Answer:
when u have 2 decide between 1 and another or when u r taking a test then u have make a decision
Explanation:
Jake pays the following amounts to his former spouse during the current year: Regular alimony payments $12,000 Child support 10,000 Residence as part of a property settlement 115,000 What amount can Jake deduct as alimony for the current year
Answer:
Divorce after 2020 = Alimony is $0Divorce before 2020 = Alimony is $12,000Explanation:
If the divorce occurred before 2020 then the spouse paying the alimony can deduct it from their taxes and the person receiving it has to include it in their income. If the divorce of Jake and his spouse was before 2020, he will be able to include the full $12,000 as a deduction.
In 2020, new regulation came into effect that meant that couples divorcing from thence will not be able to deduct alimony so Jake's deduction would be $0 if they divorced in 2020 and onwards.
An investor purchases a mutual fund for $80. The fund pays dividends of $2.30, distributes a capital gain of $3, and charges a fee of $3 when the fund is sold one year later for $85.70. What is the net rate of return from this investment? (Enter your answer to the nearest whole number.)
Answer:
10%
Explanation:
Rate of Return = (Sale Price + Net Income Received - Purchase Price) / Purchase Price
Rate of Return = ($85.70 + ($2.3 + $3 - $3) - $80) / $80
Rate of Return = ($85.70 + $2.3 - $80) / $80
Rate of Return = $8 / $80
Rate of Return = 0.1
Rate of Return = 10%
So, the net rate of return from this investment is 10%
distinguish between saving, consumption, consumption function and saving function
CONSUMPTION FUNCTION:
It is the relationship between consumption expenditure and the level of disposable income.
C = f (Yd) , where
C represents the consumption expenditure
Yd represents disposable income
It shows how a change in income influences the consumption pattern
SAVING FUNCTION:
It is the relationship between savings and the level of disposable income
S = -S(bar) + sYd
where
S(bar) is autonomous saving
s represents marginal propensity to save
Yd represents disposable income
it shows how change in income influences savings
Signal mistakenly produced 1,000 defective cell phones. The phones cost $60 each to produce. A salvage company will buy the defective phones as they are for $30 each. It would cost Signal $80 per phone to rework the phones. If the phones are reworked, Signal could sell them for $120 each. Signal has excess capacity. Should Signal scrap or rework the phones
Answer:
Signal Company
Signal should rework the phones with its excess capacity. Reworking reduces its loss by $10,000 (or $10 per phone).
Explanation:
a) Data and Calculations:
Number of defective cell phones produced = 1,000
Cost of production per phone = $60
Salvage value per phone = $30
Additional rework cost per phone = $80
Selling price after reworking per phone = $120
Differential Analysis:
Scrap Rework Difference
Sales revenue $30,000 $120,000 $90,000
Cost of production 60,000 140,000 80,000
Loss $30,000 $20,000 $10,000
Per unit calculations:
Scrap Rework Difference
Sales revenue $30 $120 $90
Cost of production 60 140 80
Loss $30 $20 $10
Abraham told Linda that if she did not sign over her stock options to him he would inflict bodily harm on her and her family. Linda quickly signs over all of her stock options. This is known as _______.
a. negligence
b. coercion
c. manipulation
d. duress
e. breach of duty
Answer:
d) Duress
Explanation:
From the question we are informed about Abraham who told Linda that if she did not sign over her stock options to him he would inflict bodily harm on her and her family. Linda quickly signs over all of her stock options. This is known as Duress.
Duress can be regarded as an act which involves the use of force, psychological pressure as well as
coercion and threats or other means to make sure that someone act against his or her wishes. Whenever an individual act under duress, then their act is not from their own free will and this is treatable just accordingly when it comes to court proceedings.
Corporation ABC invested in a project that will generate $60,000 annual after-tax cash flow in years 0 and 1 and $40,000 annual after-tax cash flow in years 2, 3, and 4. Compute the NPV of these cash flows assuming that:
a. ABC uses a 10 percent discount rate.
b. ABC uses a 7 percent discount rate.
c. ABC uses a 4 percent discount rate.
Answer:
a. $204,940
b.$214,180
c. $224,480
Explanation:
a. Computation for the NPV of these cash flows assuming that ABC uses a 10 percent discount rate.
NPV= $60,000 + 0.909($60,000) + 0.826($40,000) + 0.751($40,000) + 0.683($40,000)
NPV=$60,000+$54,540+$33,040+$30,040+$27,320
NPV = $204,940
Therefore the NPV of these cash flows assuming that ABC uses a 10 percent discount rate is $204,940
b. Computation for the NPV of these cash flows assuming that ABC uses a 7 percent discount rate.
NPV=$60,000 + 0.935($60,000) + 0.873($40,000) + 0.816($40,000) + 0.763($40,000)
NPV=$60,000+$56,100+$34,920+$32,640+$30,520
NPV= $214,180
Therefore the NPV of these cash flows assuming that ABC uses a 7 percent discount rate is $214,180
c. Computation for the NPV of these cash flows
assuming that ABC uses a 4 percent discount rate.
NPV=$60,000 + 0.962($60,000) + 0.925($40,000) + 0.889($40,000) + 0.855($40,000)
NPV=$60,000+$57,720+$37,000+$35,560+$34,200
NPV= $224,480
Therefore the NPV of these cash flows
assuming that ABC uses a 4 percent discount rate is $224,480
Tinker Company reported sales revenue of $500,000 and total expenses of $450,000 (including depreciation) for the year ended December 31, 2010. During 2010, accounts receivable decreased by $5,000, merchandise inventory increased by $4,000, accounts payable increased by $6,000, and depreciation expense of $10,000 was recorded. Assuming no other data is needed and using the indirect method, the net cash inflow from operating activities for 2010 was:
Answer:
Net Cash inflow from operating activities $67,000
Explanation:
The computation of the net cash flow from operating activities is shown below:
Net Income ($500,000 - $450,000) $50,000
Add: Depreciation $10,000
Add: Decrease in account receivable $5,000
Less: Increase in inventory ($4,000)
Add: Increase in account payable $6,000
Net Cash inflow from operating activities $67,000
What happens when employees interact with policies, processes, and technologies and perform their role in the organization?
You are a provider of portfolio insurance and are establishing a four-year program. The portfolio you manage is currently worth $150 million, and you promise to provide a minimum return of 0%. The equity portfolio has a standard deviation of 25% per year, and T-bills pay 7.5% per year. Assume that the portfolio pays no dividends.
Required:
a. What percentage of the portfolio should be placed in bills?
b. What percentage of the portfolio should be placed in equity?
Answer:
sorry but I don't know sorry
A survey of 385 people who like wild sweaters found that 74% had a wild holiday sweater. What is the population and what is the sample?
Answer:
385
Explanation:
because it says 385
In a situation where a survey of 385 people who like wild sweaters found that 74% had a wild holiday sweater, the population as well as the sample will be 385. Therefore, the option C holds true.
What is the significance of a sample?A sample can be referred to or considered as a set of units that are taken into consideration for interpreting a data for bigger number of available observations. Sampling method is considered as an ideal option for surveys to save time and efforts.
In the condition given above, a survey included 385 people out of the total population of the survey, however, the 385 people are just the samples for saving time and effort. The actual results for bigger representation will also be closer to 74%.
Therefore, the option C holds true and states regarding the significance of a sample.
Learn more about a sample here:
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The missing options for the incomplete question have been added below for better reference.
A survey of 385 people who like wild sweaters found that 74% had a wild holiday sweater. What is the population and what is the sample?
A. 96
B. 289
C. 385
D. 74
MC Qu. 88 Hayes Inc. provided the following information... Hayes Inc. provided the following information for the current year: Beginning inventory 230units Units produced 880units Units sold 934units Selling price$280/unit Direct materials$48/unit Direct labor$29/unit Variable manufacturing overhead$28/unit Fixed manufacturing overhead$39,600/yr Variable selling/administrative costs$21/unit Fixed selling/administrative costs$28,500/yr What is the unit product cost for the year using variable costing
Answer:
Unit product cost= $105
Explanation:
The variable costing method incorporates all variable production costs (direct material, direct labor, and variable overhead).
Unit product cost= direct material + direct labor + variable overhead
Direct materials$48/unit
Direct labor$29/unit
Variable manufacturing overhead$28/unit
Unit product cost= 48 + 29 + 28
Unit product cost= $105
Take It All Away has a cost of equity of 10.60 percent, a pretax cost of debt of 5.31 percent, and a tax rate of 40 percent. The company's capital structure consists of 70 percent debt on a book value basis, but debt is 30 percent of the company's value on a market value basis. What is the company's WACC
Answer: 8.38%
Explanation:
When calculating Weighted Average Cost of Capital (WACC), use the market values.
WACC:
= (Cost of equity * Proportion of equity) + (After tax cost of debt * Proportion of debt)
If debt is 30% then equity will be 70%.
WACC = (10.60% * 70%) + ( 5.31% * (1 - 40% tax rate) * 30%)
= 7.42% + 0.9558%
= 8.38%
Suppose Ruston Company had the following results related to cash flows for 2020: Net Income of $9,100,000 Adjustments from Operating Activities of $1,100,000 Net Cash Flow from Investing Activities of -$4,300,000 Net Cash Flow from Financing Activities of $3,400,000 Create a statement of cash flows with amounts in thousands. What is the Net Cash Flow
Answer:
The Net Cash Flow is $9,300,000.
Explanation:
A statement of cash flows with amounts in thousands can be created to determine the Net Cash Flow as follows:
Ruston Company
Statement of Cash Flows
For the Year 2020
Details $'000
Net Income 9,100
Adjustments from Operating Activities 1,100
Net Cash Flow from Operating Activities 10,200
Net Cash Flow from Investing Activities (4,300)
Net Cash Flow from Financing Activities of 3,400
Net Cash Flow 9,300
Since the amount is in thousands, that implies that the Net Cash Flow is $9,300,000.
If one U.S. dollar was worth 1.22 Canadian dollars when Sal went to a debate tournament in Toronto, and he had $300 in U.S. currency as spending money, how much was his money worth in Canadian dollars?
Answer:
366
Explanation:
300 x 1.22
An investment of $10,000 provides average net cash flows of $500 with zero salvage value. Depreciation is $15 per year. Calculate the accounting rate of return using the original investment. (Note: Round the answer to two decimal places.) a.4.85% b.3.41% c.5.19% d.6.47% e.3.29%
Answer: a.4.85%
Explanation:
The accounting rate of return will be calculated as:
= Average annual profit / Initial investment
where,
Average annual profit will be:
= Net cash flows - Depreciation expense
= $500-$15
= $485
Initial investment = $10000
Therefore, the accounting rate of return will be:
= $485 / $10,000
= 4.85%
Identify the following costs as a prime cost, conversion cost, or both for an automobile manufacturer: a. Wages of employees that operate painting equipment b. Wages of the plant manager Prime cost c. Steel d. Oil used for assembly line machinery
Answer and Explanation:
The classification is shown below:
a. It is both prime and conversion cost
b. It is a conversion cost
c. It is a prime cost
d. It is a conversion cost
In this way these four transactions should be classified as the prime cost, conversion cost or both
The same should be considered and relevant
what are the benefits of intrapreneurship to the Country
At the end of January, Mineral Labs had an inventory of 945 units, which cost $11 per unit to produce. During February the company produced 1,750 units at a cost of $15 per unit.
a. If the firm sold 2,550 units in February, what was the cost of goods sold?
b. If the firm sold 2,550 units in February, what was the cost of goods sold?
Answer: $34,470
Explanation:
a. Cost of goods sold for $2,550 units
The inventory sold will include the 945 units which cost $11 to produce.
It will get the rest from the 1,750 units which cost $15 to produce.
The remaining units are:
= 2,550 - 945
= 1,605 units
Total cost of goods sold:
= (945 * 11) + (1,605 * 15)
= 10,395 + 24,075
= $34,470
Rosie is an employee of Social Media Company. At the end of a successful unionization campaign, Tech Workers Union is certified as the employees’ bargaining representative. Rosie refuses to join the union. For this refusal, under the National Labor Relations Act, the union can force the company to
Answer: d. none of the choices.
Explanation:
Joining a union is a voluntary act which means that if a person decides not to join one, not much can be done about it by the Union.
The Union cannot compel the company to discharge or fire the employee, neither can they encourage them to deny the employee a promotion or discriminate against the employee in their employment of the employee.
The main disadvantage of not being in a trade union is that they will not represent you in disputes against the company.
During the economic downturn of 2008-2009, the Federal Reserve a. took the unusual step of using open-market operations to purchase mortgages and corporate debt. b. explicitly set its target rate of inflation well above zero. c. used open-market operations to purchase mortgages and corporate debt, just as it frequently does even when the economy is functioning normally. d. explicitly set its target rate of inflation at zero.
Answer: a. took the unusual step of using open-market operations to purchase mortgages and corporate debt.
Explanation:
During the Great Recession of 2008 - 2009, the Fed realized that it could not sit idly by as it had done during the Great Depression of 1929 and so decided to take some drastic measures to rescue the financial system.
One such measure was the use of open market operations to buy mortgages and corporate debt. The Mortgage market crashing primarily the cause of the crises so the Fed bough them up trying to prop up the market with the hope that the real estate market would begin to recover.
Compute the Cost of Goods Sold for 2016 using the following information: Direct Materials, Jan. 1, 2016$50,000 Work-in-Process, Dec. 31, 2016 74,500 Direct Labor 58,500 Finished Goods, Dec. 31, 2016 125,000 Finished Goods, Jan. 1, 2016 158,000 Manufacturing Overhead 79,500 Direct Materials, Dec. 31, 2016 63,000 Work-in Process, Jan. 1, 2016 107,000 Purchases of Direct Material 95,000
Answer:
COGS= $154,500
Explanation:
First, we need to calculate the cost of goods manufactured:
cost of goods manufactured= beginning WIP + direct materials + direct labor + allocated manufacturing overhead - Ending WIP
Direct material used= beginning inventory + purchases - ending inventory
Direct material used= 50,000 + 95,000 - 63,000= $82,000
cost of goods manufactured= 74,500 + 82,000 + 58,500 + 79,500 - 107,000
cost of goods manufactured= $187,500
Now, the cost of goods sold:
COGS= beginning finished inventory + cost of goods manufactured - ending finished inventory
COGS= 125,000 + 187,500 - 158,000
COGS= $154,500
Suppose The government decides to increase taxes by 40 billion in order to increase social security benefits by the same amount if the MPC is 0.9 will aggregate demand increase decrease or remain unchanged in at current prices with this combined tax transfer policy
Answer:
Suppose the government decides to increase taxes by $40 billion in order to increase Social Security benefits by the same amount. If the MPC is 0.9, will aggregate demand increase, decrease or remain unchanged at current prices with this combined tax transfer policy? No change Increase in AD O Decrease in AD
Sales of hot dogs at the corner of 24th and Lex. follow the following patterns: 40% of the days, 80 are sold; 50% of the days, 90 are sold; and the remaining days,100 are sold. Given the vendor plans to stock 90 each day, What approx. expected CSL is the vendor targeting
Answer: 90%
Explanation:
Cycle Service Level refers to the expected probability by which a manufacturer meets the demand for a particular product and is not being stockout.
In this case,
40% of the days, 80 are sold;
50% of the days, 90 are sold
10% of the days; 100 are sold.
Since the vendor plans to stock 90 each day, then the vendor will meet demand during 40% of the days, when 80 are sold; and during 50% of the days, when 90 are sold.
Therefore, the expected CSL is the vendor targeting will be:
= 40% + 50%
= 90%
The following relates to a proposed equipment purchase: Cost $ 157,000 Salvage value $ 5,000 Estimated useful life 4 years Annual net cash flows $ 52,600 Depreciation method Straight-line Ignoring income taxes, the annual net income amount used to calculate the accounting rate of return is
Answer:
$14,850
Explanation:
Depreciable amount = $158,000 - $5,000 = $153,000
Annual depreciation = $38,250
Annual net income = $53,100 - $38,250 = $14,850.
Therefore, the annual net income amount used to calculate the accounting rate of return is $14,850
You are considering purchasing a bond with 18 years to maturity, a $1,000 face value and a 5% coupon rate with interest paid semiannually. Interest rates on bonds in this risk class have dropped to 3% and you expect that this bond will be called in 3 years. The current price of the bond is $1,075.00. Assuming you would be paid one year's worth of interest as a premium if the bond is called, what is the yield to call on this bond?
a. 5.43%.
b. 3.91%.
c. 0 2.93%.
d. 1.86%.
Answer:
b. 3.91%.
Explanation:
The computation of the yield to call is given below
Given that
NPER = 3× 2 = 6
PMT = $1,000 × 5% ×1 ÷2 = $25
PV = $1,075
FV = $1,000 + $50 = $1,050
The formula is given below:
=RATE(NPER,PMT,-PV,FV,TYPE)
After applying the above formula, the yield to call is
= 1.9565% × 2
= 3.91%
Evaluate the usefulness of a Business Plan for your start up business idea
Explanation:
Gain a Deep Understanding of Your Market. ...
Organization. ...
Practice Makes Perfect. ...
Confirm the Math. ...
Iron Out Possible Kinks. ...
Foster Alignment
Meteor Tie Company produces ties from fabric according to Q = 10 + 4 F – (1/3) F 3. If fabric is free and ties sell for $20, what is Meteor’s optimal usage of fabric?
Answer:
The optimal usage of fabric = 2
Explanation:
Given the quantity, Q = 10 + 4F - (1/3) F^3
Selling price = $20
Profit = TR - TC
There is no variable cost and let the fixed cost is constant G.
Profit = PQ - G
Profit = 20(10 + 4F − (1/3)F^3)) - G = 0
Now take the first order derivative:
d(profit) / dF = 0
20(4 - F^2) = 0
F = 2
Therefore the optimal usage of fabric = 2
UNT Inc. is expected to pay a dividend of $1.50 per share at the end of year 1(Div1), and the dividends are expected to grow at a constant rate of 2 percent forever. If the current price of the stock is $30 per share, calculate the expected return or the cost of equity capital for the firm.
Answer:
The expected return or the cost of equity capital for the firm is 7%.
Explanation:
This is calculated by using the Gordon growth model (GGM) formula as follows:
P = Div1/(r - g) ……………………………………… (1)
Where;
P = current price share = $30
Div1 = Expected dividend at the end of year 1 = $1.50
r = expected return = ?
g = dividend constant growth forever = 2%, or 0.02
Substituting the values into equation and solve for r, we have:
30 = 1.50 / (r - 0.02)
30(r – 0.02) = 1.50
30r – 0.60 = 1.50
30r = 1.50 + 0.60
r = (1.50 + 0.60) / 30 = 0.07, or 7%
Therefore, the expected return or the cost of equity capital for the firm is 7%.
You have just finished analyzing data for a marketing project. Before moving forward, you share your results with members of the marketing team to see if they might have additional insights into the business problem. What practice does this support?
Answer:
Data-driven decision-making
Explanation:
Marketing can be defined as the process of developing promotional techniques and sales strategies by a firm, so as to enhance the availability of goods and services to meet the needs of the end users or consumers through advertising and market research. Thus, it comprises of all the activities such as, identifying, anticipating set of medium and processes for creating, promoting, delivering, and exchanging goods and services that has value for customers. It typically, involves understanding customer needs, building and maintaining healthy relationships with them in order to scale up your business.
In this scenario, the practice supports data-driven decision-making because the researcher shared his or her results with members of the marketing team to see if they might have additional insights into the business problem
The additional planning that may be done after sharing this data with the organization might be helpful in contributing towards the growth of the organization. This process is referred to as Data-backed planning.
Data backed planning can be used to hamper the growth of the organization in a positive way by using numbers that can help analyzing and discussing new strategies by the management.
Data is considered to be an important source of analysis which is purely backed by performance, not in efficiency, but in numbers. Data backed research also helps identifying the problem with one single area.If there is a decline in sales only due to one buyer, it can be denoted by his name, say Mr. A and will also let the organization identify and focus more on the core problem rather than worrying about entire sales.Data backed planning gives results in absolute numbers and is not based on the efficiency in the performance. However the efficiency can be determined based on numbers.Hence, the above statement denotes that the data backed analysis is a process based on the sharing the data of business insights with marketing team to help improve the inner side of the business.
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Devil's advocacy:_____.a. involves generating a plan and a counterplan that reflects plausible conflicting courses of action. b. includes downplaying the problems that could result from implementing a particular plan. c. hides the possible perils of a recommended course of action. d. involves generating a plan and a critical analysis of that plan. e. is an example of ivory tower planning.
Answer:
d. involves generating a plan and a critical analysis of that plan.
Explanation:
The devil's advocacy is a decision-making technique in which an individual in a group is permitted to become the critic in the decision that should be taken in near future. It prevents the group thinking and increased the high quality decision chances. Also it prevents in making expensive along with the risky decisions
So as per the given options, the option d is correct