The International Fisher Effect states that differential rates of inflation between two countries tend to be offset over time by an equal but opposite change in the spot exchange rate. The answer to the given question is option b.
What is the International Fisher Effect?The International Fisher Effect is an economic theory that predicts exchange rates between currencies. According to the International Fisher Effect, the exchange rate between two countries should adjust to compensate for differences in nominal interest rates.The Fisher Effect is the basis of this concept, which assumes that interest rates are proportional to inflation rates in various countries.
According to the Fisher Effect, a country with high inflation will have a higher nominal interest rate, and vice versa. The International Fisher Effect predicts that exchange rates between countries will change in response to differences in these inflation rates and nominal interest rates.The International Fisher Effect was developed to explain why exchange rates fluctuate between two countries. It states that if two countries have different nominal interest rates, the exchange rate between the two countries will adjust over time to reflect the difference in interest rates. Therefore, the International Fisher Effect is important in the currency market to predict future exchange rates.
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you suspect that the gshant user account is locked. enter the command you would use in a shell to show the status of the user account.
To check the status of the user account 'gshant', you need to enter the following command in a shell:
$ grep gshant /etc/passwd
This command will search the '/etc/passwd' file for the username 'gshant' and will return a line with the details of the user. The status of the user is indicated by the second character of the line; a '*' character indicates that the user is locked. For example, if the line for the user 'gshant' in the '/etc/passwd' file was:
gshant:*:101:103:Gshant:/home/gshant:/bin/bash
This would indicate that the user 'gshant' is locked.
The command that can be used to show the status of a user account in a shell is “passwd -S username.” The passwd command is used to update a user's authentication token. The passwd command is used to update a user's authentication token. The authentication tokens include the user's password and a password aging policy.The -S option displays account status information. This command is used to display the status of a user account. It is used to view the status of all of the user accounts that have been locked. The command can be used to check if an account is locked or unlocked.In order to unlock the account, you can use the command “passwd -u username.” This command can be used to lock or unlock the user account. The -u option is used to unlock the account. To lock the account, you can use the command “passwd -l username.” This command can be used to lock or unlock the user account. The -l option is used to lock the account. It is used to secure an account that has been compromised or is no longer needed.
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Businesses vary as to the amount of security they require or can afford for their computer files. Firewalls are a type of software that protects computer files from unauthorized entry. A company that had developed a complete line of firewalls, from a no-frills version to a version that uses retinal scans for admittance, would most likely need to rely most heavily on which promotional element?
Businesses that have developed a complete line of firewalls, from no-frills versions to versions that use retinal scans, would need to rely heavily on promotional elements to spread awareness and drive sales.
One of the most important promotional elements to use is advertising, which can be done in a variety of forms, such as television commercials, print ads, digital ads, and even word of mouth. Advertising is an effective way to get the word out about a product, and with the range of firewalls available, businesses can target different audiences with different types of advertising. In addition to advertising, businesses should also focus on public relations and marketing, which involve creating a positive image of the company and its products, as well as creating a demand for the product. Public relations and marketing can involve press releases, campaigns, and events to create awareness about the firewalls and their features. Lastly, businesses should also focus on sales and customer service, as this will ensure that customers are satisfied and have the tools to properly install and use the firewall.
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The difference in net operating income between absorption costing and variable costing is due to the ______.a. time when fixed overhead is expensed
b. format of the income statements
c. expensed in the period incurred
d. amount of sales revenue reported
The difference in net operating income between absorption costing and variable costing is due to the: a. time when fixed overhead is expensed.
What is Net Operating Income?Net Operating Income (NOI) is the profit generated by a business or property after deducting operating expenses but before deducting taxes and interest.
In absorption costing, fixed overhead costs are allocated to products based on the level of production and included in the cost of goods sold, whereas in variable costing, fixed overhead costs are expensed in the period incurred and not included in the cost of goods sold.
As a result, changes in production levels can have a significant impact on net operating income reported under absorption costing, whereas net operating income reported under variable costing is not affected by changes in production levels but rather changes in sales revenue.
The format of the income statements may differ between the two costing methods, but this is not the primary reason for the difference in net operating income.
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Which of the following statements about the intersection of the average variable cost and marginal cost curves is true?a.The intersection occurs at the minimum of the marginal cost curve.b.The intersection occurs at the minimum of the average total cost curve.c. The intersection occurs at the minimum of the average variable cost curve.
The statements about the intersection of the average variable cost and marginal cost curves which is true is c. the minimum of the average variable cost curve.
The average variable cost is defined as the total variable cost divided by the quantity of output produced. It includes variable costs only, such as labor and raw materials.The marginal cost is defined as the cost of producing one more unit of output. It includes both fixed and variable costs.The intersection of the average variable cost and marginal cost curves occurs at the minimum of the average variable cost curve because the marginal cost curve intersects the average variable cost curve at the point where the average variable cost curve is at its lowest point. This is because, when the marginal cost is lower than the average variable cost, the average variable cost curve is decreasing. When the marginal cost is greater than the average variable cost, the average variable cost curve is increasing.
Therefore, the minimum point of the average variable cost curve represents the point at which the marginal cost curve intersects it.The correct answer is option C: The intersection occurs at the minimum of the average variable cost curve.
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During a business presentation, handouts are used ________
During a business presentation, handouts are used to provide additional information and reinforce the message being presented.
Handouts can take the form of printed materials such as brochures, flyers, and manuals, or digital materials such as PowerPoint slides or PDF documents.
Handouts are often used to provide information that cannot be easily conveyed during the presentation or to provide a summary of the key points. They can also be used as a reference tool for the audience to refer to later on.
In order to be effective, handouts should be well-designed, easy to read, and clearly organized. They should also complement the presentation and not distract from it.
It is important to keep in mind that handouts are only one part of a successful business presentation and should be used in conjunction with other visual aids such as slides, videos, or live demonstrations.
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true or false in determining the cost of debt, a firm could use its yields and prices of outstanding bonds.
True. In determining the cost of debt, a firm can use its yields and prices of outstanding bonds.
Yields measure the return on bonds, while prices of outstanding bonds measure the market's valuation of the firm. The cost of debt is the effective rate a firm pays on its current debt obligations. To calculate the cost of debt, a firm can use either the yield to maturity of its bonds or the current market price of the outstanding bonds. The yield to maturity is calculated by taking into account the bond's coupon rate, length of time until maturity, and current market price. The current market price of the bonds is based on the current market yield and the bond's face value.
By comparing the yield to maturity or market price of the outstanding bonds to the coupon rate, the firm can determine its cost of debt.
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your grandparents would like to establish a trust fund that will pay you and your heirs $190,000 per year forever with the first payment 9 years from today. if the trust fund earns an annual return of 3.7 percent, how much must your grandparents deposit today?
Your grandparents must deposit $1,267,462.12 today to establish the trust fund.
To calculate the amount your grandparents must deposit today to establish a trust fund that pays you and your heirs $190,000 per year with the first payment 9 years from now, you will need to use the present value formula. The present value formula is used to determine the value of a future sum of money today, accounting for inflation and the time value of money.
[tex]Present Value = FV/(1+r)^n[/tex]
FV = Future Value = $190,000
r = Rate = 3.7%
n = Number of years = 9
Plugging the values into the formula, the present value is:
[tex]Present Value = $190,000/(1+0.037)^9\\Present Value = $1,267,462.12[/tex]
Therefore, your grandparents must deposit $1,267,462.12 today to establish the trust fund.
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When a sales associate is showing property he should not give the impression that he is a building inspector; however, he is obligated to draw their attention to which of the following?
A. Broken gutters
B. Drafty doors
C. Bulges in walls
D. Peeling paintwork
A. Broken gutters - Sales associates should draw attention to any broken gutters since they could indicate a potential issue with water damage or drainage.
What is potential?Potential is the ability to do something, either now or in the future. It is the capacity of a person, thing, or situation to become something greater or achieve a higher level of success. Potential is often seen as a latent power that can be activated and released with the right set of circumstances. Potential is also seen as the ability to achieve a certain level of success, which can be determined by a number of factors such as knowledge, experience, and effort. Potential is an important factor in a person's overall success and can be harnessed and maximized with the right mindset and approach.
B. Drafty doors - Sales associates should draw attention to any drafty doors since they could indicate a potential issue with insulation or ventilation.
C. Bulges in walls - Sales associates should draw attention to any bulges in walls since they could indicate a potential issue with structural integrity.
D. Peeling paintwork - Sales associates should draw attention to any peeling paintwork since it could indicate a potential issue with the condition of the building.
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A. Broken gutters - Sales associates should draw attention to any broken gutters since they could indicate a potential issue with water damage or drainage.
What is potential?Potential is the ability to do something, either now or in the future. It is the capacity of a person, thing, or situation to become something greater or achieve a higher level of success. Potential is often seen as a latent power that can be activated and released with the right set of circumstances. Potential is also seen as the ability to achieve a certain level of success, which can be determined by a number of factors such as knowledge, experience, and effort. Potential is an important factor in a person's overall success and can be harnessed and maximized with the right mindset and approach.
B. Drafty doors - Sales associates should draw attention to any drafty doors since they could indicate a potential issue with insulation or ventilation.
C. Bulges in walls - Sales associates should draw attention to any bulges in walls since they could indicate a potential issue with structural integrity.
D. Peeling paintwork - Sales associates should draw attention to any peeling paintwork since it could indicate a potential issue with the condition of the building.
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after the new deal had been in effect for two years, the u.s. economy
After two years of the New Deal being in effect, the US economy had undergone significant changes, and there were several noticeable improvements.
First of all, there was a significant reduction in the number of banks that failed, as the banking system had been restructured, and new regulations had been put in place to prevent a repeat of the 1929 stock market crash. The government also implemented programs that helped farmers and rural communities, including the Agricultural Adjustment Act, which paid farmers to reduce their crop production to increase prices, and the Rural Electrification Administration, which brought electricity to rural areas. These programs helped to stimulate economic growth in these regions and provided job opportunities to millions of people. Another significant improvement was the establishment of the Social Security Act, which provided retirement benefits to workers and their families. This program helped to alleviate poverty among elderly people and provided a safety net for families who were struggling to make ends meet.
The Works Progress Administration (WPA) was also created during this period, which provided jobs to millions of people and helped to fund numerous public works projects across the country. Overall, the New Deal had a significant impact on the US economy, and although it did not solve all of the problems facing the country, it provided a framework for government intervention in the economy that would be used for decades to come. The New Deal's legacy can be seen in programs such as Social Security, unemployment insurance, and the minimum wage, which continue to benefit millions of Americans today. In conclusion, after two years of the New Deal being in effect, the US economy had undergone significant improvements, and the government's interventions had helped to stimulate economic growth and provide job opportunities to millions of people.
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TalkaLot Corp. incurs a cost of $350 to produce one unit of a cell phone. The company’s management has priced the product at $600 in the market. Considering the technological advancement of the cell phone, customers perceive its value to be around $800. What is the economic value created in this scenario?
A. $200
B. $250
C. $450
D. $600
E. $800
Option (c), The economic value produced in this situation is $450.
What exactly does economic value mean?A person bases their evaluation of an economic good's value on the advantages they stand to get from it. The person's willingness to pay for the good, which is commonly stated in monetary terms, is used to appraise it regularly.
Why are economic principles significant?Economic value is used to assess costs on a financial and environmental level in order to enhance budgeting and investment decisions. It helps manufacturers estimate the worth of a good or service based on consumer preferences and what they are willing to exchange or give up.
Consumer surplus plus firm profit, or the total of consumer and producer surplus, constitutes economic value creation. The monetary value generated in this instance is
($800 - $600) + ($600 - $350) = $450.
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uppose that many stocks are traded in the market and that it is possible to borrow at the risk-free rate, rf. The characteristics of two of the stocks are as follows: Stock A B Correlation = -1 Expected Return 8% 13% Standard deviation 40% 60% a. Calculate the expected rate of return on this risk-free portfolio? (Hint: Can a particular stock portfolio be substituted for the risk-free asset?) Rate of return % b. Could the equilibrium rf be greater than 10%? Yes O No
a. The expected rate of return on this risk-free portfolio is 10%. This is because when the correlation between two stocks is -1, a portfolio can be constructed with 0 risks by taking equal amounts of both stocks and borrowing at the risk-free rate.
b. Yes, the equilibrium rf could be greater than 10%. This would occur if the expected return of the two stocks exceeds 10%, or if the risk-free rate is increased.
a. The correlation between Stock A and Stock B is -1; so they will move in the opposite direction.
The expected return and standard deviation of both stocks are also provided.
$$E(R_p)=w_AE(R_A)+w_BE(R_B)$$
wA and wB are the weights of Stock A and Stock B, respectively, and E(RA) and E(RB) are the expected returns of Stock A and Stock B, respectively.
The weights of Stock A and Stock B will add up to 1:$$w_A+w_B=1$$
$$E(R_p)=w_AE(R_A)+w_BE(R_B)=w_A(0.08)+w_B(0.13)=0.08+0.05w_B$$
Since Stock A and Stock B are negatively correlated, the portfolio standard deviation, σp:
$$\sigma_p = \sqrt{(w_A\sigma_A)^2+(w_B\sigma_B)^2+2w_Aw_B\sigma_A\sigma_B\rho_{AB}}$$$$\sigma_p = \sqrt{(w_A\sigma_A)^2+(w_B\sigma_B)^2-2w_Aw_B\sigma_A\sigma_B}$$$$\sigma_p = \sqrt{(w_A(0.4))^2+(w_B(0.6))^2-2w_Aw_B(0.4)(0.6)(-1)}$$
Thus, the expected rate of return on this risk-free portfolio is 0.08 + 0.05wB.Rate of return = 0.08 + 0.05wB.
b. Answer to whether the equilibrium rf can be greater than 10%:The equilibrium risk-free rate is the rate at which the expected return on the market portfolio is equal to the risk-free rate.
It is possible for the equilibrium risk-free rate to be greater than 10%.
Therefore, the answer is "Yes."
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mr. and mrs. shohler received $25,200 social security benefits this year. their only other source of income was mrs. shohler's $10,479 taxable pension from her former employer. how much of their social security is included in gross income?
The taxable portion of their benefits is 85% of the $25,200, which equals $21,420. The remaining 15%, or $3,780, is not included in gross income.
The Shohlers' social security benefits are included in their gross income.
To calculate the taxable portion of their social security benefits, we first add together their other sources of income. In this case, their taxable pension is $10,479.
This brings the total to $35,679. We then multiply this total by the taxable percentage of benefits, which is 85%. The result is $21,420, which is the amount of their social security benefits included in gross income.
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treasury bonds paying an 11.0% coupon rate with semiannual payments currently sell at par value. what coupon rate would they have to pay in order to sell at par if they paid their coupons annually? (hint: what is the effective annual yield on the bond?) (round your answer to 2 decimal places.)
Effective annual yield _____
To sell treasury bonds at par if coupons were paid annually instead of semiannually, the bond would have to pay a coupon rate of 12.08%.
The effective annual yield is 11.00%.Here is how to solve this problem: If you want to calculate the bond's annual coupon payment, divide the semiannual payment by 2:$Coupon Payment_{annual}=Coupon Payment_{semiannual}/2$$Coupon Payment_{annual}=11.0\%/2=\$5.50$The current price of the bond is equal to its par value, which is $1000. The bond's annual payment is $5.50. As a result, the bond's current yield is calculated as follows:$$Bond\space Price=Coupon Payment_{annual}/y$$where y is the bond's annual yield. To convert the bond's semiannual yield into an annual yield, use the following formula:$$Effective\space Yield=(1+\frac{r}{m})^m-1$$where r is the semiannual yield and m is the number of semiannual periods in a year. In this scenario, there are two semiannual periods, so m=2.$$Effective\space Yield=(1+\frac{0.11}{2})^2-1=0.11305$$The bond's current yield is calculated as follows:$$1000=\frac{5.50}{y}$$$$y=\frac{5.50}{1000}=0.0055$$The coupon rate that the bond must pay to sell at par value if coupons are paid annually is calculated as follows:$$1000=\frac{Coupon Payment_{annual}}{y}$$$$Coupon Payment_{annual}=y*1000=0.0055*1000=\$5.50$$$$y=\frac{Coupon Payment_{annual}}{1000}$$$$0.11305=\frac{Coupon Payment_{annual}}{1000}$$$$CouponPayment_{annual}=0.11305*1000=\$113.05$$Rounded to two decimal places, the bond must pay a 12.08 percent coupon rate to sell at par if coupons are paid annually instead of semiannually.
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match the definitions with their correct term or bond feature. - the rate of interest paid on the face value (par value) of the bond. - the bondholder's required rate of return. this is also the internal rate of return on the cash flows received by the bondholder that assumes the investor can reinvest the cash flows received from the bond at this rate. - the period of time over which the bond issuer must continue to pay coupon payments. - the legal document that states the bond contract requirements such as repayment schedules, restrictions, and promises between the issuer of a corporate bond and the purchaser.
In the following question, among the given options on terminology, Coupon rate: "The rate of...the bond, " Required rate of return- "The bondholder's...bond at this rate." Maturity- "The period of time.....coupon payments." Indenture- "The legal document...and the purchaser."
The definitions provided match the following terms or bond features:
Coupon rate: The rate of interest paid on the face value (par value) of the bond.Required rate of return: The bondholder's required rate of return. This is also the internal rate of return on the cash flows received by the bondholder that assumes the investor can reinvest the cash flows received from the bond at this rate.Maturity: The period of time over which the bond issuer must continue to pay coupon payments.Indenture: The legal document that states the bond contract requirements such as repayment schedules, restrictions, and promises between the issuer of a corporate bond and the purchaser.For more such questions on terminology
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A firm pays a $1.50 dividend at the end of year one (D1), has a stock price of $151 (P0), and a constant growth rate (g) of 9 percent.a. Compute the required rate of return (Ke). (Do not round intermediate calculations. Input your answer as a percent rounded to 2 decimal places.)Indicate whether each of the following changes will increase or decrease the required rate of return (Ke). (Each question is separate from the others. That is, assume only one variable changes at a time.) No actual numbers are necessary.b. If the dividend payment increases:c. If the expected growth rate increases:d. If the stock price increases:
The required rate of return calculated from the constant growth model is 10.99%, and an increase in dividend payment will lead to a decrease in the required rate of return.
a. Calculation of Required rate of return (Ke)
Using the formula of the constant growth model, the required rate of return (Ke) can be computed as follows:
Ke = (D1 / P0) + gKe = ($1.50 / $151) + 0.09
Ke = 0.019868 + 0.09Ke = 0.109868 or 10.99% (rounded to 2 decimal places)
Therefore, the required rate of return (Ke) is 10.99%.
b. If the dividend payment increases:
An increase in dividend payment will lead to a decrease in the required rate of return (Ke) as dividend payment is a direct factor for the computation of Ke.
This means that investors will require less return when the dividend payment is higher as it is considered less risky.
c. If the expected growth rate increases: If the expected growth rate increases, it will lead to an increase in the required rate of return (Ke) as the growth rate is directly proportional to the required rate of return. This means that investors will require more return when the expected growth rate is higher as it is considered riskier.
d. If the stock price increases: If the stock price increases, it will lead to a decrease in the required rate of return (Ke) as the stock price is directly proportional to the required rate of return. This means that investors will require less return when the stock price is higher as it is considered less risky.
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compared to what happens when we use ppp exchange rates, market exchange rates tend to make the magnitude of income differences between rich and poor countries larger.
When using ppp exchange rates, the magnitude of income differences between rich and poor countries is usually smaller compared to what happens when we use market exchange rates.
Why income differences between rich and poor countries is usually small?This is because market exchange rates reflect the value of a country's currency in relation to another country's currency. However, Purchasing power parity (ppp) exchange rates adjust for differences in purchasing power, allowing for more accurate comparisons of living standards across countries.
This means that when using ppp exchange rates, the income gap between rich and poor countries appears smaller because the rates reflect the relative purchasing power of different countries, rather than just the nominal value of their currencies.
In summary, when we use ppp exchange rates, we get a more accurate picture of living standards across countries, which reduces the magnitude of income differences between rich and poor countries.
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calculate the price of a 9-year $1,000 bond with a 4.1% coupon rate and a yield-to-maturity of 4.2% with annual coupon payments. (round answer to 2 decimal places)
The price of the bond is $1,301.92, a 9-year $1,000 bond with a 4.1% coupon rate and a yield-to-maturity of 4.2% with annual coupon payments.
Bond pricing refers to the process of determining the appropriate value of a bond, which takes into account factors such as interest rates, credit risk, and time to maturity.
Price = (Coupon Payment x [1 - (1 / (1 + Yield-to-Maturity)^Years)] / Yield-to-Maturity) + (Face Value / (1 + Yield-to-Maturity)^Years)
Coupon Payment = $1,000 x 4.1% = $41
Yield-to-Maturity = 4.2%
Years = 9
Price = ($41 x [1 - (1 / (1 + 0.042)^9)] / 0.042) + ($1,000 / (1 + 0.042)^9)
Price = ($41 x 6.2467 / 0.042) + ($1,000 / 1.4423)
Price = $609.57 + $692.35
Price = $1,301.92
Therefore, the price of the bond is $1,301.92.
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paola is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing pinterest posts and reading articles about how to implement a successful golf outing. she's not a golfer herself and has never participated in a golf outing before but wants to make sure the event is enjoyed by people who like golf and that it generates the donations her organization needs to deliver their services to the community. paola's behavior can be explained by the concept of__________ involvement.
In the following question, in the missing blank, Paola is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing Pinterest posts and reading articles about how to implement a successful golf outing. People who like golf generate the donations her organization needs to deliver their services to the community. Paola's behaviour can be explained by the concept of "high" involvement.
What is high involvement? The term high involvement refers to the cognitive and emotional state of an individual when he or she is motivated to process a piece of information actively. The following traits characterize high-involvement purchase decisions: Extensive search and evaluation activities occur before the purchase. Lack of knowledge or uncertainty about the product/service or the purchase situation is present. Experience is not available or limited for the product/service being evaluated. The decision to purchase is considered to be important to the individual, and the decision outcome will have a considerable impact. High-involvement purchase decisions, in general, are more challenging to make than low-involvement decisions, require more cognitive processing, and are influenced by a larger number of variables. In Paola's case, she is planning a major golf fundraiser for a local nonprofit organization and is spending several hours each week reviewing Pinterest posts and reading articles about how to implement a successful golf outing. Despite not being a golfer herself and having never participated in a golf outing before, she wants to make sure the event is enjoyed by people who like golf and that it generates the donations her organization needs to deliver their services to the community.
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Mendoza Supplies sold an old delivery truck with a purchase price of $17,680 and accumulated depreciation of $12,240 for $4,800. This would require Mendoza to include which of the following in their journal entry to record the sale?
Mendoza Supplies must include debit cash, credit accumulated depreciation, credit gain on disposal of equipment and debit equipment on journal entry.
A journal entry is an accounting transaction that records financial information in a company's general ledger. Accounting books are often made up of various journals. Accounting journal types include General, Sales, Purchase, Cash Receipt, and Cash Disbursement.
Mendoza Supplies must include the following in their journal entry to record the sale of an old delivery truck with a purchase price of $17,680 and accumulated depreciation of $12,240 for $4,800:
Debit Cash for $4,800Credit Accumulated Depreciation for $12,240Credit Gain on Disposal of Equipment for $4,800Debit Equipment for $17,680To complete the questions above. The answer choices above are:
a) Prepaid Expenses, Equipment Depreciation
b) Rent Expenses, Revenue Receivables
c) debit cash, credit accumulated depreciation, credit gain
d) Supplies, Equipment Depreciation, Prepaid Expenses
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in each of the following independent cases, indicate the amount (1) deductible for AGI, (2) deductible from AGI, and (3) neither deductible for nor deductible from AGI before considering income limitations or the standard deduction. 1) Fran spent $97 for uniforms for use on her job. Her employer reimbursed her for $9 of this amount under an accountable plan (and did not report the reimbursement as wages). 2) Timothy, a plumber employed by ACE Plumbing, spent $101 for small tools to be used on his job, but he was not reimbursed by ACE. 3) Jake is a perfume salesperson. Because of his high pay, he receives no allowance or reimbursement from his employer for advertising expenses even though his position requires him to advertise frequently. During the year, he spent $2,650 on legitimate business advertisements. 4) Trey is a self-employed special-duty nurse. He spent $460 for uniforms. 5) Mary, a professor at a community college, spent $465 for magazine subscriptions. The magazines were helpful for her research activities, but she was not reimbursed for the expenditures. 6) Wayne lost $440 on the bets he made at the race track, but he won $62 playing slot machines
1) Fran spent $97 for uniforms for use on her job. Her employer reimbursed her for $9 of this amount under an accountable plan (and did not report the reimbursement as wages). - (2) Deductible from AGI
2) Timothy, a plumber employed by ACE Plumbing, spent $101 for small tools to be used on his job, but he was not reimbursed by ACE. - (1) Deductible for AGI
3) Jake is a perfume salesperson. Because of his high pay, he receives no allowance or reimbursement from his employer for advertising expenses even though his position requires him to advertise frequently. During the year, he spent $2,650 on legitimate business advertisements. - (1) Deductible for AGI
4) Trey is a self-employed special-duty nurse. He spent $460 for uniforms. - (1) Deductible for AGI
5) Mary, a professor at a community college, spent $465 for magazine subscriptions. The magazines were helpful for her research activities, but she was not reimbursed for the expenditures. - (1) Deductible for AGI
6) Wayne lost $440 on the bets he made at the race track, but he won $62 playing slot machines. - (3) Neither deductible for nor deductible from AGI
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suppose that the local government of corpus christi decides to institute a tax on cider consumers. before the tax, 10 billion cases of cider were sold every year at a price of $11 per case. after the tax, 4 billion cases of cider are sold every year; consumers pay $13 per case (including the tax), and producers receive $6 per case. the amount of the tax on a case of cider is $ per case. of this amount, the burden that falls on consumers is $ per case, and the burden that falls on producers is $ per case.
The amount of cider sold has also decreased significantly, from 10 billion cases before the tax to 4 billion cases after the tax was instituted.
The local government of Corpus Christi has instituted a tax on cider consumers. Before the tax, 10 billion cases of cider were sold every year at a price of $11 per case. After the tax was instituted, the number of cases sold dropped to 4 billion and the price of a case of cider rose to $13 per case (including the tax). This means the amount of the tax on a case of cider is $2 per case.
The burden of the tax on consumers is $2 per case, and the burden of producers is also $2 per case. This means that the consumers and producers bear the entire burden of the tax. The producers will be paying $2 per case and the consumers will be paying the same amount, $2 per case. As a result, the consumers will have to pay $2 more for a case of cider and the producers will receive $6 per case instead of $8.
Overall, the tax on cider consumers has had a negative effect on both consumers and producers. Consumers are paying more for cider and producers are receiving less.
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zwick company bought 26,000 shares of the voting common stock of handy corporation in january 2021. in december, handy announced $204,800 net income for 2021 and declared and paid a cash dividend of $4.00 per share on all 203,000 shares of its outstanding common stock. zwick company's dividend revenue from handy corporation in december 2021 would be:
Zwick Company's dividend revenue from Handy Corporation in December 2021 would be $104,000.
Dividend revenue is the revenue that a corporation earns from its investments in other corporations' common stocks, which pay dividends to their shareholders. According to the question, Zwick Company bought 26,000 shares of the voting common stock of Handy Corporation in January 2021. In December, Handy Corporation announced $204,800 net income for 2021 and declared and paid a cash dividend of $4.00 per share on all 203,000 shares of its outstanding common stock.
So, the total amount of dividend that Handy Corporation paid would be:
Total Dividend = Dividend per share × Total shares outstanding
Total Dividend = $4.00 × 203,000
Total Dividend = $812,000
Zwick Company owns 26,000 shares of Handy Corporation, so it would get a portion of this dividend revenue. The dividend revenue that Zwick Company would receive would be:
Dividend Revenue = (Total dividend ÷ Total shares outstanding) × Zwick Company's shares
Dividend Revenue = ($812,000 ÷ 203,000) × 26,000
Dividend Revenue = $4.08 × 26,000
Dividend Revenue = $104,000
Therefore, Zwick Company's dividend revenue from Handy Corporation in December 2021 would be $104,000.
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in the adam smith excerpt that we read from wealth of nations, what concept does he describe that allows individual workers to be more productive, and to benefit from this excess production in the marketplace?
The division of labor and specialization of workers to increase productivity and take advantage of the market's excess production
There is a division of labor when a process is broken down into numerous tasks, each of which is completed by a different person or group of people. The division of labor is most frequently used in mass manufacturing processes because it reduces pointless actions and makes handling different tools and parts simpler. Specialization is the main reason for labor division. Efficiency is achieved when a challenging activity is divided into smaller, simpler tasks because workers become proficient at the particular tasks they are given.
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a contract in which a party has the option of avoiding or enforcing the contractual obligation is called:
A contract in which a party has the option of avoiding or enforcing the contractual obligation is called: a voidable contract.
What is a voidable contract?
A voidable contract is one in which one or more parties have the option to void or cancel the contract, rendering it unenforceable. In other words, the contract is valid when it is created, but one or more parties have the right to revoke or cancel it under certain conditions.
A voidable contract can be avoided or enforced by one of the parties.
Avoiding: To avoid a contract, the party must exercise the right of rescission or cancellation. A contract can be avoided for a variety of reasons, including fraud, duress, undue influence, misrepresentation, or mistake.
If one party avoids a contract, the other party loses its legal right to enforce the contract's terms. A voidable contract can only be avoided by the party that has the right to avoid it.
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identify the four ways to structure an organization. multiple select question. matrix-style organizations visual corporations line organizations cross-functional self-managed teams line-and-staff organizations
Four ways to structure an organization are matrix-style organizations, line organizations, cross-functional self-managed teams, and line-and-staff organizations.
An organizational structure can be seen as the manner in which people and resources are arranged for the efficient and effective completion of the goals of an organization. It refers to the hierarchical arrangement of lines of authority, communications, rights, and duties within an organization.
There are four different types of structures that are used for organizing a company. They include:
Matrix-style organizations: A company structure that combines functional and divisional structures in one grid. This structure combines the advantages of functional and divisional structures.
Line organizations: It is a hierarchical organization structure in which one person has authority over other employees. It is also known as a military organization.
Cross-functional self-managed teams: A team structure in which employees with various skills and expertise collaborate on a project or initiative.
Line-and-staff organizations: This organizational structure is a combination of line and staff roles, where staff employees specialize in support functions and line employees have authority in the chain of command.
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in operant conditioning, what process describes adding something aversive to decrease the future likelihood of behavior?
In operant conditioning, the process that describes adding something aversive to decrease the future likelihood of behavior is called "positive punishment."
Positive punishment is a type of operant conditioning that involves adding an aversive stimulus to decrease the likelihood of a behavior recurring in the future. The term "positive" in this context means adding a stimulus, while "punishment" means decreasing the probability of a behavior.
However, it is important to note that positive punishment can have negative consequences, such as causing fear, anxiety, or aggression. Therefore, it should be used sparingly and with caution.
Positive punishment is different from negative punishment, which involves removing a desirable stimulus to decrease the likelihood of a behavior. For example, if a child misbehaves, a parent might use negative punishment by taking away a privilege such as screen time.
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The following details and account balances are provided for the equity section of a balance sheet.
Preferred stock, $75 par value, 10,000 shares authorized, for $300,000
Common stock, no par, 700,000 shares authorized, 400,000 shares issued for $1,200,000
Treasury stocks amounted to $75,000 at a cost of $3 per share Retained earnings amount to $800,000 With these information, answer the following questions: The number of preferred stock issued and outstanding is _____ Common stock will have a state value of $_____ and the outstanding number of common stock is _____ Total stockholder's equity will have a balance of $_____ If this entity decides to sell some of the 5,000 shares of treasury stocks when the price has changed by 100%, then the journal entry will debitor credit _____ for $_____ debit or credit _____ for $_____ and debit or credit to PIC account. The balance in the treasury stock account after this transaction will be $_____ Also, if a quarter of the remaining un-issued share were issued at the prevailing price, common stock account will increase, decrease, or not change by_____ $_____
Preferred stock, $75 par value, 10,000 shares authorized, for $300,000
Common stock, no par, 700,000 shares authorized, 400,000 shares issued for $1,200,000
Treasury stocks amounted to $75,000 at a cost of $3 per share
Retained earnings amount to $800,000
With this information, answer the following questions:
The number of preferred stock issued and outstanding is 10,000.
Common stock will have a state value of $3 and the outstanding number of common stock is 400,000.
Total stockholder's equity will have a balance of $1,425,000.
If this entity decides to sell some of the 5,000 shares of treasury stocks when the price has changed by 100%, then the journal entry will debit or credit Cash for $15,000 debit or credit Treasury Stock for $15,000 and debit or credit to PIC account Paid-in Capital for $7,500.
The balance in the treasury stock account after this transaction will be $60,000.
Also, if a quarter of the remaining un-issued share were issued at the prevailing price, common stock account will increase, decrease, or not change by not change
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When Castle Corporation pays insurance premiums, the transaction is recorded as a debit to prepaid insurance. Additional information for the year ended December 31 is as follows:
Prepaid insurance at January 1 $51,500 Insurance expense recognized during the year 219,250 Prepaid insurance at December 31 61,450 What was the total amount of cash paid by Castle for insurance premiums during the year?
Multiple Choice
$229,200
$167,750
$209,300
$219,250
The total amount of cash paid by Castle for insurance premiums during the year is $209,300. (The correct answer is C).
The change in prepaid insurance amount represents cash paid for insurance premiums for the year. Castle Corporation paid $209,300 ($61,450 - $51,500 + $219,250) for insurance premiums during the year. Therefore the correct answer is C. The transaction is recorded as a debit to prepaid insurance. Prepaid Insurance is an asset account that increases when the business pays its insurance premiums in advance.
Prepaid insurance is a common asset account used when the business pays for its insurance coverage in advance. When the business initially pays for its insurance premiums, the accountant debits Prepaid Insurance and credits Cash. Each month, as the business uses up the insurance coverage, it reduces the balance in the prepaid insurance account (debit) and recognizes the insurance expense on its income statement (credit). Insurance premiums is the cost of a coverage plan for a specific period of time (usually one year) is referred to as insurance premiums, while prepaid insurance is an account that reflects insurance purchased in advance and that still has value as of a certain date.
Your question is incomplete as it misses the option letter, the complete question is:
When Castle Corporation pays insurance premiums, the transaction is recorded as a debit to prepaid insurance. Additional information for the year ended December 31 is as follows:
Prepaid insurance at January 1 $51,500 Insurance expense recognized during the year 219,250 Prepaid insurance at December 31 61,450 What was the total amount of cash paid by Castle for insurance premiums during the year?
Multiple Choice
A. $229,200
B. $167,750
C. $209,300
D. $219,250
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Which of the following account assignment categories is used when the company acquires a fixed asset?a. Cost center
b. Asset
c. Order
d. Sales order
e. Project
The account assignment category that is used when the company acquires a fixed asset is AUC (Assets under construction).What is an account assignment category?An account assignment category is used to classify accounting documents and other financial transactions based on various categories. It is utilized to link a specific accounting document to a specific account type or group of accounts.The following are some account assignment categories:-Cost center-Project-Asset under construction (AUC)-Order-Network-Production order (Process order)-AssetIn SAP, an AUC (Asset under construction) is an asset that is still under construction. AUC accounts are utilized to monitor the expenditures incurred during the construction process. These accounts are utilized to record and accumulate costs connected with the construction of fixed assets.To summarize, the account assignment category used when a company acquires a fixed asset is AUC (Assets under construction).
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If the variability of the returns on large-company stocks were to decrease over the long-term, you would expect which one of the following to occur as a result?
Increase in the risk premium
Increase in the average long-term rate of return
Decrease in the 68 percent probability range of returns
Increase in the standard deviation
Increase in the geometric average rate of return
If the variability of the returns on large-company stocks were to decrease over the long term, you would expect an increase in the average long-term rate of return as a result. A risk premium is an excess return over the risk-free rate. The correct option is B.
What is the rate of return on risk premium?Standard deviation is the spread of a set of data from its mean. The geometric average rate of return is the average rate of return that an investment earns over a given period of time.
Variability is a measure of the degree to which an investment's returns change over time. The more a given asset fluctuates in value, the greater its variability is. The risk premium is the excess return required by investors for taking on additional risk.
If the variability of the returns on large-company stocks were to decrease over the long term, you would expect an increase in the average long-term rate of return as a result.
By minimizing the uncertainty and variability in returns, this outcome improves investors' confidence and lowers the risk of long-term investment.
Therefore, the correct option is B.
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