A company buys a machine for $68,000 that has an expected life of 8 years and no salvage value. The company uses straight-line depreciation. The company anticipates a yearly net income of $3,250 after taxes of 36%, with the cash flows to be received evenly throughout each year. What is the accounting rate of return?
a. 3.44%.
b. 4.78%.
c. 9.56%.
d. 6.12%.
e. 38.24%.
Answer:
c. 9.56%
Explanation:
Accounting Rate of Return = Average Profit / Average Investment × 100
where,
Average Profit = $3,250
Average Investment = $68,000 ÷ 2 = $34,000
Therefore,
Accounting Rate of Return = $3,250 ÷ $34,000
= 9.56 %
Briefly explain why the data Brainard cites indicate that the Phillips curve is relatively flat.
Answer:
C. The flatter the Phillips curve, the less the inflation rate will rise, and the inflation rate has not risen much.
Explanation:
The following information is
There is a decline in the unemployment rate from 8.2% to 4.4%
The main inflation would be undershot 2 percent for 58 months
Based on the above information
The reason behind the Phillips curve be flat is that the lower rate of inflation would increased also the rate of inflation would not increased much as it should be increased
Therefore the option C is to be selected
Assuming that the issue is fully subscribed, or sold, which method would generate the most capital for the issuing firm
Answer:
Best effort sale
Explanation:
In the case when the issue is either fully sunscribed or sold so the method than generate the more capital for the firm i.e. issue is best effort sale
But before that we have to compute the weighted average price i.e.
= $32 × 0.2+ $36 × 0.3 + $42 × 0.5
= $6.4 + $ 10.8 + $21
= $38.2
As the weighted average price is more than the $36 so the best effor sale should be selected
Last year, total sales for your grocery store were $17,000 with returns of $457 and discounts of $700. The linear feet of shelving in the store totals 650. What are the sales less returns and discounts per linear foot of the store
Answer:24.37
Explanation:
24.37 just plug your formula and multiply the cash with store :)
random question, but i’ve been getting a few of my amazon packages stolen lately, so i’ve been requesting for replacements. today i got a package stolen from my porch, but i’m nervous that amazon will ban my account since i’ve already asked for replacements 5-6 times this year. last time i asked for a replacement was about 2 ish weeks ago. i’ve read online that people have gotten banned from amazon for returning things often. i haven’t been returning anything and instead asking for replacements or sometimes just a refund, but do you guys think amazon will end up banning me if i ask for a refund?
Suppose a stock can be purchased for $8, a put option on the stock can be purchased for $1.50, and a call option on the stock can be written (i.e., sold) for $.75. If holding these positions in combination can guarantee a payoff of $10 at the end of one year, then what must be the risk-free rate if no arbitrage opportunities exist?
Answer:
14.29%
Explanation:
We have Stock purchase price to be $8
We have the Put option purchase price to be $1.50
The Call option selling price is $0.75
From here we calculate the Total cash outflow as
8 + 1.5 - 0.75 = $8.75
The Total cash inflow after one year is put as $10
Therefore we have the risk free rate to be (10-8.75)/8.75 = 0.1429 = 14.29%
Where a producer chooses the intensity level of its market coverage, which level is chosen to utilize the “shotgun” approach?
Answer:
The level that utilizes the "shotgun" approach to market coverage is:
Intensive Distribution (mass coverage).
Explanation:
This marketing approach aims to reach many consumers through as many sales channels as possible. In this situation, consumers have easy access to the goods or services. The other approaches include Selective Distribution (where few outlets in specific locations are selected for the distribution of the goods and services) and Exclusive Distribution (where limited outlets are chosen because of the target market).
Proxemics. What is the distance a speaker should have with the audience in a professional setting?
According to the rule of Proxemics, the distance a speaker should have with the audience in a professional setting is between 1 and 4 feet. According to the rule of Proxemics, this distance is the best for creating rapport and enhancing relationships.
What is Proxemics?
The study of human use of space and the consequences of population density on behavior, communication, and social interaction is known as proxemics.
Proxemics is one of numerous subcategories of nonverbal communication research, which also includes haptics, kinesics, singers, and chronemics.
What are the four kinds of proxemics?In the early 1960s, anthropologist Edward Hall invented the term and defined four primary proxemic zones:
the private space, the personal space, the social space, and the public space.Learn more about Proxemics:
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What is marketing myopia? What is short term and long term implications for business in this situation?
Answer:
you could easily look that up
Explanation:
THIS IS FOR CULINARY
A contingency plan for labor may include (choose one answer)
A. taxes
B. insurance
C. cross trained employees
D. layoffs
Answer:
D. layoffs
Explanation:
A contingency plan is an alternative plan of action in case of unexpected outcomes. It is devised and kept in place to be implemented in bad times. A contingency plan is a sort of a risk mitigation plan to help the business navigate through a bad situation efficiently.
A contingency plan for labor include measures that can help a business overcome tough seasons. The business may need to layoff some employees to save on labor in times of economic downtime
Journalize the following transactions for Combs Company.
(a) Purchased 6,000 units of raw materials on account for $11,500. The standard cost was $12,000.
(b) Issued 5,600 units of raw materials for production. The standard units were 5,800.
Answer: See explanation
Explanation:
a. Debit: Raw material $12000
Credit: Account payable $11500
Credit: Material price variance $500
(To record material purchase)
b. Debit: Work in process 11600
Credit: Raw material 11200
Credit: Material price variance 400
(To record material issued)
Note:
Material price variance for (a)= 12000 - 11500 = 500
Work in progress = 5800 × 2 = 11600
Material price variance for (b) = 11600 - 11200 = 400
In line with the vast demand of its bonds in the EU capital markets, the Chevron Oil
Company issued 10% bonds of $100,000 for five years in Paris Capital Market and sell
for $102,000. The market interest rate is 10%. The cost of borrowing to Chevron
Company is:
Select one:
a. 48,000
b. None of the above
c. 40,000
d. 50,000
Using a Keynesian model of an economy without a government and a foreign sector, illustrate using a well labelled diagram the impact of an increase in investment spending on the equilibrium level of income. (Hint: draw a well labelled diagram only).
Keynesians contend that because prices are somewhat rigid, changes in any aspect of spending, whether government, investment, or consumer spending, affect output. For instance, output will rise if government expenditure rises while all other spending factors stay the same.
In other words, at every income level, investing is more desired. Equilibrium income consequently increases from Y0 to Y1. As a result, while increasing planned investment spending increases equilibrium national income, decreasing planned investment expenditure decreases it.
Keynes understood that a potent tool for influencing aggregate demand was the government budget. Along with increased or decreased government spending having an impact on aggregate demand, tax rates could also have an impact on consumption and investment spending.
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You work for a company where the HR director has been involved in unethical activities. You know that others are also aware of the situation; however, no one is willing to report the director's behavior to upper management. You do not want to be the whistleblower3; however, you realize that guilt and loss of self-respect can result when you do or do not do things that conflict with what you believe. Discuss this situation with two or three classmates. Identify pros and cons of becoming a whistleblower.
Answer:
Personal Pros & Cons
Explanation:
To become a whistleblower in this situation, you might want to stay anonymous when reporting the situation. By staying anonymous you can report this situation without being worried that this HR director will know. But, if you don't want to become the whistleblower someone else might report them and you'll be out scot-free. But in the chance, someone doesn't, then you might feel guilty for not reporting this issue.
_____ refers to the idea that all organizational members are capable of leading themselves at least to some extent. a. Leadership commitment b. Organizational capability c. Internal commitment d. Self-leadership
Answer:
Option d (Self-leadership) seems to be the appropriate response.
Explanation:
Self-leadership seems to be a process through recognizing whoever you are, defining certain ideal perceptions, as well as consciously leading yourself towards yourself. It, therefore, tells people who you are, but whether you're a certain kind of individual individuals would like to emulate.Other possibilities aren't connected to the circumstance in question. So that is indeed the right choice.
What happens to our peace and prosperity when we limit trade?
When we limit trade, our peace and prosperity will suffer and decrease.
What happens when trade is limited?Trade is very important for the growth, peace, and prosperity of an economy. This is because imports give a nation more options for goods and services.
Exports then given a nation more income and better foreign exchange. This is why peace and prosperity increases when we engage in trade. Limiting trade would therefore have a negative effect on peace and prosperity.
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technical school provide formal.......?
Answer:
Sin la escuela técnica proporciona formalmente recurso muy importantes para los estudiantes debido a su exigencia académica y de rendimiento para lo cual los estudiantes deben estar preparados para así poder lograr los objetivos de la escuela técnica y otras metas.
Explanation:
Gracias.
#cuidemonosdesdecasa.
On January 1, 2020, Solugenix issued $400,000 of 7.125 percent Senior Notes due January 1, 2030, at par value. Interest on the notes is payable semiannually. At December 31, 2021, the bonds traded at 105. If the company were to repurchase the remaining notes on December 31, Year 2021, what would be the gain or loss on the repurchase
Answer:
$20,000 loss
Explanation:
Repurchase of bond = Repurchase price - Carrying value
Repurchase of bond = ($400,000*105%) - $400,000
Repurchase of bond = $420,000 - $400,000
Repurchase of bond = $20,000 loss
Thus, the loss on the repurchase of the bond is $20,000
The process of analyzing alternative long-term investments and deciding which assets to acquire or sell is known as:
Answer: capital budgeting
Explanation:
The process of analyzing alternative long-term investments and deciding which assets to acquire or sell is known as Capital budgeting.
Capital budgeting is typically used by an organization or a business to know whether it will be worth it if an organization invest in an asset such as new plants, machineries, development projects etc and different alternatives are also considered in order to choose the best option.
San Marco has a $4,007,000 asset investment and is subject to a 30% income tax rate. Cash inflows related to the investment are expected to average $607,000 before tax over the next few years; in contrast, average income before tax is anticipated to be $508,000. The company's after-tax accounting rate of return is: g
Answer:
the company after tax accounting rate of return is 8.87%
Explanation:
The computation of the after tax accounting rate of return is shown below:
Average income after tax is
= before tax income × (1 - tax rate)
= $508,000 × (1 - 0.30)
= $508,000 × 0.70
= $355,600
Now the after tax accounting rate of return is
= (Average income after tax ÷ Investment) × 100
= ($355,600 ÷ $4,007,000) × 100
= 8.87%
Hence, the company after tax accounting rate of return is 8.87%
Knowledge management is very important on agile projects. At the end of every two-week to four-week iteration, a ceremony (meeting) called a ______ is held to determine what worked well and what can be improved. a. Stand-up meeting b. Show and tell c. Retrospective d. Backlog review
Answer:
d. Backlog review
Explanation:
Since in the question it is mentioned that the knowledge managemengt plays a vital role in the agile projects and at the end of every two to four weeks, there is a ceremony called a back log review in which it measures which function worked well and which can be improved
Here the backlog review means the list of the items which the team has to work. In this, the work should be done based on the existing work done and if there is any bug than it should be fixed. It could be applied while devloping a product all over the cycle
Therefore option d is correct
will give brainliest
Georgia was responsible for dealing with customer complaints. She had a
customer who was very angrily accusing the store's sales associate of
disrespecting him while attending to him. What should Georgia do?
A. Offer a store gift card to the customer in order to make amends
for the wrong.
B. Fire the employee.
C. Apologize and ask for details about the situation.
D. Give the employee a stern lecture and make him apologize to the
customer.
Georgia should apologize and ask for details about the situation. Thus, option C is the correct option.
Who is the customer?A customer is a person who orders a product or purchases a product or a service forwards he pays money.
Firing the employee is not a good option as they have heard only the complaints of the customer and have not listened to the part of the employee.
Secondly, offering a store gift card to the customer is an option when we have done some kind of mistake, but over here they may take it as a form of gift and make other people also claim the same.
Giving the employer stern lectures is not a good option, as there must be some sort of misunderstanding that the is not know about.
So asking the customer what the problem is and ask him how he was this respected by the customer care person. By knowing the details, we are sure the customer that the steps will be taken, and we can also know the story of the scene which was being created. Therefore, option C is the correct option
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Question 2 of 20
A person is most likely to be motivated to make an economic decision if:
A. it comes witha lot of major opportunity costs.
B. it requires the person to give upa lot of value in trade-offs.
C. its potential benefits seem to be greater than its costs.
D. its marginal costs are likely to be greater than its benefits.
Corporation's net cash provided by operating activities was $115; its net income was $95; its capital expenditures were $65; and its cash dividends were $17. The company's free cash flow was:__________.
A. $292
B. $13
C. $33
D. $31
Answer:
C. $33
Explanation:
Free cash flow is calculated as;
= Net cash provided by operating activities - Cash used for capital expenditure - Cash dividend
Given that;
Net cash provided by operating activities = $115
Cash used for capital expenditures = $65
Cash dividend = $17
The company's free operating cash flow;
= $115 - $65 - $17
= $33
Do some research on mergers and acquisitions. What were the five largest mergers– acquisitions last year? Make a list of the partners in each. What reasons were given for the merger–acquisition? Do you think these mergers–acquisitions made strategic sense? Explain.
Answer:
Mergers and Acquisitions in 2019:
1. The five largest mergers-acquisitions in 2019:
Acquirer and Partner
a. BB&T and SunTrust
b. Schwab and TD Ameritrade
c. Raythem and UTC
d. Newmont and Goldcorp
e. Salesforce and Tableau Software
2. Reasons for the M&A:
a. BB&T and SunTrust - to cut cost
b. Schwab and TD Ameritrade - to save money
c. Raythem and UTC - to become largest defence company
d. Newmont and Goldcorp - to acquire competitive advantage
e. Salesforce and Tableau Software - to boost revenue
3. Some of the M&A transactions do not make any strategic sense. For example, now that Raythem and UTC combined want to form the largest defense company, do they add much to their stockholders returns? Some others acquired to cut cost will experience the huge costs of acquisition, which are, most times, too large to be written off in a single year.
Explanation:
Major financial transactions done at the corporate level for the purpose of consolidating the assets of two or more companies, growing market share, and eliminating competition are called Mergers and Acquisitions (M&A). Consolidation of companies may be achieved through mergers, acquisitions, assets purchase, management acquisitions, etc.
Neither Kenji nor Lucia has an incentive to increase output further, nor does either have an incentive to decrease output. This outcome is an example of:__________
Answer:
Nash equilibrium
Explanation:
The nash equilibrium is the equilibrium that deals in the game theory in which there is an optimal result of a game where no player has the incentive to deviate from the selected strategy after the party choice i.e. oppose
Therefore as per the given situation, the nash equilibrium is to be considered as an answer
hence, the same is to be considered
When a smaller country with fewer resources specializes its production and gains access to larger, international markets, this can create
Answer:
Economies of scale.
Explanation:
In Microeconomics, economies of scale can be defined as cost reductions or cost advantages that arises when a business entity is increases its production or are large in size.
This ultimately implies that, when an organization chooses a convenient scale of operation or reduce its scale of production, this would lead to a reduction in the cost of production and consequently, some benefits such as lower long-run average cost, increased sales, profits and lower cost price for the consumers of these finished products.
Generally, economies of scale arise when a smaller country with fewer resources specializes its production and gains access to larger, international markets. This is so because having a good number of professionals and experts would increase the level of production or output, as they are quite conversant with the best method of production, time management and efficiency.
Hence, when a smaller country with fewer resources specializes its production and gains access to larger, international markets, this can create economies of scale.
Thirty-five percent of the sales on account are collected in the month of sale, 45% in the month following sale, and the remainder are collected in the second month following sale. The following are budgeted sales data for the company: January February March April Total sales $50,000 $60,000 $40,000 $30,000 What is the amount of cash that should be collected in March
Answer:
The amount of cash collected in March should be:
$51,000.
Explanation:
a) Data and Calculations:
Budgeted sales and Cash Collections:
January February March April
Total sales $50,000 $60,000 $40,000 $30,000
Collections:
35% month of sales 17,500 21,000 14,000 10,500
45% month following 22,500 27,000 18,000
20% second month 10,000
Total collections in March $51,000
b) The above calculations concentrated on the month of March, being the month of interest. Though, sales on account totals $40,000, the cash collections for the month amounts to $51,000. This arises from cash collections from the months of January and February.
Machinery for an assembly line has a cost basis of $150,000 and an expected salvage of $25,000. It is not subject to special limitations for bonus depreci- ation. How much bonus depreciation was, is, or will be allowed
(a) in 2014?
(b) in 2018?
(c) in 2024?
(d) in 2026?
Answer:
Following are the solution to the given choices:
Explanation:
The Depreciation value:
[tex]\to \$ 150,000 - \$ 25,000\\\\\to \$ 125,000[/tex]
Calculating the bonus Depreciation value:
In point a:
for 2014 [tex]\Rightarrow \$125,000 \times 50 \% = \$125,000 \times \frac{50}{100}= \$62,500\\\\[/tex]
In point b:
for 2018 [tex]\Rightarrow \$125,000 \times 50 \% = \$125,000 \times \frac{50}{100}= \$62,500\\\\[/tex]
In point c:
for 2024
In point d:
for 2024 [tex]\Rightarrow \$125,000 \times 20 \% = \$125,000 \times \frac{20}{100}= \$25,000 \\\\[/tex]
Cromwell's Interiors is considering a project that is equally as risky as the firm's current operations.The firm has a cost of equity of 15.4 percent and a pretax cost of debt of 8.9 percent.The debt-equity ratio is .46 and the tax rate is 34 percent.What is the cost of capital for this project?A) 11.97 percentB) 12.40 percentC) 11.02 percentD) 11.62 percentE) 12.38 percent
Answer:
Cost of capital = 12.40% (Approx)
Explanation:
Given:
Cost of equity = 15.4%
Pretax cost of debt = 8.9%
Debt-equity ratio = 0.46
Tax rate = 34%
Computation:
Equity multiplier = 1 + Debt-equity ratio
Equity multiplier = 1 + 0.46
Equity multiplier = 1.46
Weight of equity = 1 / Equity multiplier
Weight of equity = 1 / 1.46
Weight of equity = 0.685
Weight of Debt = 1 - Weight of equity
Weight of Debt = 1 - 0.685
Weight of Debt = 0.315
Cost of capital = [Weight of Debt x Pretax cost of debt] x (1-tax rate) + [Cost of equity x Weight of Debt ]
Cost of capital = [0.315 x 8.9% x (1-0.34)] + [15.4% x 0.6849]
Cost of capital = 12.40% (Approx)