Answer: Savings on taxes of -$50,008
Explanation:
Book Value = $450,000
Selling Price = $271,400
Book Value is more than selling price so there is a Capital loss.
Capital gains tax will therefore become a tax saving of;
= 28% * (271,400 - 450,000)
= -$50,008
Choose the correct word in brackets to complete the following:(1) Which fluctuate more-long-term or short-term interest rates? Why?(Short or long) -term interest rates are (more or less) volatile because the (Federal Reserve or Internal Revenue Service) operates mainly in the (short or long) -term sector, hence (Federal Reserve or Internal Revenue Service) intervention has its major effect here, and (short or long) -term interest rates reflect the average expected inflation rate over the next (1 to 2 or 20 to 30) years, and this average does not change as radically as year-to-year expectations.(2) What does it mean when it is said that the United States is running a trade deficit? What impact will a trade deficit have on interest rates?The (larger or smaller) the trade deficit, the (lower or higher) the tendency to (lend or borrow) . Foreigners will hold U.S. debt if and only if the rates on U.S. securities are (lower or competitive) with rates in other countries. This causes U.S. interest rates to be (highly or not very) dependent on rates in other parts of the world. This interdependency (limits or aids) the ability of the (Federal Reserve or Internal Revenue Service) to use (fiscal or monetary) policy to control economic activity in the United States. For example, if the (Federal Reserve or Internal Revenue Service) attempts to (lower or raise) U.S. interest rates and this causes rates to (fall below or rise above) rates abroad, foreigners will begin (selling or buying) U.S. bonds. Those (sales or purchases) will depress bond prices, which will push up rates in the U.S.. Thus, the large U.S. trade deficit (hinders or aids) the (Federal Reserve or Internal Revenue Service) ability to combat a recession by lowering interest rates.(3) Suppose you have noticed that the slope of the corporate yield curve has become steeper over the past few months. What factors might explain the change in the slope? (1) Inflation is expected to be (higher or lower) in the future.(2) There is a positive (default or maturity) risk premium.A downward sloping yield curve yield curve when inflation is expected to (decrease or increase) . Such a downward sloping yield curve often foreshadows an economic (upturn or downturn) because of weaker economic conditions generally lead to declining inflation, which in turn results in (lower or higher) long-term rates.Recall that corporate bonds include a risk premium (DRP) and a premium (LP). One recent study estimates that both the default risk premium and liquidity premium vary over time, and the majority of the corporate bond yield spread can be attributed to (default or liquidity) risk.For example, the (default or liquidity) risk on Coca-Cola's short term debt is very small because there is almost no change that Coca-Cola will go bankrupt over the next few years. However, Coke has some bonds that have a maturity of all most (100 or 500) years. There is a higher probability of default risk on Coke's (long or short) -term bonds than on its (long or short) -term bonds.
Answer:
(1) Which fluctuate more-long-term or short-term interest rates? Why?(Short or long) -term interest rates are (more or less) volatile because the (Federal Reserve or Internal Revenue Service) operates mainly in the (short or long) -term sector, hence (Federal Reserve or Internal Revenue Service) intervention has its major effect here, and (short or long) -term interest rates reflect the average expected inflation rate over the next (1 to 2 or 20 to 30) years, and this average does not change as radically as year-to-year expectations.
(2) What does it mean when it is said that the United States is running a trade deficit? What impact will a trade deficit have on interest rates?
The (larger or smaller) the trade deficit, the (lower or higher) the tendency to (lend or borrow) . Foreigners will hold U.S. debt if and only if the rates on U.S. securities are (lower or competitive) with rates in other countries. This causes U.S. interest rates to be (highly or not very) dependent on rates in other parts of the world. This interdependency (limits or aids) the ability of the (Federal Reserve or Internal Revenue Service) to use (fiscal or monetary) policy to control economic activity in the United States. For example, if the (Federal Reserve or Internal Revenue Service) attempts to (lower or raise) U.S. interest rates and this causes rates to (fall below or rise above) rates abroad, foreigners will begin (selling or buying) U.S. bonds. Those (sales or purchases) will depress bond prices, which will push up rates in the U.S.. Thus, the large U.S. trade deficit (hinders or aids) the (Federal Reserve or Internal Revenue Service) ability to combat a recession by lowering interest rates.
(3) Suppose you have noticed that the slope of the corporate yield curve has become steeper over the past few months. What factors might explain the change in the slope?
(1) Inflation is expected to be (higher or lower) in the future.(2) There is a positive (default or maturity) risk premium. A downward sloping yield curve yield curve when inflation is expected to (decrease or increase) . Such a downward sloping yield curve often foreshadows an economic (upturn or downturn) because of weaker economic conditions generally lead to declining inflation, which in turn results in (lower or higher) long-term rates. Recall that corporate bonds include a risk premium (DRP) and a premium (LP). One recent study estimates that both the default risk premium and liquidity premium vary over time, and the majority of the corporate bond yield spread can be attributed to (default or liquidity) risk. For example, the (default or liquidity) risk on Coca-Cola's short term debt is very small because there is almost no chance that Coca-Cola will go bankrupt over the next few years. However, Coke has some bonds that have a maturity of all most (100 or 500) years. There is a higher probability of default risk on Coke's (long or short) -term bonds than on its (long or short) -term bonds.
Explanation:
The Federal Reserve manages the monetary policy by influencing short-term interest rates and the availability and cost of credit in the economy. While its monetary policy directly affects interest rates, it also indirectly affects stock prices, wealth, and currency exchange rates.
One year ago, you purchased 350 shares of Titan Wood Products for $63.17 per share. The stock has paid dividends of $.71 per share over the past year and is currently priced at $68.22. What is your total dollar return on your investment?a. $2016.00b. $1891.75c. $1767.50d. $2083.20e. $1008.00
Answer:
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Bramble Corp. reported the following information for 2016: October November December Budgeted sales $1250000 $1150000 $1450000 All sales are on credit. Customer amounts on account are collected 50% in the month of sale and 50% in the following month. How much cash will Bramble receive in November?a. $575000.b. $1200000.c. $1300000.d. $1150000.
Answer:
b. $1200000
Explanation:
Calculation for How much cash will Bramble receive in November
Using this formula
Cash receive in November = October Budgeted sales + Budgeted sales of November
Let plug in the formula
Cash receive in November= ($1,250,000 × 50%) + $1,150,000 × 50%)
Cash receive in November= $625,000 + $575,000
Cash receive in November= $1,200,000
Therefore the amount that Bramble receive in November will be $1,200,000
PLS HELP ASAP
Owners equity includes (______), which is the amount of profits that your business has been able to save over the past few years.
what's the benefits of any Financial investments company ?
Answer:
economies of scale
Explanation:
When you buy shares you have to pay dealing costs and admin fees, which can eat away at the value of your investment. In an investment company, all the investors pool their money and split the admin costs. You can end up paying much less.
Suppose a stock had an initial price of $96 per share, paid a dividend of $2.70 per share during the year, and had an ending share price of $77.50. Requirement:a. Compute the percentage total return. (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Percentage total return % b. What was the dividend yield? (Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).) Dividend yield % c. What was the capital gains yield? (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).) Capital gains yield %
Answer: See explanation
Explanation:
Sales price = $77.50
Add: Dividend = $2.70
Less: Purchase price = $96
Dollar return = -$15.80
a. Compute the percentage total return.
= Dollar return / Purchase price
= -15.80 / 96
= -0.1646
= -16.46%
b. What was the dividend yield?
= Dividend / Purchase price
= 2.70 / 96
= 0.0281
= 2.81%
c. What was the capital gains yield?
= -16.46% - 2.81%
= -19.27%
Which scenario might produce a new equilibrium interest rate of 5% and a new equilibrium quantity of loanable funds of $150 billion
Answer:
Increase in capital inflows from other countries
Explanation:
An increase in capital inflows can be known to produce a boom in an economy. It leads to an appreciation of nominal exchange rate and also the real exchange rate. It is the inflow of capital from one nation to another nation. It takes place through the aid of the government, private organizations and international organizations or probably agencies.
Increase in capital inflows from other countries can bring about an equilibrium interest rate of 5% and a new equilibrium quantity of loanable funds of $150 billion.
Ticker IBS is traded on the Pacific, Gulf and Atlantic stock Exchanges. The sequence of bids in the consolidated record is:
Time Exchange Bid
10:00:01 Atlantic 23.33
10:00:02 Pacific 23.32
10:00:03 Gulf 23.34
10:00:04 Pacific 23.40
10:00:05 Gulf 23.45
10:00:06 Pacific 23.44
10:00:07 Atlantic 23.43
10:00:08 Gulf 23.40
The NBB at 10:00:07 is:_______
a. 23.32
b. 23.43
c. 23.45
d. 23.44
Answer:
c. 23.45
Explanation:
National best bid (NBB) is the highest bid price across all the nation at a given point of time. In this question, 23.45 is the highest bid price from Gulf before 10:00:07
Accounting systems that use standards for product costs are called budgeted cost systems. True False
Answer:
False.
Explanation:
Accounting systems that use standards for product costs are standard cost systems.
In Financial accounting, various business firms or companies use the standard cost systems to determine the variances or differences between the actual (real) cost of goods produced and the estimated cost for the goods that were produced by the company.
Hence, standard cost systems are used by business firms or companies as a strategic tool or technique for the management and control of costs, budget planning, and analyzing cost management performance at a specific period of time.
The Elkmont Corporation needs to raise $52.5 million to finance its expansion into new markets. The company will sell new shares of equity via a general cash offering to raise the needed funds. If the offer price is $21 per share and the company's underwriters charge a spread of 7.5 percent, how many shares need to be sold?
Answer:
The amount of shares need to sold is
Mortech had net income of $246,000 based on variable costing. Beginning and ending inventories were 46,000 units and 45,000 units, respectively. Assume the fixed overhead per unit was $0.50 for both the beginning and ending inventory. What is net income under absorption costing?
Answer:
$245,500
Explanation:
Given that;
Net income based on variable costing = $246,000
Beginning inventories = 46,000 units
Ending inventories = 45,000 units
Fixed overhead per unit = $0.50
Inventory = (Beginning inventories - Ending inventories) × Fixed overhead per unit
= (46,000 units - 45,000 units) × $0.50
= 1,000 units × $0.50
= $500
Net income under absorption costing
= Net income based on variable costing - Inventory
= $246,000 - $500
= $245,500
Crane Company sells two types of computer hard drives. The sales mix is 30% (Q-Drive) and 70% (Q-Drive Plus). Q-Drive has variable costs per unit of $30 and a selling price of $90. Q-Drive Plus has variable costs per unit of $45 and a selling price of $135. Crane’s fixed costs are $486000. How many units of Q-Drive would be sold at the break-even point?
Answer:
1,800 units
Explanation:
With regards to the above, we need to find first the contribution margin of Q drive.
Contribution margin of Q drive = Selling price - Variable costs per unit
= $90 - $30
= $60
We will also find contribution margin of Q drive plus
Contribution margin of Q drive plus = Selling price - Variable costs per unit
= $135 - $45
= $90
Therefore, the combine contribution margin for both drive
= 30% × $60 + 70% × $90
= $18 + $63
= $81
The next step is to find the total break even point
= Crane company's fixed costs / Combined contribution margin
= $486,000 / $81
= 6,000 units
Furthermore, it means that Q drive would be sold at the break even point = Total break even point × Sales mix
= 6,000 × 30%
= 1,800 units
when did among us come out?
2017
2018
2016
2015
Answer:
2018
Explanation:
smarts i have been playing it science the begining
Answer:
2018!?
Explanation:
Describe the administrative, bureaucratic, and/or cultural developments that aided the Chinese and Romans in building their respective empires.
Answer:
The description is summarized throughout the clarification section below, as per the particular circumstance.
Explanation:
Rome seems to have been a moderate monarchy, a country of the landowner, some 4 generations before the actual establishment of the empire. China would not have been a single state body, but a group of tiny ruling monarchs dominated by decorated bronze-age gentry. Unquestionably, underneath a constitutional monarchy, the 2 empires have a domain. Throughout size, the Roman, as well as Chinese civilizations, appeared close. Every, therefore, ruled over around a fifth of the population including its Planet. All but one of the mountain ranges was marginally more than a quarter the same as the U.S. Until bowing down to identical fates, everybody survived up to five generations. Part of each empire, the much more substantial half including its center of the country, collapsed to cave dwellers further than the northeastern part.As when the Romans did, the Chinese built a hierarchy to keep the empire intact. Chinese characters interpreted concepts or words via sounds which are not easily accessible to several other countries or words, yet all politically aware persons should understand written Chinese. As something of a method of elite multiculturalism, Latin worked. Buddhism originated throughout India and had been founded throughout China among Central Asian merchants.The collective presence of Greece as well as Rome's ritual worship from either the East was further geographically divided by the Romans. The inhabitants of the Roman Empire retained more distinct ethnic cultures than the one in China. Those administrations remained split politically between provincial elites as well as the government to have stability.A company reported the following amounts and balances: Beginning capital balance $45,000, Net Sales $420,000, Cost of Goods Sold $273,000, Total Expenses $112,000, Net Income $35,000, Ending Cash Balance $22,000, Withdrawals $7,200, Ending Accounts Receivable $27,000. What is the Ending Capital Balance?
a. $94,600
b. $38,200
c. $72,800
d. $49,600
Answer:
c. $72,800
Explanation:
ending capital balance = beginning capital balance + net income - withdrawals = $45,000 + $35,000 - $7,200 = $72,800
Ending capital balance refers to total owners' capital balance after the accounting period is closed. Net income increases owners' capital while withdrawals or dividends decrease it.
Jerry Seinfeld derives utility from only two goods: Puffy shirts (X) and cereal (Y). His utility function is: U = XY'. The price of X is $10, the price of Y is $20, and Jerry has an income of $500. Suppose the price of Puffy Shirts increased to $20. The compensated bundle is (2.6794, 24.1149). How much is the total effect, on X, of the price change?
The total effect of change in the price of goods X is that the consumption of goods X is decreased from 2.5 by find out the new utility line.
What is Utility?Utility is the very important term that is used in the economics. It refers to the want satisfying power of any commodity, that satisfy the wants of each and every individual.
According to the given information,
[tex]U = XY^9[/tex]
Old Budget Line:
[tex]500 = 10X +20Y[/tex]
We know that,
[tex]\frac{MUx}{Px} = \frac{MUy}{Py}[/tex]
Now, find the value of [tex]MU_x[/tex] and [tex]MU_y[/tex],
[tex]MU_x = \dfrac{\triangle U}{\triangle x}\\\\MU_x = Y^9[/tex]
[tex]MU_y = \dfrac{\triangle U}{\triangle y}\\\\MU_y = 9 \times XY^8\\\\MU_y = \dfrac{Y^9}{10} \times \dfrac{9 \times XY^8}{20} \\\\Y = \dfrac{9X}{2}\\[/tex]
Now, put the value of Y in the above budget line, we have,
[tex]\$500 = 10X+20Y\\\\\$500 = 10X + 20(\frac{9X}{2} )[/tex]
Then, the value of X would be,
[tex]X = 5[/tex]
Now, put the value of X in Y,
[tex]Y = \dfrac{9X}{2}\\\\Y =\dfrac{9\times 5}{2}\\\\Y = 22.5[/tex]
Then, the new budget line would be:
[tex]500 = 20X +20Y[/tex]
We know that,
[tex]\frac{MUx}{Px} = \frac{MUy}{Py}[/tex]
No, put the value of [tex]Y = 9X[/tex] in the new budget line, we get
[tex]500 = 20X +20(9X)[/tex]
Then, the value of X is:
[tex]X = 2.5\\[/tex]
Then the value of Y is:
[tex]Y = 9X\\Y =9\times 2.5\\Y= 22.5[/tex]
Therefore, the effect of the change in the price of X is that the consumption of X had fallen from 5 to 2.5. Then the effect of price change on the consumption of good X is -2.5.
Learn more about utility, refer to:
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Jordan has the following assets and liabilities:_______. Two cars $10,000 House $200,000 Mortgage $100,000 Cash $1,000 Car loans $3,000 Checking account balance $2,000 Credit card balance $1,000 What is Jordan’s wealth?a. $107,000
b. $213,000
c. $109,000
d. $111,000
Answer:
c $109,000
Explanation:
A person's wealth is calculated by deducting their liabilities from their assets. The value left after the deduction is the person's wealth. In the above case, Jordan's wealth is calculated as;
= Assets [ Two cars + House + Cash balance + Checking account balance ] - Liabilities[ Mortgage - Car loans - Credit card balance ]
= [ $10,000 + $200,000 + $1,000 + $2,000 ] - [$100,000 + $3,000 + $1,000]
= $213,000 - $104,000
= $109,000
Therefore, Jordan's wealth is $109,000
1. How much would you pay for a share of stock paying a dividend(cash payout C) of $4 to be paid in one year, a known selling price in one year (P) of $50, and expected return (R) of similar assets of 2%?2. Compute the price of a share of stock that pays a$1.50 per year dividend and that you expect to be able to sell in one year for $20, assuming you require a 10% return.
Answer and Explanation:
The computation is shown below:
a. The willing to pay is
= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\
= ($50) ÷ (1 + 0.02) + ($4) ÷ (1 + 0.02)
= $52.94
b. The price of a share is
= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\
= ($20) ÷ (1 + 0.10) + ($1.50) ÷ (1 + 0.10)
= $19.55
We simply applied the above formula so that the correct value could come
And, the same is to be considered
An important tool in predicting the volume of activity, the costs to be incurred, the sales to be made, and the profit to be earned is:______
a. target income analysis
b. cost - volume profit analysis
c. least -square regression of costs
d, varaince analysis
e. process costing
Answer:
b. cost - volume profit analysis
Explanation:
Cost - volume profit analysis (CVP) is a tool the is used for mix of products sold, unit variable cost, total fixed costs, break-even point, sales volume, selling price.
CVP is a way that business gauge the different levels of cost and production volume on profit.
CVP is also called break even analysis which determines at which production level a business makes profit.
This analysis assumes that price, variable cost and fixed cost are constant.
The analysis allows companies get an accurate volume of units of products that will begin to bring in profits (break even)
A double bay car wash with an exponential arrival rate and service time has cars arriving an average of 5 minutes apart, and an average service time of 4 minutes. The utilization factor of the system is __________
Answer:
0.8
Explanation:
The Utilization factor p ;
p = mean service rate (λ) / mean arrival rate (μ)
The mean arrival rate : 5 minutes apart
Mean service rate = 4 minutes
Hence, mean arrival rate λ per hour = 60 / 5 = 12 persons per hour
Mean service rate μ per hour = 60 / 4 = 15
Utilization factor p = (mean arrival rate / mean service rate)
p = 12 / 15
p = 0.8
when weighing your employment options consider
Answer:
When weighing your employment options, these are very important to consider:
- Employee Benefits
- Pay period
- Taxes taxable income.
Thus, all of these are very important to consider before accepting the job offer.
Explanation:
A semiannual TIPS was issued in December 2017 with a face value of $1,000 and a coupon rate of 1.2%. What coupon payment it must have paid in December 2018 if the CPI was 247.91 in December 2017 and 251.23 in June 2018?
A. 6.08 B. 6.55 C. $6.97 D. $12.16
Answer: $6.08
Explanation:
To calculate the coupon payment it must have paid in December 2018 if the CPI was 247.91 in December 2017 and 251.23 in June 2018 will be:
Face value = $1000
Coupon rate = 1.2%
= Face value × Coupon rate / 2 × CPI June 2017 / CPI December 2018
= (1000 × 1.2%)/{(2 × 251.3)/247.91}
= 12/(502.6/247.91)
= 12/2.027
= $6.08
When you create a shape, additional
options will become
available when you select that shape in your document. *
a. layout
b. saving
c. editing
d. formatting
Answer:
formatting or editing because that is where you can change how something is placed or appears in the document.
You use ________________ to communicate a risk and the resulting impact.A. risk management plansB. CBAsC. risk statementsD. POAMs
Answer:A
Explanation:
in determining the appropriate discount rate for an individual project, the financial manager will be most influenced by the
Answer:
Coefficient of variation
Explanation:
The coefficient variation is determined by dividing the standard deviation from the expected return. It represents the value of the risk that contains to earn one unit of return. The lesser the coefficient of variation the better it is for making the decisions by the finance manager
Therefore according to the given options, the coefficient of variation should be chosen
Tinker's cost of goods sold in the year of sale (2019) was $750,000 and 2018 cost of goods sold was $770,000. The inventory at the end of 2019 was $188,000 and at the end of 2018 the inventory was $208,000. Tinker's average number of days to sell its inventory during 2019 is closest to: (Use 365 days a year.)
Answer:
96.3 days
Explanation:
Inventory turnover is calculated as;
= ( Average inventory / cost of goods sold ) × 365
Where,
Average inventory = (Beginning inventory + Ending inventory) / 2
Average inventory = ($208,000 + $188,000) / 2
Average inventory = $198,000
Therefore,
Inventory turnover = ($198,000 / $750,000) × 365
Inventory turnover = 96.3 days
The average number of days for Tinker to sell it's inventory during 2019 is closest to 96.3 days
Using the gross method of recording sales, what sales price should be recorded when an item with an $1,100 list price is sold with a 15% trade discount? The sales invoice includes the terms 2/10, n/30?
Answer:
Use percentage value new value and old value
Estelle has 30 years of experience in your field and has answered your questions giving you advice and help you make contacts she is your a mentor b notary C referral D coach
Answer:
mentor
Explanation:
A mentor is an experienced person or friend who offers guidance to a less experienced in their field of expertise. The mentor instills practical skills and helps establish their mentee's career. A mentor's work involves building confidence, modeling positive behavior, and connecting their mentee to useful contacts. A mentor has to be dependable and show commitment to the needs of their mentee.
If coal mining produces a negative externality because it leads to environmental damage, then, at the market equilibrium, the:________. a. price of coal will be higher than the socially optimal price b. quantity of coal produced will be less than the socially optimal quantity. c. quantity of coal produced will be greater than the socially optimal quantity d. supply curve will lie to the left of the regulated supply curve.
Answer: c. quantity of coal produced will be greater than the socially optimal quantity
Explanation:
The Socially Optimal quantity is the level of production that takes into account the negative externality being produced by coal and weighs it against the marginal benefit it brings.
If coal produces the negative externality of polluting the environment here then the socially optimal quantity of coal will be less than the market equilibrium because the marker equilibrium would not have taken into account the negative externality and will lead to more coal being produced than should be.
Why do we practice making associations with simple and mundane problems and resources? Select all that apply.
A.
To bring some light-hearted humor to practicing a rather difficult behavior.
B.
Things like losing your keys and empty ink cartridges are actually more important of a problem than expected.
C.
Due to their simplicity, there is a “right” or “perfect” solution to be identified.
D.
Removes the risk associated with trying to find the “right” or “perfect” solution.
E.
They are problems and resources that most people have experience with or can relate to.
Answer:
E. They are problems and resources that most people have experience with or can relate to.
Explanation:
Such problems and resources are most commonly found in day to day lives. People can easily relate to them as they are simple and common in the workplace. They are associated with the resources of particular problems. This making them a subject of practice it becomes easy to use them for teaching and other purposes. Such as enlightenment and giving advice.The reason why we practice making associations with simple and mundane problems and resources are:
A. To bring some light-hearted humor to practicing a rather difficult behavior.
D. Removes the risk associated with trying to find the “right” or “perfect” solution.
E. They are problems and resources that most people have experience with or can relate to.
Simple and mundane problems and resources refers to the issues of life and materials that are generally considered to be ordinary, not interesting or not unusual and they typically happen every now and then or we come across them everyday.
Some examples of simple and mundane problems and resources are:
The payment of bills.Shopping and buying of groceries.Video buffering.Slow or intermittent internet failure.The urge to pee when you're on bed or sleeping.Ironing and folding of clothes after laundry.Generally, humans practice making associations with simple and mundane problems and resources due to the following reasons:
To make us feel at ease and enjoy some light-hearted humor.It makes it easier to mitigate any form of risk associated with trying to find a right, proper or perfect solution to a difficult problem.Most people are able to relate to such problems and resources or have had an experience with them.Read more: https://brainly.com/question/19619102