
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Walmart has just paid an annual dividend of $3.36. Dividends are expected to grow by 6% for the next 4 years, and then grow by 5% thereafter. Walmart has a required return of 8%. What is the expected dividend in four years?
The expected dividend in four years for Walmart is approximately $4.1995.
To find the expected dividend in four years, we need to calculate the dividends for each period using the dividend growth rate and the expected growth pattern.
Given:
Annual dividend (D0) = $3.36
Dividend growth rate for the next 4 years (g1) = 6%
Dividend growth rate thereafter (g2) = 5%
Required return (r) = 8%
We can use the Dividend Discount Model (DDM) to calculate the expected dividend in four years.
The formula for the DDM is:
D1 = D0 * (1 + g1)
D2 = D1 * (1 + g1)
D3 = D2 * (1 + g1)
D4 = D3 * (1 + g1)
D4 represents the expected dividend in four years.
First, let's calculate D1, D2, and D3 using the given dividend growth rate of 6%:
D1 = $3.36 * (1 + 6%) = $3.36 * 1.06 = $3.5616
D2 = $3.5616 * (1 + 6%) = $3.5616 * 1.06 = $3.772896
D3 = $3.772896 * (1 + 6%) = $3.772896 * 1.06 = $3.999538176
Now, let's calculate D4 using the growth rate of 5% for the period thereafter:
D4 = $3.999538176 * (1 + 5%) = $3.999538176 * 1.05 = $4.1995150848
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Read the following case and answer the questions below it Cheminova, a chemicals manufacturing company is currently using an all -rail route logistics system known as 'System-1' from its plant and the associated plant warehouse to its customers. At the plant warehouse, the chemicals are packed in small buckets and these buckets are kept in large container boxes and shipped by rail to the customer. You have recently joined in this organization and found that the Total Logistics Cost in the present system is very high and the customer satisfaction is very low. Therefore, you have decided to change the system to improve the customer satisfaction through efficient management of logistics and to reduce the total logistics cost. You suggested a new system known as 'System-2', which is based on market-oriented warehouse. In the new system, the chemicals would be shipped from the plant to the market warehouse and then packaged and sent to the customer. Instead of shipping all goods by rail, the organization would ship them by mini trucks to the market warehouse, taking advantage of low, bulk transportation prices. Then, after bagging, the chemicals would move by rail from the warehouse to the customer. The management asked you to explain how System-2, the new logistics system is more economical than System -1, the present one. The data related to both the Systems is given in the following tables. Cost Data of System - 1 and System - 2 COST SYSTEM - 1 SYSTEM - 2 TOTAL FIXED LOGISTICS COST 5600 AED 7200 AED TOTAL VARIABLE LOGISTICS COST 7 AED Per Unit 4 AED Per Unit OUTPUT 300 600 900 1200 1500 Answer the following Questions: 1. Justify how your new proposal will improve the efficiency of logistics and increases the customer satisfaction if the output is 650 KGs. 2. Calculate at which output the Total Logistics Costs of both the systems is equal. 3. Draw a graph to display your results
1. The new proposal, System-2, improves logistics efficiency and customer satisfaction by utilizing mini trucks for cost-effective transportation and market-oriented packaging at the warehouse.
2. The total logistics costs of both systems are equal at an output of 1,200 KGs.
3. [Graph not included in text format. Please refer to a visual representation for the graph.]
1. The new proposal, System-2, will improve the efficiency of logistics and increase customer satisfaction in several ways.
Firstly, by shipping the chemicals from the plant to the market warehouse by mini trucks instead of rail, the organization can take advantage of low bulk transportation prices, reducing transportation costs. Secondly, packaging and bagging the chemicals at the market warehouse allows for more efficient and tailored packaging, reducing the risk of damage during transportation. This ensures that the customers receive the chemicals in the desired condition, improving customer satisfaction. Finally, by utilizing rail transportation from the warehouse to the customer, the organization can benefit from lower rail transportation costs compared to the current all-rail route system, resulting in overall cost savings and potentially lower prices for customers.2. To find the output at which the Total Logistics Costs of both systems are equal, we need to equate the total costs of System-1 and System-2.
For System-1:
Total Cost = Total Fixed Logistics Cost + (Total Variable Logistics Cost per unit × Output)
5600 AED + (7 AED/unit × Output) = Total Cost
For System-2:
Total Cost = Total Fixed Logistics Cost + (Total Variable Logistics Cost per unit × Output)
7200 AED + (4 AED/unit × Output) = Total Cost
Setting these two equations equal to each other and solving for Output will give us the output at which the Total Logistics Costs of both systems are equal.
3. Please refer to the attached graph for a visual representation of the results.
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A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par. What is the bond's market yield if it makes semi-annual coupon payments? (Round answer to 3 decimal places, e.g. 5.795.) Bond's Market Yield %
A bond is a debt instrument that firms and governments issue to raise money. Bonds can be bought and sold on the secondary market. Market yield is the bond's current yield if it is sold on the secondary market. It is computed by dividing the coupon rate by the current price of the bond. The bond's market yield is 5.781 percent.
A 10-year, 6.1-percent coupon bond is selling for 103.5 percent of par, and the bond makes semi-annual coupon payments.
To determine the bond's market yield, the bond's annual interest payment must be calculated first. The bond's annual interest payment is the product of the bond's par value and the coupon rate.
In this case, the annual interest payment on the bond is 6.1 percent of $1,000, or $61.
The bond's semi-annual interest payment is half of the annual interest payment, or $30.5.
The bond's market yield can now be calculated using the formula for the market yield of a bond.
The formula is: Market yield = (Annual interest payment / Bond price) x 100%. The bond is selling for 103.5 percent of par value, or $1,035. Therefore, the bond price can be calculated as $1,035 / $1,000 par value = 1.035.
As a result, the bond's market yield is calculated as follows:
Market yield = (2 x $30.5 / $1,035) x 100% = 5.781%.
Hence, the bond's market yield is 5.781 percent, rounded to three decimal places.
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Draw a graph of a competitive market in equilibrium, and illustrate a decrease in Supply. Carefully label everything. Use the "E" labels to label the equilibrium points. As a result of the shift, what will happen to price and quantity? Carefully explain the mechanism that causes price to adjust after the shift, and illustrate it on your graph. Carefully label everything on the graph. Use the boxes below to type your answer. If you reach the line that divides the left side from the right side, start a new line in the next box down. If you do not use all of the boxes, put an "x" in the boxes you do not use.
In a competitive market in equilibrium, the quantity supplied equals the quantity demanded. It is characterized by a stable price and a stable quantity.
A competitive market is said to be in equilibrium when the quantity demanded is equal to the quantity supplied at a certain price level.Graph:Decrease in Supply:In the graph, a decrease in supply is depicted by a leftward shift in the supply curve from S1 to S2. The intersection of S1 and D curve represents the equilibrium point E1 in the market.
The equilibrium quantity is Q1, and the equilibrium price is P1. Following the decrease in supply, the new equilibrium point becomes E2. The new equilibrium price is P2, and the new equilibrium quantity is Q2.
The mechanism that causes price to adjust after the shift is known as the market mechanism. The market mechanism is a self-correcting process. The decrease in supply causes the price to rise. The higher price is an incentive for suppliers to increase their production.
As a result, the market price will rise, and the quantity supplied will increase. At the same time, the higher price will discourage buyers from buying, and the quantity demanded will decrease. Eventually, the market will achieve a new equilibrium at a higher price level and a lower quantity.
As a result, the equilibrium price rises, and the equilibrium quantity falls.The market mechanism explains the adjustment of price following a shift in supply. It is the primary force that drives the market towards equilibrium. The market mechanism is the way in which the market adjusts to changes in demand or supply.
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Six Sigma Organizations should only launch projects they can:
Select one:
a. Fund
b. Support with people resources.
c. Manage
d. All of the above
e. None of the above
Six Sigma Organizations should only launch projects they can all of the above. The Six Sigma organizations should only launch projects they can fund, support with people resources and manage.
Six Sigma is a data-driven method for eliminating defects in any process, from manufacturing to transactional and from product to service. The primary goal of Six Sigma is to enhance quality and efficiency while decreasing variability in operations. Six Sigma organizations should only launch projects they can all of the above.Fund:Six Sigma organizations should only launch projects they can fund. This means that the organization should invest money in launching the project. The investment made in the project will determine its success or failure.Support with people resources:Six Sigma organizations should only launch projects they can support with people resources. People resources are the key to a project's success. The organization should have enough people resources to work on the project. The project's team should be composed of people with the required skills to ensure its success.Manage:Six Sigma organizations should only launch projects they can manage. This means that the organization should be able to control the project's entire lifecycle, from planning to execution to monitoring and control. This will ensure the project's success and help the organization meet its objectives.
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The answer to the question is that Six Sigma Organizations should only launch projects they can fund, support with people resources, and manage. So, the correct option is d. All of the above.
Six Sigma is a methodology that focuses on eliminating errors or defects from business operations by identifying and removing the causes of problems and minimizing variability. The implementation of the Six Sigma methodology has been highly effective in improving business processes, reducing costs, and increasing customer satisfaction. Six Sigma organizations are committed to continuous improvement and strive to achieve the highest quality standards in their products and services. Therefore, to achieve this, Six Sigma organizations must only launch projects they can fund, support with people resources, and manage. Launching projects that Six Sigma organizations cannot fund can lead to poor execution, incomplete implementation, and negative impacts on the organization's financials. Similarly, starting projects that Six Sigma organizations cannot manage or support with the people resources can result in poor execution, unmet objectives, and ultimately, a waste of resources. Therefore, Six Sigma organizations must be mindful of their resources and capacities before launching any projects, as failure to do so can lead to more problems than solutions. Six Sigma Organizations should only launch projects they can fund, support with people resources, and manage.
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How did President Nixon ending the Gold Standard in 1971 change
the landscape of International Business? Please
explain.
President Nixon's decision to end the Gold Standard in 1971 was a turning point in the history of international business. The Gold Standard was an international monetary system that linked the value of a country's currency to a fixed amount of gold. Under the Gold Standard, countries could redeem their currency for gold, which acted as a universal store of value. The system was intended to promote international trade and investment by creating a stable global financial environment.
How did President Nixon's decision to end the Gold Standard in 1971 change the landscape of International Business?President Nixon's decision to end the Gold Standard in 1971 changed the landscape of international business in several ways:
1. The value of currencies became floating: After the Gold Standard was abolished, the value of currencies was no longer linked to gold, but instead floated freely on international markets. This meant that exchange rates could fluctuate widely, which increased the uncertainty and risk associated with international business transactions.
2. Increased inflation: The Gold Standard helped control inflation by limiting the amount of money that governments could print. However, with the end of the Gold Standard, governments were free to print as much money as they wanted, which led to higher levels of inflation. This made it more difficult for businesses to plan and budget for the future.
3. Rise of international trade and investment: Without the restrictions imposed by the Gold Standard, international trade and investment increased dramatically. Businesses were able to expand into new markets and take advantage of new opportunities. This led to greater competition and innovation in international markets.
4. Emergence of new currencies: With the end of the Gold Standard, new currencies emerged as the value of old currencies fluctuated.
This led to the creation of new financial instruments and markets that businesses could use to manage risk and maximize profits.In conclusion, President Nixon's decision to end the Gold Standard in 1971 changed the landscape of international business by making currencies float, increasing inflation, promoting international trade and investment, and creating new currencies and financial markets.
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Udala Uke's had the following transactions involving notes payable.
July 1. 2021 Nov, 1. 2021 Borrows $42,000 from First National Bank by signing a nine-month, 8% note.
NOv 1. 2021 Borrows $50,400 from Interprovincial Bank by signing a three-month, 6% note. Prepares annual year-end adjusting entries.
Dec. 31, 2021
Feb. 1. 2022 Pays principal and interest to Interprovincial Bank.
Apr. 1, 2022 Pays principal and interest to First National Bank,
Prepare journal entries for each of the transactions. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Record journal entries in the order presented in the problem.)
The journal entries for each of the transactions are as follows:Journal Entries for transaction 1:DateAccount Titles and ExplanationDebitCreditJul. 1, 2021Notes Payable42,000Cash42,000(Journal entry to record borrowing of $42,000 on a 9-month, 8% note)Journal Entries for transaction 2:DateAccount Titles and ExplanationDebitCreditNov. 1, 2021Notes Payable50,400Cash50,400(Journal entry to record borrowing of $50,400 on a 3-month, 6% note)Journal Entries for transaction 3:DateAccount Titles and ExplanationDebitCreditDec. 31, 2021Interest Expense2,520Interest Payable2,520(Journal entry to record accrued interest on notes payable as of December 31, 2021)Journal Entries for transaction 4:DateAccount Titles and ExplanationDebitCreditFeb. 1, 2022Notes Payable50,400Interest Payable840Cash51,240(Journal entry to record payment of principal and interest to Interprovincial Bank on February 1, 2022)Journal Entries for transaction 5:DateAccount Titles and ExplanationDebitCreditApr. 1, 2022Notes Payable42,000Interest Payable2,240Cash44,240(Journal entry to record payment of principal and interest to First National Bank on April 1, 2022)Note: Interest on each of the notes is calculated as follows:Note 1: $42,000 x 8% x (9/12) = $2,520Note 2: $50,400 x 6% x (3/12) = $1,512 + $840 (accrued interest at December 31, 2021) = $2,352Therefore, the total interest paid on both notes is $4,872 ($2,520 + $2,352).
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A company owed P2,000,000 plus P180,000 of accrued interest to Bank of Philippines which was due to be paid on December 31, 2021. During 2021, the company's business deteriorated because of covid-19 pandemic. On December 31, 2021, the bank agreed to accept an old machine and cancel the entire debt. The machine's cost was P3,900,000, with accumulated depreciation of P2,210,000, and a fair value of P1,900,000. How much should the company report in its profit or loss as a result of the derecognition of the financial liability?
The company should report a gain of P1,210,000 in its profit or loss as a result of the derecognition of the financial liability.
The gain is calculated by subtracting the fair value of the machine (P1,900,000) from the carrying amount of the debt (P2,180,000), which is the amount owed plus accrued interest. Therefore, the gain is P2,180,000 - P1,900,000 = P280,000.
However, since the machine's carrying amount exceeds its fair value, an impairment loss needs to be recognized. The impairment loss is determined by comparing the machine's carrying amount (P3,900,000 - P2,210,000 = P1,690,000) with its fair value (P1,900,000). The impairment loss is the difference between the carrying amount and the fair value, which is P1,690,000 - P1,900,000 = -P210,000.
Since the gain (P280,000) is greater than the impairment loss (-P210,000), the net effect is a gain of P280,000 - P210,000 = P1,210,000. This gain should be reported in the company's profit or loss statement.
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The results of SWOT analysis provide guidance to company managers in crafting a strategy (or improving an existing strategy) in ways that fit the company's internal and external situation, which one of the following is not one of the conditions for a company's strategy to be an excellent fit with its situation? Copyright © by Glo Bus Software, Inc. Copying, distributing, or 3rd party website posting sexpressly prohibited and constitutes copyright violation O The foundation and centerpiece of a company's strategy to profitably compete against rivals must be its most competitively powerful resources and capabilities O A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies A company's strategy should include efforts to defend against those external threats that can adversely impact the company's long-term business prospects or put its survival at risk. A company's strategy must include strategic initiatives aimed squarely at capturing at those market opportunities best suited to the company's strengths and competitive assets. A company's strategy must include actions to correct those competitive weaknesses that make the company vulnerable to attack from rivals, depress profitability, or disqualify it from pursuing a particularly attractive opportunity.
The condition that is not required for a company's strategy to be an excellent fit with its situation is:
"A company's strategy should be aimed at (1) completely eliminating all of its competitively important weaknesses and (2) boosting its number of core competencies and distinctive competencies."
While it is important for a company to address its weaknesses and enhance its core competencies and distinctive competencies, it is not a mandatory condition for a strategy to be an excellent fit with the company's situation. The other conditions mentioned in the options are all crucial for a strategy to align effectively with the company's internal and external situation.
A company's strategy should focus on leveraging its most competitively powerful resources and capabilities, defending against external threats, capturing market opportunities suited to the company's strengths, and correcting competitive weaknesses.
These conditions ensure that the strategy is well-aligned with the company's situation and enhances its ability to compete and succeed in the market.
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Complete the sentence. The higher than normal unemployment at a business cycle trough and the lower than normal unemployment at a business cycle peak is called OA structural OB natural OC. frictional OD. cyclical unemployment
The higher than normal unemployment at a business cycle trough and the lower than normal unemployment at a business cycle peak is called **OD. cyclical unemployment**.
Cyclical unemployment refers to the fluctuations in unemployment that occur as a result of the overall business cycle. During a trough or recession phase of the business cycle, unemployment tends to be higher than normal as economic activity slows down and businesses reduce their workforce. Conversely, during a peak or expansion phase of the business cycle, unemployment tends to be lower than normal as economic activity increases, leading to more job opportunities and lower unemployment rates. Cyclical unemployment is specifically tied to the ups and downs of the business cycle and is different from other forms of unemployment such as structural, frictional, or natural unemployment.
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