Part II Company Seventh vision is considering an investment of $100,000. The useful life of the project is 10 years. The cutoff period is three (3) years. The board of directors has identified two alternatives A and B. The expected annual cash flows are as follows:(Using payback period) Cost or Cash Flow Alternative A Alternative B Initial cost ($100,000) ($100,000) Cash flow year 1 35,000 35,000 Cash flow year 2 28,000 35,000 Cash flow year 3 32,000 35,000 Cash flow year 4 40,000 35,000 Q3. Suggest Seventh Vision which project is feasible to choose?(1 marks) Q4. Mentions any three valid reasons for choosing the particular project (3 Marks)

Answers

Answer 1

The payback period can be calculated for both alternatives A and B. The payback period for alternative A is 2.85 years, while the payback period for alternative B is 3 years. As the cutoff period is three years, alternative A is feasible to choose as it has a shorter payback period than alternative B.



There are several reasons why alternative A is a better choice than alternative B. Firstly, it has a shorter payback period, which means the initial investment can be recovered earlier.

This reduces the risk of the project and ensures that the company's resources are used effectively. Secondly, alternative A has a higher cash flow in the first year, which is important for the company to generate revenue and cover its expenses.

Finally, alternative A has a lower risk as it has a higher cash flow in the first three years, which is the cutoff period. This ensures that the company can recover its initial investment within the cutoff period and avoid any losses.

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Related Questions

payment history, credit usage, inquiries, and types of accounts are factors considered in calculating a credit score. which of the following options is also a factor?

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payment history, credit usage, inquiries, and types of accounts are factors considered in calculating a credit score. Another factor that is also considered in calculating a credit score is:
- Length of credit history



Length of credit history refers to the duration you have had credit accounts open, including the age of your oldest account, the age of your newest account, and the average age of all your accounts. This factor usually makes up about 15% of your credit score calculation.

This refers to the amount of time that a borrower has had credit accounts and how long those accounts have been open. A longer credit history generally indicates more responsible credit usage and can have a positive impact on a credit score.

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Risk management today is:
a. relatively uncommon in project management.
b. practiced only by a few very large corporations.
c. reported to be practiced by over 71% of organizations.
d. involves simple steps to minimize uncertainty.

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Risk management today is reported to be practiced by over 71% of organizations. It has become an essential part of project management, and organizations have realized that managing risks is crucial for the success of any project.

Risk management is no longer limited to large corporations or specific industries, but it is an important aspect of every organization's project management strategy. Risk management involves identifying potential risks, assessing their likelihood and impact, and developing strategies to mitigate or avoid them. It is not a one-time event, but rather an ongoing process that should be integrated into every stage of a project's life cycle. Effective risk management helps organizations to minimize the impact of risks on their projects, reduce costs, improve performance, and ensure that projects are delivered on time and within budget.

While risk management can be complex, it does not necessarily involve complicated steps. Some simple steps to minimize uncertainty include identifying potential risks early, developing contingency plans, communicating risks to stakeholders, and regularly monitoring and reviewing risks throughout the project's life cycle. In summary, risk management is no longer an uncommon practice in project management. It is widely recognized as an important aspect of project management and is reported to be practiced by over 71% of organizations. It involves simple steps to minimize uncertainty and should be integrated into every stage of a project's life cycle to ensure project success.

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roger owns a small health store that sells vitamins in a perfectly competitive market. if vitamins sell for $12 per bottle and the average total cost per bottle is $12.50 at the profit-maximizing output level, then in the long run group of answer choices the equilibrium price per bottle will fall. more firms will enter the market. average total costs will rise. some firms will exit from the market.

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In the long run, this situation is unsustainable. In response to this, some firms will exit the market to avoid further losses.

What if some firms exit the market?

As a result of firms leaving the market, the supply of vitamins will decrease. With reduced supply and unchanged demand, the equilibrium price per bottle will rise.

As the price increases, the remaining firms, including Roger's, will experience higher revenues, which will help cover their average total costs. This process will continue until firms in the market can operate without losses, and the market reaches a new equilibrium.

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Harrison Co. issued 14-year bonds one year ago at a coupon rate of 7.4 percent. The bonds make semiannual payments.
If the YTM on these bonds is 5.4 percent, what is the current dollar price assuming a $1,000 par value? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
Current bond price $

Answers

The current bond price for Harrison Co.'s 14-year, 7.4% semiannual coupon bonds with a $1,000 par value is $1,139.77 assuming a yield to maturity of 5.4%. This is calculated using the present value formula for a bond.

To calculate the current bond price, we need to use the present value formula for a bond:

Bond Price = [tex](C / (1 + r)^1) + (C / (1 + r)^2) + ... + (C + Par / (1 + r)^n)[/tex]

Where:

C = Coupon payment

r = Yield to maturity (YTM) rate

n = Number of periods (in this case, semiannual payments over 28 periods, or 14 years)

We know that the coupon rate is 7.4% of $1,000 par value, or $74 per year, paid semiannually as $37. Therefore, the bond cash flows are:

Period 1: $37

Period 2: $37

...Period 28: $37 + $1,000 (par value)

Using a financial calculator or spreadsheet, we can calculate the present value of each cash flow and sum them up to get the bond price:

Bond Price = [tex]($37 / (1 + 0.054/2)^1) + ($37 / (1 + 0.054/2)^2) + ... + (($37 + $1,000) / (1 + 0.054/2)^28)[/tex]

Bond Price = $1,139.77

Therefore, the current bond price is $1,139.77 when the yield to maturity is 5.4%.

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choose all that apply. identify the strategies you can use to avoid debt. research the best prices. be disciplined and only buy what you can afford. earn extra income to pay for special purchases. maintain a budget. pay with credit cards, instead of cash. plan how you will spend your money. save.

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To avoid debt, you can identify the strategies that work for you such as researching the best prices before making a purchase, being disciplined and only buying what you can afford, earning extra income to pay for special purchases, maintaining a budget, planning how you will spend your money, and saving. Option A, B, C, D, F, and G are correct.

By comparing prices and finding the best deals, you can save money and avoid overspending. Disciplined and only buy what you can afford  helps you prevent impulse purchases and ensures that you stay within your financial means.

Earning additional income allows you to afford special purchases without going into debt. Creating and sticking to a budget helps you manage your finances and avoid spending more than you can afford.

Planning your expenses in advance helps you allocate your resources wisely and avoid unnecessary debt. Regularly saving money allows you to have a safety net in case of emergencies and helps you avoid relying on debt.

Paying with credit cards instead of cash is not necessarily a strategy to avoid debt, as using credit cards can potentially lead to accumulating debt if not managed responsibly. It's important to pay off your credit card balance in full each month to prevent debt accumulation.

Therefore, option A, B, C, D, F, and G are correct.

choose all that apply. identify the strategies you can use to avoid debt.

A. research the best prices.

B. be disciplined and only buy what you can afford.

C. earn extra income to pay for special purchases.

D. maintain a budget.

E. pay with credit cards, instead of cash.

F. plan how you will spend your money.

G. save.

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122. One advantage of role-playing as a training technique is that can create greater empathy and tolerance of individual differences. True False

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It is True that role-playing as a training technique allows individuals to step into the shoes of others and understand their perspectives and experiences.

This helps to develop empathy and tolerance towards individual differences, as individuals are able to see things from different points of view.

Additionally, role-playing provides a safe space for individuals to practie and learn new skills, which can be beneficial in various contexts such as professional or personal relationships.

Overall, the advantage of role-playing lies in its ability to promote understanding and acceptance of others, ultimately leading to better communication and relationships.

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PLEASE HELP ME ASAP!!!! 30 POINTS & BRAINLIEST!!!!
Assignment Directions:
Choose and complete research on two leadership gurus and analyze what their definition of leadership is, including the characteristics they use to describe leadership. Include a biography (information about them) on each but incorporate it naturally into your paper.

Assignment Guidelines:
Write a minimum of four paragraphs about each in two separate papers.

Submission Requirements:
Two four-paragraph essays

When submitting written assignments, please remember to:
Submit the assignment question(s) and your responses.
Proofread for spelling, grammar, and punctuation.
Remember to use complete sentence structure.
Make sure paragraphs have at least six sentences.

Answers

Answer:

Essay 1: John C. Maxwell

John C. Maxwell is an American author, speaker, and pastor, who is considered one of the world's top leadership experts. Born in 1947 in Michigan, he grew up in a small town in Ohio. He earned a Bachelor's degree in Ministry from Ohio Christian University and a Master's degree in Divinity from Azusa Pacific University. Maxwell has written over 100 books, many of which have become bestsellers, including "The 21 Irrefutable Laws of Leadership," "Developing the Leader Within You," and "Leadership Gold."

Maxwell's definition of leadership is based on the idea that leadership is influence. He believes that anyone can become a leader, regardless of their position or title, as long as they have influence over others. Maxwell also stresses the importance of leading by example and living out the values and principles that you want others to follow. In his books, he outlines a number of characteristics that he believes are important for effective leadership, including integrity, vision, optimism, communication, and the ability to develop and empower others.

One of Maxwell's key principles is the idea that leaders are learners. He believes that leaders must continually seek to improve themselves and their skills, and that they should never stop learning. Maxwell also emphasizes the importance of teamwork and collaboration in leadership, and encourages leaders to build strong relationships with their followers. Overall, Maxwell's definition of leadership is focused on the idea of influencing others through one's character, values, and actions, rather than simply relying on one's position or authority.

Essay 2: Simon Sinek

Simon Sinek is a British-American author, motivational speaker, and marketing consultant. Born in London in 1973, he grew up in South Africa and later moved to the United States. He earned a Bachelor's degree in cultural anthropology from Brandeis University and a Master's degree in leadership from City University of London. Sinek is best known for his book "Start With Why," which has sold over 2 million copies worldwide and has become a popular TED Talk.

Sinek's definition of leadership is based on the idea that leaders inspire others to action by communicating a clear sense of purpose and direction. He believes that effective leaders start with why they do what they do, rather than focusing solely on what they do or how they do it. According to Sinek, people are more motivated and engaged when they feel a sense of purpose and belonging, and effective leaders are able to create this sense of purpose by communicating a clear and compelling vision.

In his book, Sinek outlines a number of characteristics that he believes are important for effective leadership, including authenticity, empathy, and the ability to listen and communicate effectively. He also emphasizes the importance of building trust and creating a sense of safety and belonging within an organization. Overall, Sinek's definition of leadership is focused on the idea of inspiring others to action by communicating a clear sense of purpose and direction, and creating a culture of trust and belonging.

Explanation:

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Splish Company is preparing its manufacturing overhead budget for 2022. Relevant data are as follows:
1. Units to be produced (by quarters): 10,000, 12,200, 14,500, 18,400 2. Direct labour: 1.4 hours per unit 3. Variable overhead costs per direct labour hour: indirect materials $0.70; indirect labour $1.20; and maintenance $0.50
4. Fixed overhead costs per quarter: supervisory salaries $34,400; depreciation $16,600; and maintenance $15,500 Prepare the manufacturing overhead budget for the year, showing quarterly data. (Round variable cost per unit to 2 decimal places, e.g. 15.25.)

Answers

To prepare the manufacturing overhead budget for Splish Company for the year 2022, we need to calculate both the variable and fixed costs for each quarter.

Here are the calculations:

Variable overhead costs per unit:

Variable overhead cost per direct labor hour = $0.70 + $1.20 + $0.50 = $2.40 per direct labor hour

Direct labor hours per unit = 1.4 hours per unit

Variable overhead cost per unit = $2.40 x 1.4 = $3.36 per unit

Variable overhead costs per quarter:

Quarter 1: 10,000 units x $3.36 per unit = $33,600

Quarter 2: 12,200 units x $3.36 per unit = $40,992

Quarter 3: 14,500 units x $3.36 per unit = $48,720

Quarter 4: 18,400 units x $3.36 per unit = $61,824

Fixed overhead costs per quarter:

Quarter 1: $34,400 + $16,600 + $15,500 = $66,500

Quarter 2: $34,400 + $16,600 + $15,500 = $66,500

Quarter 3: $34,400 + $16,600 + $15,500 = $66,500

Quarter 4: $34,400 + $16,600 + $15,500 = $66,500

Manufacturing overhead budget for 2022:

Quarter 1: $66,500 + $33,600 = $100,100

Quarter 2: $66,500 + $40,992 = $107,492

Quarter 3: $66,500 + $48,720 = $115,220

Quarter 4: $66,500 + $61,824 = $128,324

Therefore, the manufacturing overhead budget for Splish Company for the year 2022, showing quarterly data, is as follows:

Quarter Variable Costs Fixed Costs Total Manufacturing Overhead

1 $33,600 $66,500 $100,100

2 $40,992 $66,500 $107,492

3 $48,720 $66,500 $115,220

4 $61,824 $66,500 $128,324

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____________ bond gives the bondholder the right to cash in the bond before maturity at a specific price after a specific date Select one: a. treasury b. callable c. coupon d. puttable

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A puttable bond is a type of bond that allows the bondholder to redeem the bond before its maturity date at a predetermined price. This feature provides the bondholder with the flexibility to protect their investment from interest rate fluctuations and reduces the risk of holding the bond until its maturity.

A puttable bond gives the bondholder the right to sell the bond back to the issuer before maturity at a specific price after a specific date. This feature provides some flexibility for the bondholder to manage their investment if market conditions change or if they need to access their funds earlier than anticipated. The price at which the bond can be put back to the issuer is predetermined and typically depends on prevailing interest rates at the time of the put option's exercise.The bond that gives the bondholder the right to cash in the bond before maturity at a specific price after a specific date is a puttable bond.

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as a project manager for a renewable energy product, you regularly communicate key milestones to the larger team and your customers. which project management responsibility is this an example of? 1 point managing company operations managing tasks planning and organizing controlling costs

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Communicating key milestones to the team and customers is an example of the project management responsibility of managing tasks. Option B is answer.

This involves breaking down the project into smaller, manageable tasks, assigning them to team members, and ensuring that they are completed on time and within budget. Regularly communicating key milestones is an important aspect of managing tasks as it helps to keep everyone informed of the project's progress and ensures that any potential issues or delays can be addressed in a timely manner.

Effective communication is crucial for successful project management, and regular updates can help to build trust and maintain momentum throughout the project.

Option B is answer.

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Who decides whether to release the latest increment of the product?

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In the Scrum framework, the Product Owner is responsible for deciding whether to release the latest increment of the product.

The Product Owner is the single person responsible for maximizing the value of the product and is the only one who can make the final decision on whether to release the latest increment or not. The Product Owner is the key stakeholder representative and works closely with the Development Team to ensure that the product backlog items are prioritized according to the needs of the stakeholders. At the end of each Sprint, the Development Team presents the completed increment to the Product Owner in the Sprint Review meeting. Based on the progress made during the Sprint and the value delivered by the increment, the Product Owner decides whether to release it or not.

The Product Owner's decision to release the latest increment is based on a variety of factors, including the product's quality, the feedback from stakeholders, the progress towards achieving the product vision, and the potential risks associated with releasing the increment. The Product Owner weighs these factors and makes an informed decision on whether to release the latest increment or to hold it back for further improvements.

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which of the following is the most preferred source of environmental information for environmental scanning purposes in a firm? internal sources information packages corporate clipping service computer database

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Internal sources are usually the most preferred and reliable source of environmental information for environmental scanning purposes in a firm. However information packages, corporate clipping services, and computer databases can also provide valuable insights.

In this context, the most preferred source of environmental information for environmental scanning purposes in a firm depends on the specific needs and preferences of the organization. However, internal sources are usually the most reliable and preferred source of environmental information.



Internal sources of environmental information are those that are generated by the firm itself, such as annual reports, financial statements, and market research reports. These sources are considered more reliable and trustworthy because they are based on the first-hand information gathered from within the organization. Internal sources can provide valuable insights into the company's strengths, weaknesses, opportunities, and threats, as well as its overall performance.



Information packages, corporate clipping services, and computer databases are also important sources of environmental information for firms. Information packages provide a comprehensive overview of a specific topic or industry, while corporate clipping services monitor media coverage of the company or industry. Computer databases offer a vast collection of information, which can be filtered and analyzed to identify relevant trends and patterns.

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Unit 4.1 - Internal Controls & Auditor's letter (Ch. 7) Q1 Give an example of an internal control that this company may have in place in some part of the organization. (You can use your imagination.) Be specific.

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Every company needs control over its day-to-day business operations, and for this reason, they require periodic auditing to look for fraud, risk, and money misuse.

For instance, the management of XYZ Company discovered that there were several issues with how to operate the business, including a rise in theft and other fraudulent activities and workers who were not performing their tasks to the best of their abilities.

The management is now interested in the causes of all these issues and wants to get things better. They hired an auditor, who ultimately provided reports, ascertained the causes, and offered management advice on how to improve the situation. Without an effective internal control system, an organization cannot advance. After implementing the correct internal system, management noticed that the situation was getting better.

Therefore, it is accurate to argue that internal control aids the organization in enhancing its state.

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jackson transfers his business accounts receivable to friendly finance company. friendly would be considered the assignee. True or False

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True. In this scenario, Jackson is transferring his business accounts receivable to Friendly Finance Company, which means that Friendly Finance Company is becoming the assignee of those accounts receivable.

An assignee is a person or entity to whom a right or property is transferred by another person or entity, known as the assignor and this process is known as assignment.In this case, Jackson is the assignor and Friendly Finance Company is the assignee. When a company transfers its accounts receivable to a finance company, it is known as factoring. Factoring is a financial transaction where a company sells its accounts receivable to a third party, usually a finance company, in exchange for immediate cash. The finance company then takes over the responsibility of collecting the payments from the customers who owe the money to the company.

By factoring its accounts receivable, a company can improve its cash flow and access immediate funds that can be used for various purposes, such as paying bills, purchasing inventory, or investing in the business. However, factoring also comes with some costs and risks, such as fees charged by the finance company and the possibility of losing some customers who may not like the idea of their debts being sold to a third party.

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your firm needs a computerized machine tool lathe that costs $50,000, requires $10,000 in installation, and another $12,000 in maintenance for each year of its three-year life. after three years, this machine will be replaced. the machine falls into the macrs three-year class life category. assume a tax rate of 21 percent and a discount rate of 12 percent. if the lathe can be sold for $7,000 at the end of year 3, what is the after-tax salvage value? multiple choice $6,154.20 $6,463.66 $4,446.00 $5,927.20

Answers

The after-tax salvage value of the machine is $6,154.20

To calculate the after-tax salvage value of the machine, we need to determine the book value of the machine at the end of year 3 and then calculate the after-tax proceeds from selling it.

First, let's calculate the depreciation expense for each year using the MACRS three-year class life category:

Year 1: 33.33% x $60,000 (cost + installation) = $20,000Year 2: 44.45% x $60,000 (cost + installation) = $26,670Year 3: 14.81% x $60,000 (cost + installation) = $8,880

Therefore, the total depreciation over the three years is $55,550 ($20,000 + $26,670 + $8,880).

Next, we can calculate the book value of the machine at the end of year 3:

Book value = Cost - Accumulated depreciationBook value = $60,000 (cost + installation) - $55,550 (total depreciation)Book value = $4,450

Now we can calculate the after-tax proceeds from selling the machine:

After-tax proceeds = Sale price - (Sale price - Book value) x Tax rateAfter-tax proceeds = $7,000 (sale price) - ($7,000 - $4,450) x 0.21 (tax rate)After-tax proceeds = $6,154.20

Therefore, the after-tax salvage value of the machine is $6,154.20.

The correct answer is A) $6,154.20.

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54. In a perfect world, the best criteria of evaluating a training program would be ______.
A. reaction
B. behaviour
C. organizational results
D. knowledge
E. attitudes

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In a perfect world, the best criteria for evaluating a training program would be all of the above - reaction, behaviour, organizational results, knowledge, and attitudes.

Each of these criteria provides valuable insights into the effectiveness of the training program and its impact on the learners and the organization. Reaction measures how learners feel about the program, behavior measures changes in their actions and performance, organizational results measure the impact on the overall organization, knowledge measures the learners' understanding of the content, and attitudes measure the learners' beliefs and values.

Evaluating a training program using all of these criteria can provide a comprehensive understanding of its effectiveness and help identify areas for improvement.

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44. In the development of the pro forma financial statements, the second step in the process is the development of the:
A. cash budget.
B. pro forma balance sheet.
C. pro forma income statement.
D. capital budget.

Answers

The correct option is C. pro forma income statement. The development of pro forma financial statements is a crucial step in the financial planning process of any business.

These statements are used to forecast future financial performance and aid decision-making. In this process, the second step is typically the development of the pro forma income statement. The pro forma income statement is a financial statement that estimates the expected revenues, expenses, and net income for a particular period, usually a year. It takes into account the historical financial data, current market conditions, and future expectations to project the financial performance of the company. The pro forma income statement provides valuable insights into the company's revenue and expense projections, allowing management to make informed decisions regarding budgeting, investment, and financing. It is also an essential tool for investors and creditors to assess the company's financial health and future prospects.

After developing the pro forma income statement, the next steps typically involve the creation of the pro forma balance sheet and cash budget. The pro forma balance sheet provides a snapshot of the company's financial position at a particular point in time, while the cash budget outlines the expected inflows and outflows of cash for a specific period. In conclusion, the development of the pro forma income statement is a crucial second step in the process of developing pro forma financial statements. It provides a detailed projection of the company's expected revenues and expenses, allowing for informed decision-making by management, investors, and creditors.

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c. what price and level of output results in zero allocative inefficiency? natural monopolies rarely operate at that price. why? (4 points)

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Allocative efficiency occurs when the price of a good or service is equal to its marginal cost, resulting in the maximum benefit to society.

When a natural monopoly operates at this price and level of output, there is no allocative inefficiency. However, natural monopolies rarely operate at this price because they have significant fixed costs, such as infrastructure or research and development, which cannot be spread across multiple firms.

As a result, the marginal cost of producing an additional unit of output is lower than the average total cost, meaning that the price would have to be set below average total cost to achieve allocative efficiency. This would result in losses for the natural monopoly, making it economically unfeasible.

Therefore, natural monopolies operate at a price that allows them to cover their fixed costs while still making a profit, resulting in allocative inefficiency.

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24. Sue sold a piece of business equipment for $26,000 in 2019. The equipment was purchased on February 4, 2017 for $35.000 She claimed the following depreciation deductions Year Depreciation 2017 $7.000 2018 $7,000 Compute the amount of the IRC S 1245 gain, if any, on the sale of the equipment O a $5,000 b. $7,000 0 $9,000 d. $14,000 24

Answers

The amount of the IRC Section 1245 gain on the sale of the equipment is $5,000

To compute the amount of the IRC Section 1245 gain on the sale of the equipment, follow these steps:

1. Calculate the total depreciation deductions claimed:
2017 Depreciation = $7,000
2018 Depreciation = $7,000
Total Depreciation = $7,000 + $7,000 = $14,000

2. Determine the adjusted basis of the equipment:
Purchase Price = $35,000
Adjusted Basis = Purchase Price - Total Depreciation = $35,000 - $14,000 = $21,000

3. Calculate the gain on the sale of the equipment:
Sale Price = $26,000
Gain = Sale Price - Adjusted Basis = $26,000 - $21,000 = $5,000

Based on these calculations, the amount of the IRC Section 1245 gain on the sale of the equipment is $5,000 (option a).

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In recent years, the specification and estimation of demand curves have changed so that
O A marketing experts make frequent use of data, but its use for designing government policies has been diminishing.
OB. the private sector often lacks the means or knowledge necessary for estimating demand relationships
O c. analyses that used to be calculated in mainframe computers can now be carried out in a few seconds on a personal computer
OD. the growth and complexity of markets make those analyses ever more complex and difficult to calculate with accuracy

Answers

In recent years, the specification and estimation of demand curves have evolved significantly, primarily due to advancements in technology and data availability. One major change is that analyses, which used to be calculated in mainframe computers, can now be carried out in a few seconds on a personal computer (C).

This has made it easier for businesses and researchers to quickly analyze and interpret data, leading to more informed decision-making. Additionally, the growth and complexity of markets have made demand analyses increasingly complex and difficult to calculate with accuracy (D). As markets expand and new products and services emerge, understanding the intricate relationships between factors affecting demand becomes more challenging. This complexity requires more sophisticated analytical tools and methods.

Marketing experts now make frequent use of data in their demand estimations (A). This is particularly useful for designing targeted marketing strategies and understanding consumer behavior. However, the use of data for designing government policies may be diminishing, potentially due to other priorities or limited resources. The private sector's ability to estimate demand relationships has also improved (B). While some businesses may still lack the means or knowledge necessary for accurate demand estimation, the increased accessibility of data and technology has made it easier for organizations to develop their capacity in this area. In summary, advancements in technology and data availability have changed the way demand curves are specified and estimated, leading to more accurate analyses and informed decision-making across various sectors.

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Medical Supply has applied for a loan. America's Bank has requested a budgeted balance sheet as of April​ 30, and a combined cash budget for April. As InstrumentMedical​ Supply's controller, you have assembled the following​ information:Data Table:a. March 31 equipment​ balance,$52,200​; accumulated​ depreciation,$41,000.b. April capital expenditures of $42,900 budgeted for cash purchase of equipment.c. April depreciation​ expense,$900.d. Cost of goods​ sold, 55​% of sales.e. Other April operating​ expenses, including income​ tax, total $13,000​, 30​% of which will be paid in cash and the remainder accrued at April 30.f. March 31​ owners' equity, $92,800.g. March 31 cash​ balance, $40,000.h. April budgeted​ sales, $91,000​, 70​% of which is for cash. Of the remaining 30​%,half will be collected in April and half in May.i. April cash collections on March​ sales, $29,600.j. April cash payments of March 31 liabilities incurred for March purchases of​ inventory, $17,400.k. March 31 inventory​ balance, $29,400.l. April purchases of​ inventory, $10,100 for cash and $36,700 on credit. Half of the credit purchases will be paid in April and half in May.Requirement 1. Show separate computations for​ cash, inventory, and​ owners' equity balances. Begin by calculating the cash balance.CashBeginning balanceCash inflows:Cash salesCollectionsCash outflows:Payment of March liabilitiesCash purchasesPayments for April (credit) purchasesPurchase of equipmentOperating expensesEnding balance

Answers

To calculate the cash balance for the month of April, we need to consider the beginning cash balance and all the cash inflows and outflows for the month.

Here are the separate computations for cash, inventory, and owners' equity balances:

Cash:

Beginning balance: $40,000

Cash inflows:

Cash sales: $63,700 (70% of $91,000)

Collections: $29,600

Total cash inflows: $93,300

Cash outflows:

Payment of March liabilities: $17,400

Cash purchases: $10,100

Payments for April (credit) purchases: $18,350 ($36,700/2)

Purchase of equipment: $42,900

Operating expenses: $9,100 ($13,000 x 70%)

Total cash outflows: $98,850

Ending balance: $34,450

Inventory:

Beginning balance: $29,400

April purchases of inventory:

Cash purchases: $10,100

Credit purchases: $36,700/2 = $18,350

Total inventory purchases: $28,450

Cost of goods sold: 55% of $91,000 = $50,050

Ending balance: $7,800 ($29,400 + $28,450 - $50,050)

Owners' equity:

Beginning balance: $92,800

Net income: $2,550 (Sales revenue of $91,000 - Cost of goods sold of $50,050 - Operating expenses of $3,900 - Depreciation expense of $900)

Capital expenditures: $42,900

Ending balance: $53,450 ($92,800 + $2,550 - $42,900)

Therefore, the cash balance for April is $34,450.

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Which of the following were features of the gold-standard international monetary regime? Choose all that are correct.-It proved contentious in places like the United States-The system relied on major financial powers being willing to stabilize each other through emergency loans-The system ended in the 1970s-Currency was backed by national government commitments rather than being tied to the value of a precious metal

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The correct features of the gold-standard international monetary regime are: The system relied on major financial powers being willing to stabilize each other through emergency loans.

The gold standard was a monetary system in which the value of a country's currency was directly linked to a fixed quantity of gold. This meant that the central bank of each participating country had to hold a certain amount of gold reserves to back up the amount of currency in circulation. One of the key features of the gold standard was that it relied on major financial powers being willing to stabilize each other through emergency loans. This was because the system was vulnerable to financial crises, and countries with large trade deficits or debt problems could quickly run out of gold reserves, leading to a devaluation of their currency. In order to avoid this, countries would often provide emergency loans to each other to stabilize the system.

The gold standard proved contentious in places like the United States, where politicians and economists argued that it restricted the ability of the government to respond to economic downturns. The system also ended in the 1970s when the United States, which had been the world's largest holder of gold reserves, began to experience a trade deficit and could no longer back up the value of its currency with gold. Finally, it's worth noting that the statement "Currency was backed by national government commitments rather than being tied to the value of a precious metal" is incorrect. As mentioned earlier, the gold standard was based on the principle of currency being backed by a fixed amount of gold reserves, and was not based on national government commitments.

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Illustration 2 BB Ltd financed a qualifying asset costing GH¢20m from three existing facilities of GH¢10 million 6% loan, GH¢6 million 8% loan and GH¢12 million 10% loan Required: i. calculated the weighted average cost of borrowing? ii. Compute the borrowing cost to capitalise 30

Answers

To calculate the weighted average cost of borrowing, you need to multiply each borrowing’s interest rate by its proportion of the total amount borrowed. Then you add up these values to get the weighted average cost of borrowing. Here is how to calculate the weighted average cost of borrowing for BB Ltd:

Weighted Average Cost of Borrowing = (GH¢10m x 6%) + (GH¢6m x 8%) + (GH¢12m x 10%) / (GH¢10m + GH¢6m + GH¢12m)

= GH¢600,000 + GH¢480,000 + GH¢1,200,000 / GH¢28m

= 0.0464 or 4.64%

NOTE: To compute the borrowing cost to capitalize 30, you would need more information on what “30” refers to in this context.

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Time left 0:42:24 Question 28 Not yet answered What is Fred deemed to own based on the following of Slate Rock and Gravel, Inc.: Marked out of 100 Flag Question Fred owns 30% Fred's son owns 20% Fred's ex-wite owns 5% Fred's father owns B% Fred's grandmother owns 4% Fred's grandson owns 3% Fred owns 20% in Barney, Inc which owns 10% Fred owns 5% of Wilma and Betty LLC who own 20% Oa71% Ob 81% OC 61% Od. 68% O 70% et 100% 09.00% Oh 64%

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Fred is deemed to own approximately 71% of Slate Rock and Gravel, Inc.

This is calculated by adding up Fred's direct ownership (30%), his son's ownership (20%), his ex-wife's ownership (5%), his grandmother's ownership (4%), and his grandson's ownership (3%), which totals to 62%. Then, adding in the ownership that Fred has through other companies, such as Barney, Inc (which owns 10% and in which Fred owns 20%) and Wilma and Betty LLC (which owns 20% and in which Fred owns 5%), brings the total to approximately 71%.

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ted paulson needed money to pay for unexpected medical bills. to obtain $12,500, he decided to sell some of his shares in the ridgemoor capital appreciation fund. when he called the investment company, he was told that the following fees would be charged to sell his b shares:

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Ted Paulson needs to obtain $12,000 by: selling some of his B shares in the Ridgemoor Capital Appreciation Fund.

He has owned the fund for 21 months and there are different withdrawal fees based on the number of years he has held the shares.

Step 1: Determine the withdrawal fee percentage


Since Ted has held the shares for 21 months (which is less than 2 years or 24 months), he falls under the second year withdrawal fee category. In this case, the withdrawal fee is 4 percent.

Step 2: Calculate the contingent deferred sales load


To find the contingent deferred sales load, we'll multiply the amount Ted is withdrawing ($12,000) by the withdrawal fee percentage (4 percent).
Contingent deferred sales load = $12,000 * (4/100)

Step 3: Compute the result
Contingent deferred sales load = $12,000 * 0.04 = $480

So, the amount of the contingent deferred sales load for Ted's withdrawal of $12,000 to pay for his medical bills is $480.

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Complete question:

Ted Paulson needed money to pay for unexpected medical bills. To obtain $12,000, he decided to sell some of his shares in the Ridgemoor Capital Appreciation Fund. When he called the investment company, he was told that the following fees would be charged to sell his B shares:

Ridgemoor Capital Appreciation Fund Fees

First year 5 percent withdrawal fee

Second year 4 percent withdrawal fee

Third year 3 percent withdrawal fee

Fourth year 2 percent withdrawal fee

Fifth year 1 percent withdrawal fee

If he has owned the fund for 21 months and withdraws $12,000 to pay medical bills, what is the amount of the contingent deferred sales load?

What are the bad transfers of Manchester United. How they manage
to keep the team salaries and to give money for bad transfers?

Answers

Some of the bad transfers of Manchester United include Ángel Di María, Alexis Sánchez, and Radamel Falcao. These players did not perform up to expectations and were considered expensive failures.

Manchester United manages to keep the team salaries and give money for bad transfers due to their strong financial position, which comes from various sources:

1. Commercial revenue: Sponsorship deals, merchandising, and partnerships with global brands provide a steady income for the club.

2. Broadcasting revenue: The club receives substantial payments from domestic and international television rights.

3. Matchday revenue: Ticket sales, hospitality, and concessions during home matches contribute to the club's finances.

4. Player sales: Manchester United occasionally sells players for significant transfer fees, which can offset the cost of bad transfers.

By balancing these revenue streams and carefully managing their budget, Manchester United can afford to absorb the financial impact of bad transfers while still maintaining competitive team salaries.

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match the terms with their function.peridermperiderm drop zone empty.vernix caseosavernix caseosa drop zone empty.mesenchymemesenchyme drop zone empty.layer of cells covering the developing embryonic epitheliumwaterproof protective covering composed of sebum and sloughed off cellslayer of embryonic cells that develops into the dermis

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1. Periderm: The periderm is a layer of cells that covers the developing embryonic epithelium. Its main function is to provide a protective barrier for the embryo during development.

2. Vernix caseosa: The vernix caseosa is a waterproof protective covering composed of sebum and sloughed off cells. It is present on the skin of newborn babies, providing protection against infection and helping to regulate body temperature.

3. Mesenchyme: The mesenchyme is a layer of embryonic cells that develops into the dermis. Its main function is to give rise to the connective tissue, blood vessels, and other structures found in the dermis layer of the skin.

In summary:

Periderm: Layer of cells covering the developing embryonic epithelium.

Vernix caseosa: Waterproof protective covering composed of sebum and sloughed off cells.

Mesenchyme: Layer of embryonic cells that develops into the dermis.

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Selim believes that his hard work will lead to a better job performance. Selim is independently motivated so he does not need to be closely supervised in order to complete his job. Selim demonstrates an internal locus of control.
True or False

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The given statement "Selim believes that his hard work will lead to a better job performance. Selim is independently motivated so he does not need to be closely supervised in order to complete his job. Selim demonstrates an internal locus of control" is True.

Selim's belief that his hard work will lead to a better job performance indicates that he has an internal locus of control. This means that Selim believes that he has control over his own actions and outcomes, rather than external factors such as luck or the actions of others.

His motivation comes from within, which means that he is likely to take initiative and responsibility for his own performance, rather than waiting for instructions or guidance from his superiors. This self-directed approach is indicative of an independent, self-motivated mindset, which suggests that Selim is capable of working autonomously and making decisions that align with his personal goals.

Furthermore, Selim's ability to complete his job without close supervision indicates that he is reliable and capable of managing his own workload. This level of self-management requires a high degree of self-discipline and motivation, which are key traits of individuals with an internal locus of control. In contrast, individuals with an external locus of control may require more direction and guidance from others, and may struggle to take ownership of their work or decision-making processes.

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England Technologies manufactures capacitors for cellular base stations and other communications applications. The​ company's July 2018 flexible budget shows output levels of 09,000​, 10,500​, and 12,500 units. The static budget was based on expected sales of 10,500 units. The company sold 12,500 units during July. Its flexible budget and actual operating income were as​ follows:

Answers

England Technologies' flexible budget for July 2018 showed various output levels, and the static budget was based on expected sales of 10,500 units


The budget refers to the company's financial plan for a specific period, such as the flexible budget for July 2018, which shows output levels of 9,000, 10,500, and 12,500 units. A flexible budget is designed to change with the level of activity, allowing for adjustments in cost behavior as production levels change.

The income refers to the company's earnings during a specific period, such as the actual operating income generated from selling 12,500 units in July 2018. Operating income is the profit a company makes from its normal business operations, excluding any non-operating income like interest or investments.

However, the company sold 12,500 units during July, resulting in an actual operating income higher than what was initially projected in the static budget.

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account analysis allows for random events to be separated from the underlying relation between costs and activities.
true or false

Answers

The answer for the statement '' account analysis allows for random events to be separated from the underlying relation between costs and activities  '' is True.

Account analysis is a process of analyzing the relationship between costs and activities. It involves segregating the costs into their fixed and variable components and examining how the changes in the level of activity affect the costs.

By separating the random events from the underlying relationship between costs and activities, the account analysis allows for a more accurate understanding of the cost behavior. This helps in making better decisions regarding pricing, cost control, budgeting, and performance evaluation.

Thus, the account analysis is an essential tool for managers to gain insights into the cost structure of their business and to make informed decisions.

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