on march 2, teal mountain company sold $851,800 of merchandise to sandhill company on account, terms 3/10, n/30. the cost of the merchandise sold was $537,700. on march 6, sandhill company returned $103,700 of the merchandise purchased on march 2. the cost of the merchandise returned was $68,000. on march 12, teal mountain company received the balance due from sandhill company.

Answers

Answer 1

The net amount left with teal mountain is $722,068.

The amount of the purchase is $851,800. The amount of discount allowed is computed as follows:

Amount of Discount = (3% * $851,800) = $25,554.

Discount Period = 10 days from March 2.

The net amount of accounts receivable, therefore, is:

Net Amount = (Total Amount - Amount of Discount) = ($851,800 - $25,554) = $826,246.

The cost of goods sold is $537,700, and the gross profit is $314,100.

The Sandhill Company's purchase return is $103,700, with a cost of $68,000.

As a result, the net amount returned is $35,700, and the gross profit on the return is $35,000.

The net sales are computed as follows:

Net Sales = (Total Sales - Sales Return) = ($851,800 - $103,700) = $748,100.

The total gross profit is computed as follows:

Gross Profit = (Gross Profit on Sales - Gross Profit on Return) = ($314,100 - $35,000) = $279,100.

The balance due after the deduction of the discounts and purchase returns is $744,400. This implies that the Sandhill Company may take a discount of $22,332 ($744,400 * 3%), lowering the balance due to $722,068.

If the Sandhill Company did not take the discount, it would have to pay the balance due in full ($744,400) on April 1.

The Teal Mountain Company received the balance due of $722,068 on March 12, with a net amount of $718,435. This amount is calculated as follows:

Net Amount = (Balance Due - Discount) = ($744,400 - $22,332) = $722,068.

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Related Questions

explains why employees are highly motivated if they believe thsat working hard will lead to high performance and ultimately desired outcomes

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Employees are highly motivated when they believe their hard work will lead to high performance and ultimately to desired outcomes because it creates a clear and meaningful connection between their efforts,

Employees are highly motivated when they believe that working hard leads to high performance and desired outcomes because this belief establishes a strong connection between their efforts and the rewards they receive. This relationship can be understood through three key terms: Expectancy, Instrumentality, and Valence.
1. Expectancy: This refers to an employee's belief that their efforts will result in a certain level of performance. If they think working hard will lead to high performance, they are more likely to put in extra effort. 2. Instrumentality: This is the perceived link between performance and outcomes or rewards. Employees are more motivated when they believe that high performance will lead to valuable rewards, such as promotions, recognition, or bonuses.
3. Valence: This refers to the value an employee places on the rewards or outcomes. If the outcomes are highly valued by the employee, they will be more motivated to achieve high performance. In summary, employees are highly motivated when they believe their hard work will lead to high performance and ultimately to desired outcomes because it creates a clear and meaningful connection between their efforts, their achievements, and the rewards they receive.

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sometimes a project is terminated before its normal completion. T/F

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True, sometimes a project is terminated before its normal completion. This can happen due to various reasons, such as budget constraints, changes in organizational priorities, a lack of resources, or unforeseen circumstances. It is important for project managers to recognize when a project may not reach its intended goals and to make informed decisions on whether to continue or terminate the project.

In such cases, conducting a thorough evaluation of the project's progress and feasibility can help determine the best course of action. Overall, early project termination is not uncommon, and it is essential for organizations to manage these situations effectively to minimize negative impacts and make the best use of available resources.

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Assume a closed economy with no government and a fixed aggregate price level and constant interest rate. Furthermore, assume that the country's consumption function is C = 200 + 0.75YD, where YD is disposable income, and C is consumption, and that planned investment is $75. What is the income–expenditure equilibrium GDP for this country?
$200
$275
$900
$1,100

Answers

The income-expenditure equilibrium GDP for this country is $900.

In a closed economy with no government, the income-expenditure equilibrium occurs when Aggregate Demand (AD) equals Aggregate Supply (AS). AD is the sum of Consumption (C) and Investment (I).

Given the consumption function C = 200 + 0.75YD, and planned investment I = $75, the equation for AD becomes:

AD = C + I = (200 + 0.75YD) + 75

Since there is no government, YD equals GDP (Y). Therefore, the equation becomes:

AD = 200 + 0.75Y + 75

In equilibrium, AD = AS, and in this case, AS = Y. So, we have:

Y = 200 + 0.75Y + 75

To find the equilibrium GDP, solve for Y:

0.25Y = 275

Y = 1100

So, the income-expenditure equilibrium GDP for this country is $900.

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allison finnegan worked 38 hours this week and earns regular wages of $8.20/hour. her gross earnings for the week are

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Allison Finnegan's gross earnings for the week are $311.60.

Allison Finnegan's gross earnings for the week can be calculated by multiplying her regular hourly wage by the number of hours she worked.

To find Allison Finnegan's gross earnings for the week, we can use the formula:

Gross Earnings = Regular Hourly Wage x Number of Hours Worked

Given that Allison worked 38 hours this week and earns regular wages of $8.20/hour, we can substitute these values into the formula:

Gross Earnings = $8.20/hour x 38 hours

Simplifying the calculation, we get:

Gross Earnings = $311.60

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Retained Earnings is analyzed when preparing the statement of cash flows to help determine the amount of ______. (Select all that apply.)
a) dividend
b) payments c) under financing d) activities

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The a) dividend payments, as Retained Earnings represents the accumulated profits of a company that have not been distributed to shareholders in the form of dividends.

By analyzing the change in Retained Earnings from the beginning to the end of the period in the statement of cash flows, one can determine how much of the net income was retained by the company and how much was distributed as dividends.  This information is important for investors and analysts to understand the company's dividend policy and potential for future dividend payments.

This helps determine the amount of dividends paid during the period, as well as the financing activities conducted by the company, such as issuing stock or repaying loans.

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Your boss asks you to review an option to lease an equipment storage facility that the firm needs. You are to compare it with the purchase of the facility. The following information are pertinent to your decision: - The facility will be needed for twelve years - If the facility is leased, the lessor will conduct all maintenance: if purchased, your firm must conduct maintenance - Facility maintenance is expected to cost $85000 per year - The cost to lease the facility is $800000 per year at the beginning of each year - The purchase price of the facility is $6000000 and the market value at the end of twelve years is expected to be $3000000 - The before-tax cost of debt is 8%, and the tax rate is 30% - The company's current EBIT is $1800000 (before leasing or purchasing the facility). Assuming that the facility has a twelve-year depreciation life for tax purposes (i.e. it can be fully depreciated over twelve-years), compute the NPV for each option and based on the cost, indicate your decision (round to nearest $1.000).

Answers

To compare the lease and purchase options for the equipment storage facility, we need to calculate the Net Present Value (NPV) for each option.

For the lease option:

The annual lease cost is $800,000 for twelve years. Considering the before-tax cost of debt (8%) and the tax rate (30%), the after-tax lease cost is $[tex]800,000 * (1 - 0.3) = $560,000[/tex] per year.

Using the NPV formula and discounting the cash flows at the cost of debt, we calculate the NPV for the lease option:

Net Present Value_lease = - Initial cost + PV of cash inflows

= -[tex]$560,000 * [(1 - (1 + 0.08)^-12) / 0.08][/tex]

= -$4,676,126

For the purchase option:

The initial cost is $6,000,000, and the salvage value at the end of twelve years is expected to be $3,000,000. We can calculate the annual depreciation expense as ($6,000,000 - $3,000,000) / 12 = $250,000.

The after-tax cost of maintenance is $85,000 per year, considering the tax rate of 30%. The cash flows for the purchase option are:

Year 1-12: -Maintenance cost: $85,000

-Depreciation tax shield: $250,000 * 0.3 = $75,000

Using the Net Present Value formula and discounting the cash flows at the cost of debt, we calculate the NPV for the purchase option:

NPV_purchase = -Initial cost + PV of cash inflows

=[tex]-$6,000,000 + ($85,000 + $75,000) * [(1 - (1 + 0.08)^-12) / 0.08][/tex]

= [tex]-$4,664,157[/tex]

Comparing the NPVs, the NPV for the lease option is -$4,676,126, and the NPV for the purchase option is -$4,664,157. Since the NPV for the purchase option is slightly higher (less negative), it would be the recommended decision based on cost.

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Demand for a popular athletic shoe is nearly constant at 800 pairs per week for a regional division of a national retailer. The cost per pair is $54. It costs $72 to place an order, and annual holding costs are charged at 22% of the cost per unit. The lead time is two weeks. (52 weeks per year)
What is the total annual cost?

Answers

The total annual cost for the athletic shoe is $71,712. To calculate the total annual cost, we need to consider the annual ordering cost and the annual holding cost.

The annual ordering cost can be calculated by dividing the annual demand by the order quantity and then multiplying it by the ordering cost. In this case, the order quantity is 800 pairs per week, so the annual order quantity is 41,600 pairs. Therefore, the annual ordering cost is ($72/order) x (41,600/800) orders = $3,744.

The annual holding cost is calculated by multiplying the average inventory by the holding cost per unit. The average inventory can be calculated by dividing the order quantity by two, since the lead time is two weeks. Therefore, the average inventory is (800 pairs/week) x (2 weeks/lead time) = 1,600 pairs. The holding cost per unit is 22% of the cost per unit, which is ($54 x 22%) = $11.88. Therefore, the annual holding cost is ($11.88/unit) x (1,600 pairs) = $19,008.

The total annual cost is the sum of the annual ordering cost and the annual holding cost, which is $3,744 + $19,008 = $22,752.

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Grainger W.W. Inc sells computer equipment to a firm in Japan. The total price of computer equipment is 172,650 in U.S. dollars. Approximately, how much the firm in Japan will pay to Grainger W.W. Inc in Japanese yens if one unit of Japanese yen is currently equal to $0.01 (expressed as $/Japanese yen)?

Answers

The firm in Japan will pay 17,265,000 Japanese yen for the computer equipment.

To calculate the payment in Japanese yen for the computer equipment, we will use the given exchange rate and the total price in U.S. dollars.

Total price in U.S. dollars: $172,650
Exchange rate: $0.01 per Japanese yen

To find the equivalent amount in Japanese yen, we will divide the total price in U.S. dollars by the exchange rate:

Payment in Japanese yen = $172,650 / $0.01 per Japanese yen = 17,265,000 Japanese yen

So, the firm in Japan will pay Grainger W.W. Inc approximately 17,265,000 Japanese yen for the computer equipment.

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Customer Lifetime Value Exercise
Tess is the development manager for an art museum in Boston. She is in the middle of a large campaign to raise $50 million for a building expansion project. Her development budget was tight and Tess knew that she needed to attract and acquire the right kind of donor to the campaign. She was trying to decide which (group) of donor to cultivate.
One choice based on looking at her STP approach and associated analysis was "Dorothy." Dorothy is very interested in art. She desires to visit an art museum at least one weekend day a month to enjoy the regular collection, and the special exhibitions. This (group) of customer(s) was likely to give in smaller increments, typically about $500 per year, but based on analysis, has a retention rate of 60%.
The other choice was "Pauline." Pauline is interested in art as a way to communicate her social standing. She desires to visit an art museum during special events held every few months where she can feel special and socialize/network with others. This (group) of customer(s) was likely to give big gifts, on average about $5,000 per year, but tend to contribute to other causes as well. Based on analysis, this customer (group) has a typical retention rate of 30%.
Dorothy is easier to acquire as a donor. Tess will invite her to a black tie event associated with a special exhibition which cost the museum $100 per person, and then she would likely become a donor.
Acquiring Pauline as a donor requires more expense and effort. Tess will personally cultivate her with dinners, special tours for her and her friends with curators, and at exclusive special events (such as the dedication of a donor wall) that will acknowledge her contribution. In total, her acquisition as a donor will cost the museum $4,500 per person.
In addition, for every donation dollar received from a customer, Tess spends $0.15 in variable costs.
Given her limited development budget, Tess would like to use her resources wisely and acquire the right donor (group). Assuming a 5 year lifetime period and 12 percent discount rate, which consumer (group) is more profitable? Which other factors should Tess consider?
Please calculate the customer lifetime value for each of these and decide which group is more profitable to target

Answers

The more profitable consumer group for Tess to target is Dorothy, the art enthusiast who visits the museum regularly and gives smaller increments of around $500 per year.

Calculating the customer lifetime value (CLV) for each group will help determine their profitability. For Dorothy, the retention rate is 60% over a 5-year period. Assuming a 12% discount rate, we can calculate the CLV using the formula:

CLV = (Contribution per year * Retention rate) / (1 + Discount rate - Retention rate)

= ($500 * 0.6) / (1 + 0.12 - 0.6)

≈ $223.21

For Pauline, the retention rate is 30%. Using the same formula, we can calculate her CLV:

CLV = ($5,000 * 0.3) / (1 + 0.12 - 0.3)

≈ $1,689.08

Comparing the CLV values, Dorothy's CLV is $223.21, while Pauline's CLV is $1,689.08. Therefore, targeting Dorothy as a donor would be more profitable for Tess given her limited development budget.

In addition to CLV, there are other factors Tess should consider. These include the long-term potential for cultivating relationships with donors, the likelihood of referrals and word-of-mouth marketing from each group, the impact of their contributions beyond monetary value (e.g., influence, networking opportunities), and the alignment of their values with the museum's mission. Assessing these factors will help Tess make a more informed decision and maximize the impact of her campaign.

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which of these capital budgeting techniques use time as their unit of measurement? select all that apply.multiple select question.
a. profitability index (pi)
b. modified internal rate of return (mirr)
c. discounted payback (dpb)
d. payback (pb)

Answers

The capital budgeting techniques that use time as their unit of measurement are the discounted payback (DPB) and the payback (PB) methods. Both of these methods focus on the time it takes for a project to generate enough cash flow to recover the initial investment made.

The payback method calculates the time it takes for the initial investment to be recovered based on the expected cash flows generated by the project. It is a simple and intuitive method that is easy to understand and use. However, it does not take into account the time value of money, which can lead to incorrect investment decisions.
The discounted payback method, on the other hand, takes into account the time value of money by discounting the expected cash flows using a predetermined discount rate. This method calculates the time it takes for the discounted cash flows to recover the initial investment made. It provides a more accurate measure of the project's profitability and takes into account the time value of money.

The profitability index (PI) and the modified internal rate of return (MIRR) are both capital budgeting techniques that do not use time as their unit of measurement. The PI calculates the ratio of the present value of the expected cash flows to the initial investment, while the MIRR calculates the rate of return that makes the net present value (NPV) of the cash inflows equal to the initial investment.
In summary, the capital budgeting techniques that use time as their unit of measurement are the discounted payback (DPB) and the payback (PB) methods.

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The capital Budgeting techniques that use time as their unit of measurement are discounted payback (dpb) and payback (pb).Explanation:Payback and discounted payback methods of capital budgeting use time as their unit of measurement.

Payback method is a capital budgeting technique that identifies the length of time required to recover the original investment. The method does not consider any returns after the initial investment is recovered. Payback is calculated by dividing the initial investment by expected annual cash inflows. If an investment returns a cash inflow each year, then this can be the number of years required for the investment to pay off.Discounted payback is a modified version of payback that takes into account the time value of money. Discounted payback, unlike regular payback, takes into account that a dollar today is worth more than a dollar in the future.

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A profit maximizing firm in a competitive market is currently producing 150 units of output at a price of $15. Average total cost is $8 and fixed cost is 200$. What is this firm’s profit?
a.$1,050
b.$1,800
c.$950
d.$2,000

Answers

Currently, 150 units of output are being produced at a cost of $15 by a profit-maximizing company in a cutthroat market. With fixed costs of $200 and an average total cost of $8. The firm's profit is $1,050. Here option A is the correct answer.

To determine the profit of a profit-maximizing firm in a competitive market, we need to consider the firm's total revenue and total cost.

Total revenue (TR) is calculated by multiplying the price (P) by the quantity of output (Q). In this case, the firm is producing 150 units at a price of $15, so TR = $15 × 150 = $2250.

Total cost (TC) is the sum of fixed costs (FC) and variable costs (VC). Fixed costs do not change with the level of output, so in this case, FC = $200. Average total cost (ATC) is calculated by dividing total cost by the quantity of output, so ATC = TC / Q = $8. Therefore, TC = ATC × Q = $8 × 150 = $1200.

To calculate profit, we subtract the total cost from total revenue: Profit = TR - TC = $2250 - $1200 = $1050.

Therefore, the firm's profit is $1050. The correct answer is option a. $1,050.

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Which of the following is a recommended switch security best practice?
a. Disable all switch ports daily and enable each port when requested by users.
b. Disable all unused ports.
c. Enable all switch ports after the switch firmware has been updated.
d. Reboot switches daily.

Answers

The most appropriate  among the given choices is b.disable all unused ports.

the recommended switch security best practice among the s provided is:

b. disable all unused ports.

disabling all unused ports on a switch is a commonly recommended security practice. by doing so, you reduce the potential attack surface and minimize the risk of unauthorized access or malicious activities through unused or unmonitored switch ports. it helps prevent unauthorized devices from connecting to the network and limits the potential for network intrusions.

option a, which suggests disabling all switch ports daily and enabling them when requested by users, is not practical and can cause significant disruption to network operations. it is generally not recommended to disable and enable switch ports on a daily basis.

option c, enabling all switch ports after the switch firmware has been updated, does not directly address switch security best practices. while keeping firmware up to date is important for security, enabling all switch ports after the update is not a specific security practice.

option d, rebooting switches daily, is unnecessary for switch security. rebooting switches should be done when necessary, such as after firmware updates or to address specific issues, rather than as a daily routine.

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gideon company uses the allowance method of accounting for uncollectible accounts. on may 3, the gideon company wrote off the $2,500 uncollectible account of its customer, a. hopkins. the entry or entries gideon makes to record the write off of the account on may 3 is:

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Gideon Company, using the allowance method of accounting for uncollectible accounts, records the write-off of a $2,500 uncollectible account of customer A. Hopkins on May 3.

To record the write-off of the uncollectible account of $2,500 from customer A. Hopkins on May 3, Gideon Company will make two entries. The first entry involves reducing the accounts receivable and crediting the specific customer's accounts receivable. The second entry involves reducing the allowance for doubtful accounts and debiting the same amount.

The first entry will be:

Debit: Allowance for Doubtful Accounts (or Bad Debt Expense)

Credit: Accounts Receivable - A. Hopkins

This entry removes the amount of the uncollectible account from the accounts receivable balance, recognizing that the debt is no longer expected to be collected. The second entry will be:

Debit: Allowance for Doubtful Accounts (or Bad Debt Expense)

Credit: Accounts Receivable - A. Hopkins

This entry decreases the allowance for doubtful accounts, as the specific uncollectible account has now been written off. By making these entries, Gideon Company properly accounts for the write-off of the uncollectible account under the allowance method, ensuring accurate financial reporting and reflecting the realistic value of accounts receivable.

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For each of the following definition select the correct term Definition The majority of banks' assets are in the form of The risk that depositors will demand more cash than banks can immediately provi

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The risk that depositors will demand more cash than banks can immediately provide.

Correct term: Liquidity risk

Liquidity risk refers to the risk faced by banks or financial institutions when they are unable to meet their short-term obligations or fulfill the demands of depositors for cash. It arises when depositors or creditors seek to withdraw their funds or demand immediate repayment, and the bank does not have sufficient liquid assets or available cash to meet these obligations. Liquidity risk can lead to financial distress and potentially result in bank runs or insolvency if not managed effectively.

Therefore, the correct term for the given definition is liquidity risk.

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Kickstarter, a global crowdfunding platform, states that its purpose as an organization is to help bring creative projects to life." This is the company's Multiple Choice o mission statement o belief statement o values statement o code of ethics

Answers

Mission statement. The statement provided by Kickstarter, which states their purpose as an organization to help bring creative projects to life, aligns with the definition and purpose of a mission statement.

A mission statement is a concise statement that expresses the purpose or reason for an organization's existence and outlines its primary goals or objectives. It serves as a guiding principle and helps to define the organization's focus and direction. In this case, Kickstarter's mission statement reflects their commitment to supporting and enabling creative projects through their crowdfunding platform.

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assume both players have the same discount factor d, which is between 0 and 1.
(a) what is the total payoff (sum of discounted payoffs in each period) each player gets if both players choose the strategy always c? what is the total payoff (sum of discounted payoffs in every period) each player gets if both players choose the strategy always d?
(b) describe what a grim-trigger strategy is.
(c) for what values of discount factor d , will the pair of grim-trigger strategies be a subgame perfect equilibrium?

Answers

For the pair of grim-trigger strategies to be a subgame perfect equilibrium, the discount factor (d) must be sufficiently high to ensure that the deterrent effect of the punishment outweighs the short-term gains from defection.

(a) If both players choose the strategy always "c," they will receive a constant payoff in each period. Let's denote this payoff as "x." Since the discount factor is the same for both players, the total discounted payoff for each player will be a geometric series:

Player 1's total discounted payoff [tex]= x + dx + d^{2x} + d^{3x} + ...[/tex]

Player 2's total discounted payoff [tex]= x + dx + d^{2x} + d^{3x} + ...[/tex]

This is an infinite geometric series, and its sum can be calculated using the formula for the sum of an infinite geometric series:

Total discounted payoff for each player = x / (1 - d)

If both players choose the strategy always "d," the payoffs will be zero in each period. Therefore, the total discounted payoff for each player will be zero.

(b) A grim-trigger strategy is a strategy used in repeated games where a player cooperates as long as the other player cooperates but "triggers" a severe punishment if the other player deviates from cooperation. The essence of a grim-trigger strategy is to maintain cooperation through the threat of severe and lasting punishment in response to any deviation.

The grim-trigger strategy involves two stages: a cooperative stage and a triggered punishment stage. Initially, players cooperate and receive a mutually beneficial payoff. However, if at any point one player deviates from cooperation, the other player switches to a punishment strategy, causing the defector to receive a significantly worse outcome.

Once the punishment is triggered, the player remains in the punishment stage indefinitely, irrespective of the other player's subsequent actions. The threat of being trapped in the punishment stage acts as a deterrent to defection and encourages long-term cooperation.

(c) For the pair of grim-trigger strategies to form a subgame perfect equilibrium, the discount factor (d) must be sufficiently high. In a repeated game, a subgame perfect equilibrium is a strategy profile that specifies optimal actions at every possible decision point, including any subgames that arise.

In the case of grim-trigger strategies, the threat of punishment must be credible and strong enough to deter defection. This requires that the discounted future payoffs from continued cooperation outweigh the immediate gains from deviating.

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Which of the following would be treated as passive activity income under the passive activity loss rules? a. Dividend income from a taxpayer's investment portfolio.
b. Income from a taxpayer's limited partnership interest. c. Commissions received from selling vacation property.
d. Rental income from real estate in which the taxpayer materially participated as a real estate professional.

Answers

Income from a taxpayer's limited partnership interest is the correct answer. Passive activity income is typically derived from business activities in which the taxpayer does not participate materially.

What exactly are passive income and passive losses?

A passive activity is one that generates income or losses without requiring the taxpayer to participate materially. For instance, if you own farmland but rent it to a farmer who does all of the work, you are earning passive income. Passive losses cannot be offset by earned income.

Dividend income from an investment portfolio (a) and commissions from the sale of a vacation home (c) are not considered passive activity income unless the taxpayer meets specific criteria for material participation in those activities.

Therefore, Rental income from real estate in which the taxpayer materially participated as a real estate professional (d) would also be treated as active income rather than passive income.

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Dallas Mfg produces combines at an inventory cost of $35,000 each that sell for $42,000 each. For credit-approved customers, Dallas leases the combines for $8,000 per year for five years. The combines are guaranteed to last four years and generally have a six-year life. Collection is predictable and reasonably assured. Additionally, the lessee is aware of all costs to be incurred under the lease that will not be reimbursed by the lessor. Dallas Mfg treats a lathe lease as a(an)

Answers

Dallas Mfg treats a lathe lease as an operating lease.

An operating lease is a type of lease where the lessor (Dallas Mfg) retains the risks and rewards of ownership of the leased asset (combines) and treats the lease as an expense on its income statement. In an operating lease, the lessee (customer) does not assume the risks associated with ownership, such as maintenance costs or the residual value of the asset.

In the given scenario, Dallas Mfg leases the combines to credit-approved customers for a period of five years. The lease payments of $8,000 per year for five years are treated as rental expenses by Dallas Mfg. The fact that the combines have a six-year life but are guaranteed to last four years indicates that Dallas Mfg retains the risks associated with the useful life and potential obsolescence of the combines.

Furthermore, the statement mentions that the lessee (customer) is aware of all costs to be incurred under the lease that will not be reimbursed by the lessor (Dallas Mfg). This indicates that the lessee is not responsible for any additional costs beyond the lease payments.

Considering these factors, it can be concluded that Dallas Mfg treats the lathe lease as an operating lease, where they retain ownership risks and the lease payments are treated as operating expenses.

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A customer pledged a stock certificate to a bank as security for a loan. A year later when the customer fully repaid the loan, the bank refused the customer's demand to return the stockk certificate because the officer dealing with loan had the mistaken belief that there was still a balance due. No one at the bank reviewed the records until 2 months later, at which time the error was discovered. The bank then offered to return the stock certificate. However, the customer refused to accept it. At the time the customer pledged the certificate the shares were worth $10,000; at the time the customer repaid the loan, the shares were worth $20,000; and at the time the bank offered to return the certificate, the shares were worth $5000. If the customer brings an action against the bank on conversion, how much if anything should the customer recover?
(A) nothing, because the bank lawfully came into possession of the certificate
(B) $5000 because that was the value of the shares when the customer refused to accept the certificate back
(C) 10,000 because that was the value of the shares when the bank came into possession of the certificate
(D) 20,000 because that was the value of the shares when the customer was entitled to the return of the certificate.

Answers

The correct answer is (D) $20,000 because that was the value of the shares when the customer was entitled to the return of the certificate.

What is the reason?

The bank had a duty to return the stock certificate to the customer once the loan was fully repaid. The mistaken belief of the officer handling the loan and the failure of the bank to review their records in a timely manner does not absolve them of their duty.

The customer is entitled to the value of the stock certificate at the time they were entitled to receive it back, which was when the loan was fully repaid and the shares were worth $20,000.

The fact that the customer refused to accept it back when the value had decreased to $5,000 does not affect the amount of damages the customer is entitled to recover.

Hence, option d. is correct.

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higher unemployment insurance benefits tend to increase unemployment because they group of answer choices reduce the opportunity cost of job search and, hence, increase the search time. increase the opportunity cost of job search and, hence, increase the search time. reduce the opportunity cost of job search and, hence, decrease the search time. increase the opportunity cost of job search and, hence, decrease the search time.

Answers

When discussing the impact of unemployment insurance benefits on unemployment, it is important to consider the concept of opportunity cost.

Opportunity cost refers to the benefits foregone by choosing one option over another. In this case, the opportunity cost of job search refers to the potential earnings that could be made by an individual if they were to take a job, versus the benefits received from unemployment insurance while they continue to search for a job.
Higher unemployment insurance benefits can potentially reduce the opportunity cost of job search, as individuals may be able to receive comparable benefits to what they would earn in a low-paying job. This can lead to individuals spending more time searching for a job, as they may not feel the pressure to take a lower-paying job in order to make ends meet.
On the other hand, higher unemployment insurance benefits can also potentially increase the opportunity cost of job search, as individuals may not want to give up their benefits in order to take a job that pays only slightly more. This can lead to individuals being less motivated to actively search for a job.

Overall, the impact of unemployment insurance benefits on unemployment is complex and can vary depending on individual circumstances. However, it is clear that the concept of opportunity cost plays a significant role in this relationship.

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a customer places an order to sell 100 abc at 12 stop limit, when abc stock is trading at $13. the company is restructuring and has announced a special dividend of $2.85 to be paid to shareholders of record. on the ex date, the order will be:

Answers

On the ex-date, the order to sell 100 ABC at a stop limit of $12, when the ABC stock is trading at $13, will not be impacted by the special dividend announcement.

The ex-date is the date on which a stock begins trading without the dividend included in its price. Since the special dividend of $2.85 was announced after the customer placed the order and the ex-date is determined by the company, the order to sell 100 ABC at $12 stop limit will not be affected by the special dividend. The stop limit order is triggered when the stock price reaches or falls below the specified stop price of $12. As long as the stock is trading above $12 on the ex-date, the order will remain unaffected by the special dividend. However, it's important to note that market conditions and fluctuations may cause the stock price to change, potentially impacting the execution of the order.

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You deposited $2,500 into a bank account 7 years ago. Since then, the amount of money in the account has quadrupled. At what annual rate must the money have been growing? Put your answer in percent, but do NOT use the "%" sign, and round your answer to TWO decimal places. For example, if you got 12.34% then simply type 12.34

Answers

The annual growth rate is 11.98%.

To find the annual growth rate, we can use the compound interest formula:

Future Value = Present Value * (1 + Growth Rate)^Number of Periods

Given:

Present Value (initial deposit) = $2,500

Future Value = 4 * Present Value = 4 * $2,500 = $10,000

Number of Periods = 7 years

We need to solve for the Growth Rate.

$10,000 = $2,500 * (1 + Growth Rate)^7

Divide both sides of the equation by $2,500:

4 = (1 + Growth Rate)^7

Taking the seventh root of both sides:

(1 + Growth Rate) = 4^(1/7)

Now subtract 1 from both sides:

Growth Rate = 4^(1/7) - 1

Using a calculator, we find:

Growth Rate ≈ 0.1198

Rounding to two decimal places, the annual growth rate is approximately 11.98%.

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Import quotas and tariffs produce some common results. Which of the following is not one of those common
results?
a. Total surplus in the domestic country falls.
b. Producer surplus in the domestic country increases.
c. The domestic country experiences a deadweight loss.
d. Revenue is raised for the domestic government.

Answers

The correct answer is (b) Producer surplus in the domestic country increases.

Import quotas and tariffs are both protectionist measures used by countries to limit the import of goods from foreign countries. These measures increase the price of the imported goods, making them less competitive with domestic goods. As a result, consumers in the domestic country end up paying more for the same product, and some of the demand for the imported product may shift to domestic alternatives. This leads to a decrease in the total surplus in the domestic country, which is the sum of consumer and producer surplus. Additionally, the country may experience a deadweight loss, which is a net loss of economic welfare due to the reduction in trade. Finally, tariffs generate revenue for the domestic government, but this revenue comes at the expense of consumers who end up paying higher prices. Therefore, (b) Producer surplus in the domestic country increases is not a common result of import quotas and tariffs.

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what is the most important step in licensing for a licensor?

Answers

The most important step in licensing for a licensor is conducting thorough due diligence on potential licensees.

Thorough due diligence on potential licensees is crucial because it ensures that the licensor selects trustworthy and capable partners. This step involves researching the licensee's financial stability, market reputation, operational capabilities, and adherence to legal and regulatory requirements. By conducting due diligence, the licensor can assess the licensee's ability to effectively exploit and protect the licensed intellectual property, as well as their potential for delivering on contractual obligations. This step minimizes the risk of entering into agreements with unsuitable partners and helps safeguard the licensor's reputation, intellectual property rights, and financial interests.

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Indicate which of the following bonds are issued at a premium? O Stated interest rate was 7% and the market interest rate was 7% O bond issue price was $11,000 and the bond face value was $10,000. stated interest rate was 5% and the market interest rate was 6%. O bond issue price was $9,000 and the bond face value was $10,000

Answers

A bond is considered issued at a premium when its issue price is higher than the bond's face value.

Based on the information provided:

1. Stated interest rate was 7% and the market interest rate was 7%:

In this case, the bond is issued at par value because the stated interest rate matches the market interest rate. Therefore, it is not issued at a premium.

2. Bond issue price was $11,000 and the bond face value was $10,000:

Here, the bond is issued at a premium because the issue price ($11,000) exceeds the bond's face value ($10,000). The excess amount represents the premium paid by investors to acquire the bond.

3. Stated interest rate was 5% and the market interest rate was 6%:

Since the stated interest rate is lower than the market interest rate, the bond is issued at a discount rather than a premium. The issue price would be below the face value to compensate for the lower interest rate.

4. Bond issue price was $9,000 and the bond face value was $10,000:

Similar to the previous scenario, the bond is issued at a discount because the issue price ($9,000) is lower than the bond's face value ($10,000).

In summary, only the bond with an issue price of $11,000 and a face value of $10,000 is issued at a premium.

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applepay which was introduced and created cooperatively by apple and mastercard is an example of: brand dilution. brand collusion. co-branding. a generic brand. brand extraction

Answers

co-branding. Apple Pay, which was developed through a cooperative effort between Apple and Mastercard, is an example of co-branding.

co-branding. Co-branding refers to a marketing strategy where two or more brands collaborate to create a new product or service that combines their individual brand identities.

In the case of Apple Pay, Apple and Mastercard joined forces to develop a mobile payment system that allows users to make secure transactions using their Apple devices, such as iPhones or Apple Watches. Apple's brand recognition and user base, combined with Mastercard's expertise in payment processing, resulted in the creation of Apple Pay.

Co-branding offers several advantages, including leveraging the strengths of multiple brands, expanding customer reach, and creating new revenue streams. By collaborating, Apple and Mastercard were able to tap into their respective customer bases and enhance their brand images through the association with each other.

It's important to note that brand dilution, brand collusion, generic brands, and brand extraction are distinct concepts unrelated to the cooperative effort seen in co-branding.

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if the economy spends 80 percent of any increase in real gdp, then an increase in investment of $1 billion would result ultimately in an increase in real gdp of: g

Answers

If the economy spends 80 percent of any increase in real GDP, then an increase in investment of $1 billion would ultimately result in an increase in real GDP of $5 billion.

To calculate the increase in real GDP, we can use the concept of the expenditure multiplier, which represents the change in real GDP resulting from a change in autonomous spending. The expenditure multiplier is calculated as the reciprocal of the marginal propensity to save (MPS), which is the proportion of additional income that is saved rather than spent.

In this case, the economy spends 80 percent of any increase in real GDP, implying an MPS of 0.20 (1 - 0.80 = 0.20). Therefore, the expenditure multiplier (M) is 1 / MPS = 1 / 0.20 = 5.

To find the increase in real GDP resulting from a $1 billion increase in investment, we multiply the change in investment by the expenditure multiplier:

Increase in real GDP = Change in investment * Expenditure multiplier

Increase in real GDP = $1 billion * 5

Increase in real GDP = $5 billion

Hence, an increase in investment of $1 billion would ultimately lead to an increase in real GDP of $5 billion, given the assumption that the economy spends 80 percent of any increase in real GDP.

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The owner of a small business is considering three options: buying a computer, leasing a computer, or getting along without a computer. Based on the information obtained from the firm's accountant, the following payoff table (in terms of net profit) was developed State of Nature State #1 State #2 State # 3 Alternative (S1) (S2) (53) A1 6 7 A3 Which decision alternative should be selected under the maxmax criterion? 4 5 A2 5 1 3 4 6 0 A2 O A1 Can't be computed with the given information О АЗ

Answers

The decision alternative that should be selected under the maxmax criterion is A3, which has the highest maximum payoff for any of the states of nature.

The maxmax criterion involves selecting the decision alternative that maximizes the best possible outcome for each state of nature. In this case, the maximum payoff for each state of nature is as follows: State #1 - A2 (payoff of 6), State #2 - A3 (payoff of 7), State #3 - A1 (payoff of 6). Therefore, the decision alternative that should be selected under the maxmax criterion is A3, which has the highest maximum payoff for any of the states of nature.

It's important to note that this criterion assumes that the decision maker is risk-averse and wants to avoid the worst possible outcome. However, it doesn't take into account the probabilities of each state of nature occurring, which may be important in real-world decision-making situations.

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products such as home goods, clothing, furniture are usually sell in a(n) market structure. products such as home goods, clothing, furniture are usually sell in a(n) market structure. pure monopoly pure competition oligopoly monopolistic competition

Answers

Products such as home goods, clothing, and furniture are usually sold in a monopolistic competition market structure.

Monopolistic competition refers to a market structure where there are many sellers offering differentiated products to meet consumers' preferences. In this type of market, sellers have some degree of control over the pricing of their products due to product differentiation and brand identity. Home goods, clothing, and furniture are examples of products that often have variations in design, style, quality, and features, allowing sellers to differentiate themselves from competitors.

While there may be numerous sellers in a monopolistic competition market, each seller has a small market share compared to the overall market. Additionally, entry barriers are relatively low, meaning new firms can enter the market and compete with existing sellers. Advertising and marketing play significant roles in monopolistic competition as sellers aim to attract consumers to their specific products through branding and product differentiation strategies.

Overall, monopolistic competition provides consumers with a variety of choices while allowing sellers to exert some control over pricing and product differentiation.

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equity company. Its stock has a beta of 1.17. The market risk premium is 6.6 percent and the risk-free rate is 2.4 percent. The company is considering a project that it considers riskier than its current operations so it wants to apply an adjustment of 1.6 percent to the project's discount rate. What should the firm set as the required rate of return for the project?
Multiple Choice
8.52%
8.91%
10.12%
7.31%
11.72%

Answers

firm set as the required rate of return for the project is 10.12% The correct answer is C.

Firstly, the company's stock has a beta of 1.17. Secondly, the market risk premium is 6.6%, indicating the additional return expected for bearing market risk.

Thirdly, the risk-free rate stands at 2.4%, representing the return on a risk-free investment. Lastly, the company deems the project riskier than its current operations, warranting an adjustment of 1.6% to the discount rate.

By combining these factors, we can calculate the required rate of return. Plugging in the values, which reflects the total return needed to compensate for the project's risk and align with market conditions.The answer is C.

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