Answer:
$12,000
Explanation:
Calculation for What Equity in Investee Income should BuyCo report for 2020
Equity income accrual $25,000
($100,000 × 25%)
Less: deferral of intra-entity unrealized gross profit ($3,000)
Less: Patent amortization ($10,000)
Equity in investee income $12,000
Calculation for Intra-entity unrealized gross profit
Profit within remaining inventory $12,000
× Ownership percentage 25%
Intra-entity unrealized gross profit 3,000
($12,000*25%)
Therefore Equity in Investee Income should BuyCo report for 2020 is $12,000
it is the process of enabling people to increase control and to improve their health.
Answer:
Health Promotion
Explanation:
Health promotion is the process of enabling people to increase control over, and to improve, their health. This is accomplished by building healthy public policies, creating supportive environments, and strengthening community action and personal skills. ...
Hope this helps!
If the adoption of a new product will reduce the sales of an existing product, then the projected sales should:_______.
a) reflect only the sales of the new product
b) include only the reduction amount.
c) equal the incremental increase in total sales.
d) be adjusted upward by the reduction amount.
Answer:
C. equal the incremental increase in total sales.
Explanation:
This analysis is mostly used in a lot of cases by companies in checking the profitability of all their dealings which is been done in segments here. In the case above equalling total sale increment comes on if reduction will be seen in the old stock value when the new product comes on board. This is seen to be done by companies mostly when it puts its attached statement from their income to the earned total.
Also, summations of this kind is also seen to manipulate the revenue change percentage which is dependent on when these events were been documented.
Which of the following is likely to INCREASE your monthly payment?
Increasing the size of your down payment
Qualifying for a lower APR
Decreasing the number of months in your term
Answer: the anwser is c
Explanation:
the decreasing the number of months is what shows you the payment issue
Which of the following statements is true about secondary markets?
A. A buyer may incur search costs and find a seller on their own through a direct search.
B. A broker may bring buyers and sellers together, charging a commission.
C. A dealer may sell and buy securities using his inventory, therefore reducing search costs. The dealer's return is the bid-ask spread.
D. An auction market allocates the selling shares to the highest bidder.
Answer:
True statement about secondary markets is:
B. A broker may bring buyers and sellers together, charging a commission.
Explanation:
In a typical secondary market, investors buy and sell outstanding shares among themselves. Acting as an intermediary between the stock exchange and the investor, a broker arranges the buying and selling of shares among investors, charging a commission for their work. They facilitate the sale and purchase of shares in the secondary market.
Enhance Reinsurance Company was reported to have offered $4.2 million. Find the return that the company was looking for.
Question:
Several years ago The Wall Street Journal reported that the winner of the Massachusetts State Lottery prize had the misfortune to be both bankrupt and in prison for fraud. The prize was $9,420,713 to be paid in 19 equal annual installments. (There were 20 installments, but the winner had already received the first payment.) The bankruptcy court judge ruled that the prize should be sold off to the highest bidder and the proceeds used to pay off the creditors.
a. If the interest rate was 8%, how much would you have been prepared to bid for the prize?
b. Enhance Reinsurance Company was reported to have offered $4.2 million. Use Excel to find the return that the company was looking for.
Answer:
a. The amount I would have been prepared to bid for the prize is $4,761,724
b. The rate of return (r) they (that is Enhance Reinsurance Company) was looking for is r = 9.81%.
Explanation (a):
I would be willing to pay approximately USD 4.76 Million for the lottery because my Present Value calculations show me that the total value of the money now is worth less than it will be by the time I have collected the last installment 19 years later.
Present Value in finance refers to the incumbent value of cash or money or stream of cash flows to be received at a future date and or time subject to a rate of return. Its formula is given as follows
PV = [tex]FV\frac{1}{(1+r)^{2} }[/tex]
Step 1:
If there were 20 installments and the winner had already received the first installment, then the remaining monthly installments (that is the Future Values) are given as follows:
Balance divided by 19 years
$9,420,713 / 19 = $495,827
Step 2:
PV=$495,827 [tex][\frac{1}{0.08} - \frac{1}{0.08 X (1.08^{19} )} ][/tex]
PV = $4,761,724
Explanation (b):
Given that Enhance Reinsurance Company (ERC) was willing to pay $4.2 Million, the rate of return they were looking at can be calculated as follows:
$4,200,000 = $495,827 x [tex][\frac{1}{r} - \frac{1}{r X (1+r)^{19} } ][/tex]
Computing the above with excel, we arrive at 9.81%.
Cheers!
The 90 days have now passed, and it is obvious to many policymakers that a recession exists because consumers are spending less. As a result of these data, the government passes a law that creates an office that will give everyone $3,000 they must spend. This office will take 9 months to create and for hiring the necessary personnel. How would the economy change in this second time period, where the data now have convinced all the policymakers that a recession exists and where the government passed a law to start expansionary fiscal policies, but the money hasn't been distributed yet
Answer:
In this second time period, people would have more positive expectations about their personal economy, and the overall economy, because they would expect the stimulus check of $3,000 to reach their accounts very soon.
This would make people a bit less cautious with their spending, despite the economic recession. Some people would even use a larger proportion of their regular salary to either pay outstanding debt, or to acquire more expensive consumer goods or assets, because they would set aside the $3,000 for daily expenses.
The owner of Genuine Subs, Inc., hopes to expand the present operation by adding one new outlet. She has studied three locations. Each would have the same labor and materials costs (food, serving containers, napkins, etc.) of $2.90 per sandwich. Sandwiches sell for $3.70 each in all locations. Rent and equipment costs would be $5,900 per month for location A, $5,950 per month for location B, and $6,200 per month for location C
a. Determine the volume necessary at each location to realize a monthly profit of $12,500·(Do not round intermediate calculations. Round your answer to the nearest whole number.) Location Monthly Volume
b-1. If expected sales at A, B, and C are 23,500 per month, 26,500 per month, and 25,500 per month, respectively, calculate the profit of the each locations? (Omit the "$" sign in your response.) Location Monthly Profits
b-2. Which location would yield the greatest profits?
a) Location A
b) Location C
c) Location B
Answer:
a. Determine the volume necessary at each location to realize a monthly profit of $12,500·
contribution margin per sandwich = $3.70 - $2.90 = $0.80
break even point location A = ($5,900 + $12,500) / $0.80 = 23,000 unitsbreak even point location B = ($5,950 + $12,500) / $0.80 = 23,062.5 ≈ 23,063 unitsbreak even point location C = ($6,200 + $12,500) / $0.80 = 23,375 unitsb-1. If expected sales at A, B, and C are 23,500 per month, 26,500 per month, and 25,500 per month, respectively,
profit location A = (23,500 x $0.80) - $5,900 = $12,900profit location B = (26,500 x $0.80) - $5,950 = $15,250profit location C = (25,500 x $0.80) - $6,200 = $14,200b-2. Which location would yield the greatest profits?
c) Location BIn which scenario do most homeowners use the equity in their home?
to pay off student loans
when they have children
when they sell it to buy a new one
when they're threatened with foreclosure
Answer: to pay off loans
Short-term notes payable: Rarely involve interest charges. Are a conditional promise to pay. Can be issued in return for money borrowed from a bank. Are not negotiable. Cannot replace an account payable.
Answer: Can be issued in return for money borrowed from a bank.
Explanation:
Short term notes payable are liabilities issued by a company indicating that they have an obligation to pay a certain amount (including interest) within the a year which makes it a current liability.
It can be issued in lieu of money borrowed from a bank as well as an accounts payable.
Atlantic Fisheries has an EBIT of $3,280, depreciation of $1,850, cost of goods sold of $6,920, dividends paid of $750, interest expense of $860, and sales of $6,500. What is the taxable income
Answer: $2420
Explanation:
The following can be deduced from the question:
EBIT = $3,280
Depreciation = $1,850
Cost of goods sold = $6,920
Dividends = $750
Interest expense = $860,
Taxable Income will be calculated as:
= EBIT - Interest Expense
= $3280 - $860
= $ 2420
A corporation has annual sales of $20 million, total assets of $6 million, a debt ratio of 60%, depreciation expenses of $100,000, and a tax rate of 40%. The corporation's total stockholders' equity is equal to: Group of answer choices $2,800,000 $1,800,000 $2,400,000 $5,600,000
Answer:
$2,400,000
Explanation:
Calculation for what The corporation's total stockholders' equity is equal to
Total stockholders' equity=$6million -(.60 * $6million)
Total stockholders' equity = $6million - 3.6 million
Total stockholders' equity = $2.4million
Therefore The corporation's total stockholders' equity is equal to $2,400,000
how do i make spaghetti?
Consider an incentive system that simply rewards production output. How can this system hurt an organization with a distinct bottleneck operation? What part of the organization will be hurt the most?
Answer:
The department with the bottleneck output will suffer the most.
Explanation:
A bottleneck operation is a point in the organization where everything is filtered, for example in the textile industry, it is usually where the clothes are branded, meaning the tags are sewed or printed into the clothing, and no matter how hard the other departments work, that bottleneck part of the operation can only do so much, so when you reward output for other departments instead of efficiency or searching for other parameters the only thing you'll end up with is a bottleneck department filled up with work to do and no real change in your final production output.
b. Using the midpoint method (show your work), calculate the price elasticity of demand when the price of a barrel of gosum berries rises from $70 to $80. What kind of elasticity is this value that you computed for the price elasticity of demand and what does it mean for how demand will change based on a change in price within this price range?
Answer:
no
Explanation:
Which of the following describes a saturated market?
A. The prices of competitors are very high.
B. Many people want this product and haven't purchased it yet.
C. Most potential buyers have not heard of the product and don't know it exists.
D. Most potential buyers already have a product that satisfies this need or want.
will give brainliest
Answer:
D. Most potential buyers already have a product that satisfies this need or want.
Explanation:
A saturated market is one that is not creating additional demand for a product. It means demand for a particular product has reached its optimal level. In a saturated market, the sales growth of a product stagnates. All potential buyers have a product they are happy to consume. New entrants will have a challenge penetrating a saturated market.
Answer:
D. Most potential buyers already have a product that satisfies this need or want.
Explanation:
What are the portfolio weights for a portfolio that has 145 shares of Stock A that sell for $45 per share and 110 shares of Stock B that sell for $27 per share
Answer:
Portfolio weight A = 0.6872
Portfolio weight B = 0.3128
Explanation:
Calculation for What are the portfolio weights
First step is to calculate the Top Value
Top Value = 145(45) + 110(27)
Top Value = 9495
Calculation for Portfolio weight A
Portfolio weight A = 145(45)/9495
Portfolio weight A = 0.6872
Calculation for Portfolio weight B
Portfolio weight B = 110(27)/9495
Portfolio weight B = 0.3128
Therefore the portfolio weights are :
Portfolio weight A = 0.6872
Portfolio weight B = 0.3128
1. What are the four components of the output expenditure model? Explain each of the four in your own words.
Answer:
The four components of gross domestic product are personal consumption, business investment, government spending, and net exports. 1 That tells you what a country is good at producing. GDP is the country's total economic output for each year. It's equivalent to what is being spent in that economy.
Explanation:
Why should a global marketing manager consult local attorneys in other countries before creating a marketing campaign abroad?
Which group contains only liabilities? Select one: a. Bank overdraft, trade payables, unpaid wages b. Trade payables, cash at bank, unpaid rates c. Trade payables, inventory, unpaid wages d. Bank loan, trade payables, prepaid rent
QUESTION (2)
What is supply chain Management (Explain in details )?
Answer:
The management of the flow of goods and services, involved the movement and storage of raw materials of work-in-process inventory and of finished good as well as end to end other fulfilment from point of origin to point of consumption.
10 POINTS HELP HELP HELP
Compute the direct material costs for the year.B.Compute the indirect labor costs for the year.C.Compute the total factory overhead costs for the year.D.Compute the cost of goods manufactured for the year.E.Compute the cost of goods sold for the year.F.Compute the gross profit for the year.
Answer:
Hi, your question is incomplete, I tried to look for it online but i could not find it.
Here are some explanations on ways to calculate the required amounts.
Part A
Direct Material Cost
This is a component used in manufacturing a product and is found in the manufacturing account.
To calculate the Direct Material costs, we deduct the Ending Material Inventory amount from the Total of Beginning Material Inventory and Material Purchases made during the period
Part B
Indirect Labor Cost
This is also a component found in the manufacturing Account.
Indirect labor costs are calculated by deducting the direct labor costs from the total labor costs incurred during the manufacturing period.
Part C
Total Overheads Costs
This is also a component found in the manufacturing Account.
Overheads are manufacturing expenses that can not be directly traced to the product being produced. Examples are electricity, water and factory rent. So add up these expenses to arrive at the amount overheads.
Part D
Costs of Goods Manufactured
This is an amount reported in the manufacturing account.
To calculate the cost of goods manufactured we add the Opening Work In Process Inventory to the Total Manufacturing Costs incurred during the period then deduct the Ending Work In Process Balance.
Part E
Cost of Goods Sold
This is an amount reported in the Trading account for profit determination.
To calculate the Cost of Goods Sold, we add the Beginning Finished Inventory Balance to the amount of Cost of Goods Manufactured then deduct the Ending Balance in Finished Inventory.
Part F
Gross Profit
This is an amount reported in the Trading account for profit determination.
To calculate the Gross Profit , we deduct the Cost of Goods Sold from the Total Sales made during the Trading period.
The United States has maintained a trade embargo against Cuba since February 1962 in response to actions taken by the Cuban government. The primary idea behind an embargo of this nature is to punish to Cuban government by restricting trade with a large economy such as that of the United States, but embargos tend to have other repercussions as well. What I'd like you to do, in 400-600 words, is explain what some of these repercussions have been, who they have impacted, and briefly explain whether or not you feel that the embargo is beneficial in the year 2020.
Answer:
In 1962, during the government of J.F. Kennedy, the United States imposed a trade embargo against Cuba, by means of which American companies and individuals were prohibited from trading or investing (even traveling) to Cuba, in retaliation for the actions carried out by the government of Fidel Castro, that he had expropriated assets of American companies and individuals on the island, in addition to aligning himself politically with the Soviet Union and threatening the national security of the United States.
This embargo has prevented Cuba from accessing a large series of goods and services that were provided directly by American companies, or with American components by companies from other nations. This has led to a serious shortage of the Cuban domestic market, causing an economic and social crisis in the Caribbean nation.
However, on the political level, this embargo has not achieved its objective of weakening the Cuban dictatorial government, but rather allows it an excuse to justify the failure to fulfill its objectives.
Assuming no change in the nominal wage and a significant increase in human capital, the output per worker will
Answer:
B. Increase and the real wage will increase.
Explanation:
In the case when there is a rise in population so the labor supply also rises and the equilibrium labor quantity would also rise
So it would result in rise in capital market due to which the labor would become more productive and there is a rise in the labor demand
This leads to greater real wages rate and rise in full labor quantity employment
Hence, the option b is correct
How did business and government use the concept of personal liberty to attack unions and the freedoms of American labor
Answer:
they believed collective bargaining infringed on the liberties of management and argued that prosperity depended on complete freedom for business
Explanation:
that's it
Consider Pacific Energy Company and U.S. Bluechips, Inc., both of which reported earnings of $966,000. Without new projects, both firms will continue to generate earnings of $966,000 in perpetuity. Assume that all earnings are paid as dividends and that both firms require a return of 12 percent.
a.
What is the current PE ratio for each company?
b.
Pacific Energy Company has a new project that will generate additional earnings of $116,000 each year in perpetuity. Calculate the new PE ratio of the company.
c.
U.S. Bluechips has a new project that will increase earnings by $216,000 in perpetuity. Calculate the new PE ratio of the firm
Answer:
a. 8.333
b. 9.334
c. 10.196
Explanation:
a. To find price = earnings
R
price = 966,000
.12
price = $8,050,000
P/E ratio = price
earnings
P/E ratio = 8,050,000
966,000
P/E ratio = 8.3333
b. Price = new earnings + current earnings
R
Price = 116,000 + 966,000
.12
Price = 9,016,666.6666
P/E ratio = New Price
initial earnings
P/E ratio = 9,016,666.6666
966,000
P/E ratio = 9.334
c. Price = new earnings + current earnings
R
Price = 216,000 + 966,000
.12
Price = 9,850,000
P/E ratio = New Price
initial earnings
P/E ratio = 9,850,000
966,000
P/E ratio = 10.196
Over the past 40 years, technological advances have reduced the cost of computer chips. This has led to _____ in the supply of computers, causing the price of computers to _____. Because computers and computer software are _____ , this change in price causes the demand for computer software to_____. However, computers and typewriters are _____ , so the charge in the price of computers _____ the demand for typewriters.
Answer:
an increase
fall
complements
increase
substitutes
reduces
Explanation:
computer chips are inputs used in the production of computers. If the cost of computer chips decreases, the cost of making computers reduces. This would increase the supply of computers.
When supply exceeds demand, price falls
Complement goods are goods used or consumed together. computers and computer software are complement goods. Due to the rise in computers, the demand for computer software would increase also.
Substitute goods are goods that can be used in place of other goods. Computers and typewriters are substitutes. Since the demand for computers have increased due to the fall in price of computer chips, less typewriters would be demanded for .
Which of the following is true of marginal product? Select one:
a. When marginal product is negative, total product is increasing
b. When marginal product is increasing, total product is decreasing.
c. When marginal product is positive and decreasing. total product is decreasing.
d. When marginal product is positive and decreasing. total product is increasing by increasing amounts.
e. When marginal product is increasing, total product is increasing by increasing amounts.
Answer: When marginal product is increasing, total product is increasing by increasing amounts.
Explanation:
The marginal product is simply referred to as the additional output that is created due to the fact that an additional input has been placed into that particular organization or company.
The option thst is true of marginal product is option E "When marginal product is increasing, total product is increasing by increasing amounts".
We should also note that when the marginal product is reducing, but is still positive, then the total product will be increasing even though it'll now be at a decreasing rate.
Corporate philanthropy: Group of answer choices is defined by none of the above is not a way that many companies today express their social responsibilities can be either a cash or a noncash donation is defined as the corporation's responsibility to satisfy the needs of its investors is the practice of limiting investments to companies that behave in accordance with the investors' code of ethics
Answer:
None of the above.
Explanation:
Philanthropy, whose initial meaning is "love for humanity", is the practice through which the private sectors allocate part of their economic funds to charity or the performance of public works, through foundations or charitable funds that finance works that meet the needs of society or a sector of it. In this context, corporate philanthropy is the exercise of this type of activity by business or corporate groups, which use part of their earnings for the development of charities or public works.
When reviewing a Profit and Loss report in QuickBooks Online, which report option will quickly show a client income and expenses incurred over the past two years? > Collapse / expand Compare another period > Year-to-date (YTD) Compare another period > Previous year (PY) Group by O Sort
Answer: Compare another period > Previous year (PY)
Explanation:
QuickBooks Online is an accounting service provided to small and medium businesses to help them with their accounting needs even with the most rudimentary of knowledge.
Should you want to view a client's income and expenses over the past two years, use the compare another period and then the Previous year option. The income and expenses will be shown for the current year and the last one making it 2 years.