A mortgage is in the amount of $800,000. The origination fee is 0.4%, the intangible tax is 0.2%, and there are 3.5 discount points. Which of the following is the total cost of the origination fee, the intangible tax, and the discount points? (3 points) $28,000 $32,800 $29,600 $4,800

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Answer 1

The total cost of the origination fee, the intangible tax, and the discount points is $29,600. This is calculated by taking the mortgage amount of $800,000 and multiplying it by the sum of the origination fee (0.004), intangible tax (0.002), and discount points (0.035): $800,000 x (0.004 + 0.002 + 0.035) = $29,600.

A mortgage is a type of loan used to buy real estate, in which the property is pledged as collateral to the lender, until the loan is fully paid off. Mortgage loans are typically offered by financial institutions such as banks, credit unions, or mortgage companies

An origination fee is a fee charged by a lender to process the loan application. It is generally a percentage of the total loan amount. The fee is designed to cover the cost of processing the loan application and to compensate the lender for the time and effort involved in approving the loan.

An intangible tax is a tax levied by a government on certain types of transactions, such as the transfer of real property or the granting of a mortgage. It is a percentage of the value of the transaction.

Discount points are fees paid to a lender at closing to reduce the interest rate on a mortgage loan. One discount point typically costs 1% of the total loan amount and can reduce the interest rate by 0.25%.

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because of their supposed performance standing committees such as a safety committee and a product committee are not considered true teamsTrueFalse

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The statement “because of their supposed performance standing committees such as a safety committee and a product committee are not considered true teams” is true.

Committees are different from teams because they are formed to achieve specific goals and objectives that are often unrelated to the overall mission and purpose of the organization. Although committees are composed of people who work together towards a common goal, they are not considered true teams because they do not have the same level of interdependence, collaboration, and commitment as teams do.

A committee is formed to investigate a particular issue, make recommendations, and then disband once the work is complete. This is different from teams, which are formed to achieve a long-term goal and work together to achieve that goal. Teams are more collaborative, with each member having a specific role to play in achieving the team's objectives. Team members are also interdependent, relying on each other to accomplish the team's goals. This level of interdependence and collaboration is absent in committees.

Committees are more focused on individual performance than team performance. Members of a committee are often selected based on their expertise or knowledge in a particular area, and their primary responsibility is to provide input and recommendations on the issue at hand. Members of a team, on the other hand, are selected based on their ability to work collaboratively towards achieving the team's objectives.

In conclusion, standing committees such as safety committees and product committees are not considered true teams because they are formed to achieve specific goals and objectives that are often unrelated to the overall mission and purpose of the organization. Committees are more focused on individual performance than team performance and do not have the same level of interdependence, collaboration, and commitment as teams.

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Which of the following statements is CORRECT? a. Since the ROA measures the firm's effective utilization of assets without considering how these assets are financed, two firms with the same EBIT must have the same ROA
b. Suppose a firm wants to maintain a specific TIE ratio. It knows the amount of its debt, the interest rate on that debt, the applicable tax rate, and its operating costs. With this information, the firm can calculate the amount of sales required to achieve its target Tie ratio, c. Suppose ali firms follow similar financing policies, face similar risks, have equal access to capital, and operate in competitive product and capital markets. However, firms face different operating conditions because, for example, the grocery store industry is different from the airtime industry. Under these conditions, firms with high profit margins will tend to have high asset turnover ratios, and firms with low profit margins will tend to have low turnover ratios. d. Klein Cosmetics has a profit margin of 5.0, a total assets turnover ratio of 15 times, no debt and therefore an equity multiplier of 1.0, and an ROE of 75%. The CFO recommends that the firm borrow funds using long-term debt, use the funds to buy back stock and raise the equity multiplier to 20. The size of the firm cassets) would not change. She thinks that operations would not be affected, but interest on the new debt would lower the profit margin to 4,5%. This would probably not be a good move, as it would decrease the ROE from 7.5% to 6.5% e. Even though Firm A's current ratio exceeds that of Firm B, Firm O's quick ratio might exceed that of A. However, if A's quick ratio exceeds B's, then we can be certain that A's current ratio is also larger than B's

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The correct statement is: c. Suppose all firms follow similar financing policies, face similar risks, have equal access to capital, and operate in competitive product and capital markets.

However, firms face different operating conditions because, for example, the grocery store industry is different from the airtime industry. Under these conditions, firms with high-profit margins will tend to have high asset turnover ratios, and firms with low-profit margins will tend to have low turnover ratios.

Explanation:

a. This statement is incorrect because ROA does not solely depend on EBIT, but also on the amount of assets employed by the firm, which may differ between two firms with the same EBIT.

b. This statement is incorrect because the TIE ratio is calculated as EBIT/Interest Expense, and the firm cannot determine the required sales to maintain a specific TIE ratio without knowing its expected EBIT.

d. This statement is incorrect because the CFO's recommendation to increase the equity multiplier by using debt to buy back stock would increase the financial risk of the firm and decrease its ROE, contrary to what is stated.

e. This statement is partially correct. The quick ratio considers only the most liquid current assets, whereas the current ratio considers all current assets.

Therefore, it is possible for Firm A to have a higher current ratio than Firm B but a lower quick ratio. However, if Firm A's quick ratio is higher than Firm B's, then it is certain that Firm A's current ratio is also higher than Firm B's, as the quick ratio is a subset of the current ratio.

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congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users.T/F

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True. Congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users. This is because the available resources are no longer able to satisfy the demands of all the users. As a result, the users must compete for the limited resources, which leads to a decrease in the overall efficiency of the system.

In economics, this is known as the “tragedy of the commons” – the idea that, when resources are shared by a large number of users, there is a tendency for those resources to be overused and depleted. When resources become scarce, congestion effects start to occur. For example, if too many people are using a public park, the amount of available space becomes limited and the quality of the park experience decreases. Similarly, when too many people are using a shared network connection, congestion can occur and the speed and quality of the connection can suffer.

Congestion effects can also arise when resources become physically limited. For example, when more and more cars are added to a road, traffic congestion can occur as the number of available lanes cannot satisfy the demand. Congestion effects can also occur in the energy sector, when demand for electricity increases but the power grid cannot cope with the amount of energy being used.

Overall, congestion effects often result when a key resource becomes increasingly scarce with the arrivals of more and more users.

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The steps involved in finding the bottleneck in a process with a product mix include all the following EXCEPT:
B) Compute the capacity level for each resource
C) Compute the flow rate for each resource
D) Compute in the implied utilization for each resource

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The stages below, with the exception of computing the flow rate for each resource, are involved in identifying the bottleneck in a process with a product mix.

The entire number of business units and various services and products that an organization offers is its portfolio mix. also referred to as a product selection or product portfolio. Product combinations differ amongst businesses. A product is something that a business produces and distributes to its clientele. A company's maximum number of business units or individual items is referred to as its product mix. The overall variety of product lines and varieties that a firm offers for sale to its clients is known as the product mix.

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A company can reduce its costs by using ebusiness to change its business processes. Which of the following does not represent an example of how a company can reduce its costs through ebusiness? Creating an online travel reservation. Ordering a product online. Researching products to find the lowest price and visiting the store to purchase the item. All of these.

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The one that does not represent an example of how a company reduce its costs via e-business is "researching products to find the lowest price and visiting the store to purchase the item." Thus, C is correct.

What is e-business?

E-business or Electronic business is any commercial or business activity that occurs through the use of the internet or other electronic technologies. E-business has become increasingly popular over the years as it allows for more efficient and cost-effective business operations.

In order to reduce costs, a company can use e-business to streamline business processes. For example, a company can use e-business to automate manual processes such as order processing, invoicing, and inventory management. This can help to reduce the cost of labor and reduce errors that can occur in manual processes.

In addition, e-business can help to reduce costs by allowing companies to reach a wider audience through online marketing and sales. This can help to reduce the cost of marketing and sales activities as well as increase sales by reaching a wider audience.

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unlike the classical economists, keynes asserted that

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The Keynes argued that, in contrast to the Classical economists, the economy was intrinsically unstable. While Keynesian Economics (also known as neoclassical economics) is founded on the notion that if demand is insufficient to meet total output.

The governments should intervene with fiscal measures, classical economics emphasizes the free market and supply and demand. The long-term state of the economy, in which all workers and resources are employed, is shown by the classical model. The Keynesian Model explains what occurs in the short term during expansions and recessions when the economy is performing above or below its potential.

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The question is incomplete complete question is given below

Unlike the classical economists, keynes asserted that the economy was inherently unstable.

which of the following best defines confidentiality in context with information and data? group of answer choices the certainty that information is accurate the confirmation that a company will not sell your information to others the ability to limit access to information to a certain set of users the reliability of access to information

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Confidentiality refers to the ability to limit access to information to a certain set of users. It ensures that only those with proper authorization can view the data.

This is done to protect the integrity and security of the information and data, as well as ensure that the information is not misused or stolen. Confidentiality is often used in a legal context, such as to protect trade secrets or to ensure the privacy of individuals and businesses.


Confidentiality is key when it comes to sensitive information and data, such as financial records or health records. It is also used in other areas, such as when dealing with private documents or confidential agreements.


Confidentiality is also important when it comes to communication.There are various ways to protect confidential information, such as through the use of secure servers and encryption.


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The frequency with which margin accounts are adjusted for gains and losses is:?QuarterlyDailyMonthlyWeekly

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In the following question, among the given options, the statement is said to be "Monthly ". The frequency with which margin accounts are adjusted for gains and losses is "Monthly."

What is a margin account? A margin account is an account in which an investor is allowed to borrow money from a brokerage firm to purchase securities up to a certain level. The collateral for the loan is provided by the securities held in the investor's account. In this way, the investor borrows from the brokerage company to buy additional shares of stock. The primary advantage of trading in a margin account is that it allows you to maximize your buying potential. With less of your own money invested, you may generate a larger return on your investment.

It is, however, a high-risk investment method, and it is critical to carefully consider the risks involved before deciding to trade on margin. Maintenance margin requirements are usually determined by brokerage companies, but they are also subject to federal regulation. When the account value falls below the maintenance margin requirement, the investor must add money to the account or sell securities to cover the margin call. A margin account is subject to margin calls, which necessitate additional deposits of money or securities. A broker must issue a margin call if the value of the margin account falls below a specific point. If a margin call is not met within the required timeframe, the securities in the account may be sold by the brokerage company to cover the shortfall.

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Allocation of Package Purchase Price Tamock Company purchased a plant from one of its suppliers. The $975,000 purchase price included the land, a building, and factory machinery. Tamock also paid $5,000 in legal fees to negotiate the purchase of the plant. An appraisal showed the following values for the items purchased. PropertyAssessed Value Land$126,000 Building486,000 Machinery288,000 Total$900,000 Using the assessed value as a guide, allocate the total purchase price of the plant to the land, building, and machinery accounts in Tamock Company’s records.

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Tamock Company purchased a plant from one of its suppliers for a total purchase price of $975,000.

An appraisal showed that the land was assessed at $126,000, the building at $486,000, and the machinery at $288,000. This adds up to a total assessed value of $900,000. Using the assessed values as a guide, the following allocation of the purchase price can be made to the land, building, and machinery accounts in Tamock Company's records:

Land - $126,000  Building - $486,000Machinery - $288,000Legal Fees - $5,000Total - $975,000

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the labor force is the sum of the ______ and ______.

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The labor force is the sum of the employed and the unemployed.

Employed individuals are those who are currently working for pay or profit, either as an employee or self-employed. This includes those who are on temporary leave, such as vacation or illness, but are expected to return to work.

Unemployed individuals, on the other hand, are those who are currently not working but are actively seeking employment and are available for work. They may have recently lost their job or are new to the job market.

The labor force, therefore, consists of both those who are currently working and those who are available and actively seeking employment. It is an important measure of the economy's capacity to produce goods and services and is used to calculate key labor market statistics such as the unemployment rate and labor force participation rate.

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when consumers associate a brand with a certain level of quality and familiar attributes, consumers are able to make quick decisions. in this situation, the brand
a. Established novelty
b. Is the only one the consumer will consider
c. Facilitates purchasing
d. Reduces delivery costs
Creates brand reputation

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When consumers associate a brand with a certain level of quality and familiar attributes, consumers are able to make quick decisions. In this situation, the brand facilitates purchasing. The correct option is c. Facilitates purchasing

What does a brand do?

A brand facilitates purchasing when consumers associate it with a certain level of quality and familiar attributes. Consumers are able to make quick decisions as a result of this. In conclusion, when a brand is associated with a particular level of quality and familiar characteristics, consumers are more likely to make quick purchasing decisions.

As a result, the brand has established a reputation that facilitates the buying process. This increases sales and revenue for the company, as well as establishes customer loyalty to the brand.

Therefore, the correct option is c.

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a mortgage with low initial payments that increase over time without ever leveling off is a a. shared-appreciation mortgage. b. growing-equity mortgage. c. graduated payment mortgage. d. second mortgage.

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A graduated payment mortgage is a mortgage with low initial payments that increase over time without ever leveling off. The answer is option c. graduated payment mortgage.

What is a graduated payment mortgage?

A graduated payment mortgage is a mortgage that starts with low initial payments and then rises over time without ever leveling off. The aim of this type of mortgage is to allow borrowers to make smaller payments when they first purchase the property and then gradually increase their payments as their income grows. The rate at which the payments rise is determined ahead of time and is typically much quicker than it would be for a traditional mortgage.

One of the advantages of a graduated payment mortgage is that it allows homebuyers to purchase a property that they may not be able to afford if they had to pay the full monthly payment from the start. The gradual rise in payments also takes into account the potential increase in a borrower's income over time, making it more feasible to pay off the loan. However, since the payments never level off, this type of mortgage will end up costing the borrower more over time than a traditional mortgage.

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consider a risky portfolio. the end-of-year cash flow derived from the portfolio wits be either $40,000 or $180,000, with equal probabilities of 0.5. the alternative riskless investment in t-bills pays 4%. if you require a risk premium of 10%, how much will you be willing to pay for the portfolio? a) $57230 b) $28704 c) $75000 d) $96491

Answers

The amount you would be willing to pay for the portfolio is: $96,491. The correct option is D.

This can be calculated as follows:

The expected end-of-year cashflow from the risky portfolio is $110,000, that is  [(40,000 x 0.5) + (180,000 x 0.5)].

The expected return from the riskless investment in T-bills is 4%, which equals $4,400 that is [(100,000 x 0.04)].

The risk premium required is 10%, so the expected return from the risky portfolio must be $14,400 that is [(100,000 x 0.10)].

Therefore, the amount you are willing to pay for the portfolio is $96,491 that is [(110,000 - 4,400) / 0.10)].

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prezas company's balance sheet showed total current assets of $4,750, all of which were required in operations. its current liabilities consisted of $975 of accounts payable, $600 of 6% short-term notes payable to the bank, and $250 of accrued wages and taxes. what was its net operating working capital? group of answer choices $3,701 $3,878 $3,384 $3,525 $3,842

Answers

Net operating working capital is the difference between the current assets used in operations and the current liabilities arising from operations. In the  given case, net operating working capital would be $3,525.

Thus, by subtracting the current liabilities of Preza's company from its total current assets, its net operating working capital can be calculated by using concepts of liabilities, assets and capital, it is as follows:

Net operating working capital = Total current assets - Current liabilities= $4,750 - ($975 + $100 + $150)= $3,525. Therefore, the net operating working capital of Preza's company is $3,525.

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patton dyes manufactures colorings, primarily for textiles. information on the work in process follows: beginning inventory, 180,000 partially complete liters. ending inventory, 150,000 liters; units are 25 percent complete with respect to materials and 60 percent complete with respect to conversion costs. started this month, 703,000 liters. assume that beginning inventory is 20 percent complete with respect to materials and 40 percent complete with respect to conversion costs. required: compute the equivalent units for materials using fifo. compute the equivalent units for conversion costs using fifo.\

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FIFO method of equivalent unit calculation: FIFO stands for first in, first out. In the FIFO method, you calculate the equivalent units of work in process under the assumption that the first unit that was started is also the first unit that is finished. FIFO equivalent units for conversion costs = 553,000 + (150,000 x 0.60) - (180,000 x 0.40)= 553,000 + 90,000 - 72,000= 571,000 liters

The FIFO method is useful when you want to determine how much material or conversion costs were used during a specific period of time. You can use the following formula to calculate the equivalent units of work in process:

FIFO equivalent units = Units completed + (Ending inventory x Percentage complete) - (Beginning inventory x Percentage complete)

Here's how you can calculate the equivalent units of work in process for Patton Dyes:Equivalent units for materials using FIFO:Units completed: 553,000 liters. Ending inventory: 150,000 liters. Percentage complete: 25% (given)

Beginning inventory: 180,000 liters. Percentage complete: 20% (given). FIFO equivalent units for materials = 553,000 + (150,000 x 0.25) - (180,000 x 0.20)= 553,000 + 37,500 - 36,000= 554,500 liters. Equivalent units for conversion costs using FIFO:Units completed: 553,000 liters. Ending inventory: 150,000 liters. Percentage complete: 60% (given). Beginning inventory: 180,000 liters. Percentage complete: 40% (given).

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Which of the following is a marketing format that uses banner ads and pop-ups with interactive features?a. video adsb. search engine adsc. rich media adsd. e-mail adse. display ads

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The marketing format that uses banner ads and pop-ups with interactive features is called rich media ads. option (c) is the correct answer.

Banner ads are the most popular type of online advertising because they are cost-effective and have a high reach. Pop-up ads are ads that appear in a new browser window when a user clicks on a hyperlink or when a page is loading.

They can be very annoying, and users usually close them immediately. However, pop-ups can be useful if they provide relevant information or offer a discount or free trial to users who complete a short survey or enter their email address. Pop-ups can also be used to promote events or new products or services.

Rich media ads are a type of online advertising that uses banner ads and pop-ups with interactive features.

Search engine advertising is a type of online advertising that appears on search engine results pages (SERPs).

Email ads are ads that are sent to users’ email inboxes.  

Therefore option C is the correct answer rich media ads.

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The increase in unemployment associated with a recession is called _____.
a. structural unemployment
b. frictional unemployment
c. discouraged unemployment
d. cyclical unemployment

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d. cyclical unemployment.

Cyclical unemployment is the brief rise in unemployment that happens during a recession or economic cycle downturn as demand for products and services declines and businesses fire employees.

Cyclical unemployment is a rise in unemployment that happens during an economic downturn or recession as a result of a drop in aggregate demand. Businesses are less inclined to hire new employees and may even fire present employees when the economy as a whole is struggling, which raises the unemployment rate. This is distinct from frictional unemployment, which is the temporary unemployment that happens when employees hunt for new jobs, and structural unemployment, which happens when there is a mismatch between the abilities of workers and the available jobs. Those who have given up seeking work and are no longer included in the official unemployment statistics are referred to as discouraged unemployed.

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CAPM. The Capital Asset Pricing Model (CAPM) is a financial model that assumes returns on a portfolio are normally distributed. Suppose a portfolio had an average annual rate of return of 14.7% (i.e an average gain of 14.7%) with a standard deviation of 33%. A return of 0% means the value of the portfolio doesn't change, a negative return means that the portfolio loses money, and a positive return means that the portfolio gains money. What percent of years does the portfolio lose money, i.e. have a return less than 0% What is the cutting for the highest 27% of annual returns with this portfolio?

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Capital Asset Pricing Model (CAPM)The Capital Asset Pricing Model (CAPM) is a financial model that assumes returns on a portfolio are normally distributed. To calculate the percentage of years during which the portfolio loses money (i.e., the return is less than 0%), we can use the normal distribution formula.

68% of the data points fall within one standard deviation of the mean in a normally distributed dataset. Therefore, we can calculate the probability of a return of less than 0% by finding the proportion of data points that are one standard deviation below the mean: Return of the portfolio = 14.7%Standard deviation of the portfolio = 33%Probability of a return of less than 0% = P(Return < 0)P(Z < -0.59) = 0.2218, where Z is the standard normal distribution. The answer to the first part of the question is that the portfolio loses money approximately 22.18% of the time. Next, we can use the normal distribution formula to determine the cutoff point for the highest 27% of annual returns. Since we are looking for the highest returns, we will find the z-score that corresponds to the 73rd percentile (i.e., the cutoff point for the highest 27% of returns).

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serena is preparing her budget for the upcoming year. this would be good time for her to a. run best-case and worst-case scenarios. b. enforce a cost-containment strategy. c. communicate with her suppliers and scrutinize her relationships with them. d. up her expectations for the upcoming year.

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serena is preparing her budget for the upcoming year. this would be a good time for her to run best-case and worst-case scenarios. Option A is the correct answer.

Serena is preparing her budget for the upcoming year, and it would be a good time for her to run best-case and worst-case scenarios.

This involves analyzing different financial projections based on various scenarios and assumptions, such as changes in revenue, expenses, and market conditions.

By doing so, Serena can be better prepared for unexpected events and make informed decisions about how to allocate her resources.

This approach can also help her identify potential risks and opportunities, and adjust her budget accordingly to optimize her financial outcomes.

Therefore, option A is the correct option, run best-case and worst-case scenarios.

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The Lucas critique argues that because the way people form expectations is based on government policies, economists_____ predict the effect of a change in policy without taking changing expectations into account. Select one: O a. in no way can o b. only partly, can O c.partly; cannot O d. in no way; cannot

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The Lucas critique argues that because the way people form expectations is based on government policies, economists partly cannot predict the effect of a change in policy without taking changing expectations into account.

Lucas critique refers to a criticism of econometric models that focus on macroeconomic policy analysis. In essence, it argues that the statistical relationships estimated from past data to determine future policy are not necessarily stable over time.

This critique was put forward by the economist Robert E. Lucas Jr. in his 1976 paper. The Lucas critique asserts that forecasting based on historical macroeconomic data is deficient because people will adjust their behavior based on the policy's expected consequences.

Lucas suggests that past relationships between economic variables cannot be relied on as a guide to future policies because economic agents adjust their expectations in response to government policy changes.

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a country that alters the demographic of its workforce in a manner that increases the labor force, such as by raising the legal minimum retirement age, is likely to experience? a sustainable, high income growth rate b.more productive workers in all facets of the economy c.All of these are true

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The country that alters the demographic of its workforce in a manner that increases the labor force is likely to experience a sustainable, high-income growth rate. (option a)

When a country increases the size of its labor force, it can potentially increase its economic output and productivity, which can lead to higher incomes and growth rates. This is because a larger labor force can produce more goods and services, and can help to offset the effects of an aging population or declining birth rates.

Raising the legal minimum retirement age can help to increase the labor force by encouraging older workers to continue working, which can help to offset the effects of an aging population. This can lead to a more sustainable and productive workforce, which can contribute to higher economic growth rates and incomes over the long term.

Therefore, option (a) "a sustainable, high-income growth rate" is the most likely outcome for a country that alters the demographic of its workforce in a manner that increases the labor force, such as by raising the legal minimum retirement age.

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Sheffield Corp. took a physical inventory on December 31 and determined that goods costing $208,000 were on hand. Not included in the physical count were $22,000 of goods purchased from Wildhorse Co., FOB, shipping point, and $24,500 of goods sold to Waterway Industries for $35,000, FOB destination. Both the Wildhorse purchase and the Waterway sale were in transit at year-end. What is the ending inventory

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Sheffield Corp. ending inventory, based on physical inventory take on December 31 is $219,500.

Sheffield Corp. took a physical inventory on December 31 and determined that goods costing $208,000 were on hand. Not included in the physical count were $22,000 of goods purchased from Wildhorse Co., FOB, shipping point, and $24,500 of goods sold to Waterway Industries for $35,000, FOB destination.

Both the Wildhorse purchase and the Waterway sale were in transit at year-end.

The ending inventory of Sheffield Corp. can be calculated as follows:

Ending inventory = Physical inventory + Purchase in transit - Sales in transit

In the given case,

Physical inventory = $208,000

Purchase in transit = $22,000

Ending inventory = $208,000 + $22,000 - ($35,000 - $24,500)

Ending inventory = $208,000 + $22,000 - $10,500

Ending inventory = $219,500

Therefore, the ending inventory of Sheffield Corp on December 31. is $219,500.

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Which of the following statements about demand is correct?a. A change in the price of bicycles will not lead to a shift of the demand curve for bicycles.b. A change in the price of automobiles will lead to a shift of the demand curve for motorcycles.c. A change in demand is equivalent to a movement along a given demand curve.d. When price falls, so does the quantity demanded.e. When the demand curve shifts to the right, so will the supply curve.

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A statement that is true about demand is a. A change in the price of bicycles will not lead to a shift of the demand curve for bicycles.

In economics, demand is referred to as the number of goods and services that consumers want to buy at different prices. The demand curve indicates the relationship between the price of a commodity and the amount demanded. A downward-sloping demand curve represents a demand relationship of an inverse nature.

There are several factors that affect demand, and these factors are enumerated below:

Prices of related commoditiesIncomeConsumer preferences and tastesFuture expectationsNumber of consumersPrice level

The price of a commodity is the value that consumers are willing to pay to purchase it. The price of a good is generally determined by its supply and demand. When the supply of a commodity is high, its price decreases; and when the demand for a commodity is low, its price decreases.

There are several factors that affect price, and these factors are enumerated below:

Cost of productionLevel of competitionProduct demand and supplyMarket locationTax policiesInflationLevel of technology used.Time of yearNatural disasters or other forces of natureChanges in interest rates, etc.

So, the true statement is Option a. A change in the price of bicycles will not lead to a shift of the demand curve for bicycles

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Consolidating entries (market value differs from book value)Assume that on January 1, 2013, an investor company acquired 100% of the outstanding voting common stock of an investee company. The following financial statement information was prepared immediately after the acquisition and presents the acquisition-date balance sheet for the pre-consolidation investor company, the investee company and the consolidated financial statements for the investor and investee.Invest Investee ConsolidatedCash & receivables $500,000 $62,500 $562,500Inventory 375,000 156,250 531,250Property & equipment $1,437,500 $500,000 2,000,000Investment in investee $437,500 _ _Identifiable intangible _ _ 68,750Goodwill _ _ 30,000Total assets $2,750,000 $718,750 $3,192,500Current liabilities $250,000 $125,000 $375,000Accrued expenses 187,500 _ 187,500Bonds payable _ $312,500 317,500Common stock 1,043,750 62,500 1,043,750Additional paid-in capital 893,750 78,125 893,750Retained earnings 375,000 140,625 375,000Total liabilities and equity $2,750,000 $718,750 $3,192,500In preparing the consolidated financial statements, what is the amount of the debit or credit made to the "investment in investee" account as part of the [A] consolidating entry? (Recall from the chapter that the [A] consolidating entry reclassifies the acquisition accounting premium from the investment account to the individual net assets that require adjustment from book value to fair value.)A. $30,000B. $161,250C. $156,250D. $437,500

Answers

When preparing the consolidated financial statements, the investment in investee account requires a debit of $437,500 as part of the consolidating entry.

A consolidation elimination journal is a journal specially created by a company to eliminate or eliminate all reciprocal account balances between its headquarters and subsidiaries or branches. A consolidated report is a report that allows multiple investors to get a complete picture of the parent company. 

This debit reclassifies the acquisition accounting premium from the investment account to the individual net assets that require adjustment from book value to fair value. Therefore the correct answer is D. $437,500.

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mr. and mrs. clyde were married for 21 years before the couple divorced 2019. this year, the irs determined that the clydes underpaid their jointly filed 2019 tax by $19,650. in which case would mrs. clyde be relieved of liability for the underpayment under the innocent spouse rule

Answers

The case in which Mrs. Clyde be relieved of liability for the underpayment under the innocent spouse rule is that Mr. Clyde was the sole income earner during the entire marriage. Therefore, correct answer is option C.

The innocent spouse rule is a tax code provision that allows a spouse to be relieved of liability for underpayment if certain criteria are met. Under the innocent spouse rule, Mrs. Clyde would be relieved of liability for underpayment if she can show that she did not know and had no reason to know of the underpayment, and that it would be unfair to hold her liable for it.

There are three conditions that must be met to qualify for innocent spouse relief:

First, a joint return must have been filed. Both spouses must have signed and filed the joint return.Second, the understatement of tax must be due to erroneous items of the other spouse. An erroneous item may include unreported income, incorrect deductions, or credits.Third, the innocent spouse must prove that at the time of signing the joint return, they did not know, and had no reason to know, of the understatement.

In this case, since Mr. Clyde was the sole income earner during the entire marriage, Mrs. Clyde may be relieved of liability for the underpayment under the innocent spouse rule. Hence, option C is correct.

Note: The question is incomplete. The complete question probably is: Mr. and Mrs. Clyde were married for 21 years before the couple divorced 2019. This year, the IRS determined that the Clydes underpaid their jointly filed 2019 tax by $19,650. In which case would Mrs. Clyde be relieved of liability for the underpayment under the innocent spouse rule? Multiple Choice A) Mrs. Clyde did not read through the Form 1040 before signing the return. B) Mrs. Clyde remarried this year and is now Mrs. Novak. C) Mr. Clyde was the sole income earner during the entire marriage. D) None of these choices are correct.

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melanie, a salesperson for printers and scanners, is sending a proposal for printers to the home office of helix services in cedartown. to convince the executives in cedartown that the local vinson mountain branch office needs the printers and copiers she is selling, melanie would most likely:

Answers

Melanie should make a strong case for the need for the products, such as the convenience, cost-effectiveness, and efficiency of using her company's printers and copiers.

To convince the executives at Helix Services in Cedartown that the local Vinson Mountain branch office needs the printers and copiers she is selling, Melanie, the salesperson, would most likely:

Highlight the benefits: Melanie should clearly outline the benefits of the printers and copiers she is selling.

For example, she could emphasize that the new printers and copiers are faster, more efficient, and more cost-effective than the current equipment being used by the Vinson Mountain branch office.

Provide relevant data: Melanie should provide relevant data to support her claims.

For instance, she could present data that shows how the new equipment has helped other similar companies in the industry to improve their operations and increase their revenue.

Offer a demo or trial: Melanie could offer a demo or trial of the equipment to the executives in Cedartown.

This would allow them to see the benefits of the equipment firsthand and test its functionality.

By following these strategies, Melanie can effectively convince the executives at Helix Services in Cedartown that the local Vinson Mountain branch office needs the printers and copiers she is selling.

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kate expects to receive an annuity that pays $5,000 at the beginning of each year for 10 years. assuming the interest rate is 5%, what is the present value of this annuity? round your answer to the nearest dollar.multiple choice question.$38,609$62,890$40,539$66,034

Answers

The present value of an annuity of $5,000 per year for 10 years with an interest rate of 5% is $40,539.

The steps to arrive at this answer are as follows:

First, we need to use the formula for the present value of an annuity. The formula is:

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

where

PMT is the payment per period, r is the interest rate per period, and n is the number of periods.

In this case, PMT = $5,000, r = 5% (or 0.05), and n = 10 (since the annuity is for 10 years).

Substituting the values:

[tex]PV=5,000*((1-(1/(1+0.05)^1))/0.05)\\ =$40,539.11[/tex]

(rounded to the nearest dollar, which is $40,539).

Therefore, the answer to the multiple-choice question is $40,539.

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if an economic integration has factor mobility, free move of product, labor, and capital, it should be .

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An economic integration with factor mobility, free movement of products, labor, and capital should be a Either common market or economic union.

What is either common market or economic union?

A common market allows for the free movement of goods, services, capital, and labor between the participating countries. This is different from other forms of economic integration, such as a customs union, which only allows for the free movement of goods.

By lowering or removing internal tariffs on products and establishing a unified collection of external tariffs, common markets facilitate the free flow of labor, capital, and many other productive assets. Economic unions closely integrate the country's economic strategies of the nations that make up its membership.

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When there is a technological advance in the pork industry, consumer surplus in that market will a. increase b. decrease c. not change, since technology affects producers and not consumers. d. not change, since consumers' willingness to pay is unaffected by the technological advance.

Answers

Consumer surplus in that market will rise as the pork industry makes a technological advancement..

When customers pay less than they'd normally be ready to for a good or service, there is a consumer surplus.. The foundation for the notion of consumer surplus is the economic concept of marginal product additional satisfaction that a customer receives from purchasing one more unit of a good or service. A constant, consumer surplus grows when prices are lowering and decreases when prices are rising. Economists conceptualize it as the triangle-shaped region beneath the demand curve that is between its market cost and the cost that buyers are willing to pay.

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ctivity Rates and Product Costs using Activity-Based Costing Lonsdale Inc. manufactures entry and dining room lighting fixtures. Five activities are used in manufacturing the fixtures. These activities and their associated budgeted activity costs and activity bases are as follows:
Activity BudgetedCost Activity Base Activity Casting 570,000 Machine hours Assembly 80,000 Direct labor hours
Inspecting 42,000 Number of inspections
setup 38,000 Number of setups
material handling 23,750 Number of loads
Corporate records were obtained to estimate the amount of activity to be used by the two products. The estimated activity-base usage quantities and units produced follow: Activity Base Entry Dining Total Machine hours 6000 13000 19000
Direct labor hours 3000 2000 5000
Number of inspections 600 400 1000
Number of setups 300 200 500
Number of loads 450 500 950
Units produced 6000 3000 9000
a. Determine the activity rate for each activity. b. Use the activity rates in (a) to determine the total and per-unit activity costs associated with each product. Round the per unit amounts to the nearest cent.

Answers

a. To determine the activity rate for each activity, divide the budgeted cost by the total activity base.

Activity Budgeted Cost Activity Base Activity Rate
Casting 570,000 Machine hours 30.53
Assembly 80,000 Direct labor hours 16
Inspecting 42,000 Number of inspections 42

Setup 38,000 Number of setups 76
Material Handling 23,750 Number of loads 25
b. To determine the total and per-unit activity costs associated with each product, multiply the activity rate by the activity base for each product.

Entry Dining Total
Machine hours 30.53 x 6000 = 183,180 30.53 x 13,000 = 396,890 579,070
Direct labor hours 16 x 3000 = 48,000 16 x 2000 = 32,000 80,000
Number of inspections 42 x 600 = 25,200 42 x 400 = 16,800 42,000
Number of setups 76 x 300 = 22,800 76 x 200 = 15,200 38,000
Number of loads 25 x 450 = 11,250 25 x 500 = 12,500 23,750
Total Activity Cost 307,430 297,190 604,620

Per-unit Activity Cost Entry Dining
Machine hours 30.53 x 6000 = 30.53 30.53 x 13,000 = 30.53
Direct labor hours 16 x 3000 = 8 16 x 2000 = 8
Number of inspections 42 x 600 = 4.2 42 x 400 = 4.2
Number of setups 76 x 300 = 3.8 76 x 200 = 3.8

Number of loads 25 x 450 = 2.5 25 x 500 = 2.5
Total Activity Cost 51.03 49.03

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