Answer:
A budget that is based on a single estimate of sales volume is called a static budget.
Regarding the second question, Delaware Corp's direct materials cost would be $21.430 based on a flexible budget for the period based on sales.
When completing a variance analysis, we describe variances as favorable or unfavorable.
A budget that is based on a single estimate of sales volume is called a static budget. The correct answer to this question is favorable, unfavorable.
A static budget is a financial plan that does not change based on actual activity levels. It is a simple budget that remains constant irrespective of the actual output or activity level. A static budget is a budget that predicts a fixed amount of costs and revenues, regardless of how many products or services the company produces or sells. The correct answer to this question is a static budget. Variances in variance analysis are used to describe discrepancies between the expected results and the actual results. In other words, variance refers to the difference between what you planned and what you achieved. Variances can be analyzed for a variety of purposes, including cost and revenue analysis, performance management, and budgeting.
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divine apparel has 3,400 shares of common stock outstanding. on october 1, the company declares a $0.75 per share dividend to stockholders of record on october 15. the dividend is paid on october 31.
Divine Apparel will distribute a total dividend of $2,550 to its stockholders.
To calculate the dividend payment for Divine Apparel, we can multiply the declared dividend per share ($0.75) by the number of shares outstanding (3,400).
Dividend payment = Dividend per share × Number of shares outstanding
Dividend payment = $0.75 × 3,400
Dividend payment = $2,550
Therefore, Divine Apparel will distribute a total dividend of $2,550 to its stockholders. To be eligible for this dividend, shareholders must be on record as of October 15. The dividend will be paid out on October 31.
It's worth noting that this calculation assumes that all shares of common stock are eligible for the dividend and that there are no additional factors or restrictions that may affect the dividend payment.
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QUESTION 14 Maria is a first year elementary school teacher at a private religious school. The parents and kids love her, and she gets along with everyone. One month after startinye she le called into the headmaster's office and handed an erwelope containing spring break college photos of her topless, guzzling beer and alcohol, while sitting in various men's laps. The headmaster informs her that she is terminated immediately and that she must clean out her desk and remove all of her personal belowings by the end of the day. She demands to know where the headmaster found these photos and he tells her that the school monitors social networking sites. These pictures had been posted to a website she no longer uses and had forgotten about. She will be unsuccessful she sues for wrongfu termination based on Invasion of privacy. True or False
Maria will be unsuccessful if she sues for wrongful termination based on invasion of privacy. The given statement is True.
Wrongful termination refers to an unlawful firing or termination from employment. In general, private employers have the right to terminate employees for any reason, as long as it is not illegal. Employees can be fired for a variety of reasons, including poor job performance, attendance issues, or for violating company policies.Invasion of privacy refers to a breach of an individual's right to privacy. This is usually achieved by collecting, using, or disclosing private information about someone without their consent. In the given scenario, Maria posted some pictures on a website, which were later found by her school through social media. Thus, the school's action of terminating Maria due to her offensive conduct, such as posting inappropriate photos, does not violate the law. Therefore, Maria will be unsuccessful if she sues for wrongful termination based on Invasion of privacy.
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You have been called on by the government to explain corruption through the lens of economic theory.
In your answers explicitly list the assumptions that you are making, if any.
I think this question refers to game theory (not 100% sure though)
Start with a simple set-up where the only participants in the corruption are the entrepreneur and the politician. The entrepreneur can either give a bribe to the politician or not. The bribe is a cost to the entrepreneur but if accepted by the politician it allows them to charge a monopoly price allowing a higher profit. After receiving a bribe, the politician can accept or reject it (but they cannot prove that they got the bribe). Use a graph and words to explain the payoff conditions under which corruption occurs. Precisely describe the equilibrium and the method that you are using to arrive at it.
In the given setup, the assumption is that only the entrepreneur and the politician are involved in the corruption.
The entrepreneur can choose to give a bribe or not, which incurs a cost but enables the politician to charge a monopoly price, leading to higher profits. The politician, after receiving the bribe, can either accept or reject it, without being able to prove its existence.
In terms of payoff conditions, corruption occurs when the expected payoff from engaging in corruption (bribe plus monopoly profit) exceeds the expected payoff from not engaging in corruption (no bribe and lower profit). The equilibrium can be determined using game theory.
Using a graph, we can represent the two players' strategies and payoffs. The horizontal axis can represent the entrepreneur's decision (give bribe or not), and the vertical axis can represent the politician's decision (accept or reject bribe). The payoffs can be represented as numbers at each intersection point.
To find the equilibrium, we analyze the payoffs for each combination of strategies. The equilibrium occurs when both players have chosen their best responses given the other player's strategy. This can be identified as a Nash equilibrium.
Further analysis can be conducted to explore the impact of various factors on corruption, such as the size of the bribe, the likelihood of being caught, or the penalties associated with corruption. The assumptions and implications of the model can be discussed in detail to understand corruption within an economic framework.
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A. Will you invest a project that requires a $ 200,000 today and returns $50,000 at the end of the first year, $70,000 at the end of the second year and $100,000 at the end of the third year? Assume a discount rate of 5%.
. B. An economist estimated that the total cost function of a single - product firm is TC= 125+5Q+3.5Q^2. Determine the average variable cost (AVC) of producing the 5 units.
C. An economist estimated that the total cost function of a single -production firm is TC=125+5Q+3.5Q^2. Determine the marginal cost (MC) of producing the 5th unit? No derivative is required for this question
A. Introduction:Investing a certain amount of money requires careful consideration of expected returns, the time value of money, and the discount rate. The cost of producing the 5th unit is $40
As the discount rate increases, the present value of future cash flows decreases. This means that the investment is less attractive and may not provide adequate returns.Investment Analysis:The present value of the project can be calculated by discounting the future cash flows back to their present values and adding them together.
This can be expressed as follows:Present value of the project = $50,000 / (1+0.05)^1 + $70,000 / (1+0.05)^2 + $100,000 / (1+0.05)^3= $112,928.91The present value of the project is less than the initial investment, which means that the project is not attractive and should not be invested in.B. Introduction:Average variable cost (AVC) is the cost of producing one unit of output and is calculated by dividing the total variable cost by the number of units produced.
Variable cost is the cost that varies with the level of production. It includes direct materials, direct labor, and other variable expenses.Variable cost = 5Q + 3.5Q^2AVC can be calculated by dividing the total variable cost by the number of units produced.AVC = (5Q + 3.5Q^2) / Q = 5 + 3.5QThe average variable cost of producing 5 units is AVC = 5 + 3.5(5) = $22.50C.
Introduction:Marginal cost (MC) is the change in total cost that results from a one-unit change in output. It is calculated by taking the derivative of the total cost function with respect to quantity.MC = dTC/dQ = 5 + 7QThe marginal cost of producing the 5th unit is MC = 5 + 7(5) = $40. Therefore, the cost of producing the 5th unit is $40.
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You're trying to save to buy a new $170,000 Ferrari. You have $27,000 today that can be invested at your bank. The bank pays 3.4 percent annual interest on its accounts. Required: How long will it be before you have enough to buy the car? (Enter rounded answer as directed, but do not use rounded numbers in intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).)
it will take approximately 31.77 years to accumulate enough money to buy the $170,000 Ferrari, assuming a 3.4% annual interest rate.
To calculate how long it will take to accumulate enough money to buy the Ferrari, we can use the future value formula:
Future Value = Present Value * (1 + Interest Rate)²Time
Given:
Present Value = $27,000
Future Value = $170,000
Interest Rate = 3.4% (or 0.034 in decimal form)
Let's solve for the time (T):
$170,000 = $27,000 * (1 + 0.034)²T
Dividing both sides by $27,000:
6.2963 = (1.034)²T
Taking the logarithm of both sides:
log(6.2963) = log((1.034)²T)
Using logarithmic properties:
log(6.2963) = T * log(1.034)
Solving for T:
T = log(6.2963) / log(1.034)
Calculating this expression:
T ≈ 31.77
Therefore, it will take approximately 31.77 years to accumulate enough money to buy the $170,000 Ferrari, assuming a 3.4% annual interest rate.
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Suppose that John could work 365 days per year and could earn $200 per day for each day he worked. Draw his budget line with respect to his labor-leisure choice. Thus,
his income function will be,
Y = 73,000− 200 × days of leisure
a) Suppose that John chooses to work 200 days per year. What will be his
equilibrium wage income and labor-leisure choices?
b) Suppose that John’s wage rises from $200 to $210 per day. Show how his
equilibrium level of income and labor-leisure will change.
To draw John's budget line, we will use a graph with leisure (x-axis) and income (y-axis). Given that John could work 365 days per year and earn $200 per day, his income function can be represented as Y = 73,000 - 200 * days of leisure.
a) If John chooses to work 200 days per year, we can substitute this value into the income function to find his equilibrium wage income and labor-leisure choices. Y = 73,000 - 200 * (365 - 200) = 73,000 - 200 * 165 = 73,000 - 33,000 = $40,000. Therefore, John's equilibrium wage income would be $40,000 when he chooses to work 200 days per year.
b) If John's wage rises from $200 to $210 per day, his income function will change accordingly. The new income function can be represented as Y = 73,000 - 210 * days of leisure.
With the new wage, we can find John's new equilibrium level of income and labor-leisure. Let's assume John continues to choose to work 200 days per year. Y = 73,000 - 210 * (365 - 200) = 73,000 - 210 * 165 = 73,000 - 34,650 = $38,350. Therefore, with the higher wage of $210 per day and John working 200 days per year, his new equilibrium level of income would be $38,350. The increase in the wage rate has led to a decrease in his equilibrium income. As for the labor-leisure choice, since John's leisure time remains the same at 165 days, it does not change with the increase in the wage rate.
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You want to value a stock, but it does not pay any dividends. The last period’s FCFE was $5.79 and it has an estimated annual free cash flow growth rate of 7.76%. The required return for this stock is 10.63% and its long term growth rate is 2.46%. It also has an ROE of 25.7%. What is the estimated intrinsic value using the constant state FCFE method? State your answer as a percentage with two decimal places
The estimated intrinsic value using the constant state FCFE method is $201.39.
Constant state FCFE (Free Cash Flow to Equity) is a valuation approach to calculate a firm's intrinsic value based on the estimated future cash flows generated by the firm.
The constant state FCFE method assumes that the free cash flow to equity will remain constant, which makes it a preferred valuation method for stable and mature companies.
To calculate the estimated intrinsic value using the constant state FCFE method, we can use the formula:
Intrinsic Value = FCFE / (R - G)
where,FCFE = the Free Cash Flow to Equity
R = the Required Rate of Return
G = the Annual Growth Rate of Free Cash Flow to Equity
Considering the given values in the question:
FCFE = $5.79
Growth rate of FCFE = 7.76%
Required rate of return (R) = 10.63%
Long-term growth rate (g) = 2.46%
We can use the above formula to find out the intrinsic value of the stock.
Intrinsic Value = $5.79 / (10.63% - 7.76%)
Intrinsic Value = $5.79 / 0.0287
Intrinsic Value = $201.39
Therefore, the estimated intrinsic value using the constant state FCFE method is $201.39.
Now, let's calculate the percentage change in the stock price. It can be calculated as follows:
Percentage Change = ((Intrinsic Value - Current Market Price) / Current Market Price) * 100
Given that the current market price is not given, we cannot calculate the percentage change in the stock price.
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Thank you in advance. Questions are in BOLD below the bottom (three questions total, one is already answered to provide context).
Barry Potter and Winnie Weasley are considering making an S election on March 1, 2021, for their C corporation, Omniocular. However, first they want to consider the implications of the following information:
Winnie is a U.S. citizen and resident.
Barry is a citizen of the United Kingdom but a resident of the United States.
Barry and Winnie each owns 50 percent of the voting power in Omniocular. However, Barry’s stock provides him with a claim on 60 percent of the Omniocular assets in liquidation.
Omniocular was formed under Arizona state law, but it plans on eventually conducting some business in Mexico.
For the remainder of the problem, assume Omniocular made a valid S election effective January 1, 2021. Barry and Winnie each owns 50 percent of the voting power and has an equal claim on Omniocular’s assets in liquidation. In addition, consider the following information:
Omniocular reports on a calendar tax year.
Omniocular’s earnings and profits as of December 31, 2020, were $55,000.
Omniocular’s 2020 taxable income was $15,000.
Omniocular’s assets at the end of 2020 are as follows:
Omniocular Assets
December 31, 2020
Asset Adjusted Basis FMV
Cash $ 50,000 $ 50,000
Accounts receivable 20,000 20,000
Investments in stocks and bonds 700,000 700,000
Investment in land 90,000 100,000
Inventory (LIFO) 80,000 * 125,000
Equipment 40,000 35,000
Totals $ 980,000 $ 1,030,000
*$110,000 under FIFO accounting.
On March 31, 2021, Omniocular sold the land for $42,000.
In 2021, Omniocular sold all the inventory it had on hand at the beginning of the year. This was the only inventory it sold during the year.
Other Income/Expense Items for 2021
Sales revenue $ 155,000
Salary to owners (50,000 )
Employee wages (10,000 )
Depreciation expense (5,000 )
Miscellaneous expenses (1,000 )
Interest income 40,000
Qualified dividend income 65,000
Assume that if Omniocular were a C corporation for 2021, its taxable income would have been $88,500.
QUESTIONS:
e. Assume Barry's basis in his Omniocular stock was $40,000 on January 1, 2021. What is his stock basis on December 31, 2021? (Answer is not $48,375)
For the following questions, assume that after electing S corporation status Barry and Winnie had a change of heart and filed an election to terminate Omniocular’s S election, effective August 1, 2022.
In 2022, Omniocular reported the following income/expense items:
January 1—July 31, 2022 (212 days) August 1—December 31, 2022 (153 days) January 1—December 31, 2022
Sales revenue $ 80,000 $ 185,000 $ 265,000
Cost of goods sold (40,000 ) (20,000 ) (60,000 )
Salaries to Barry and Winnie (60,000 ) (40,000 ) (100,000 )
Depreciation expense (7,000 ) (2,000 ) (9,000 )
Miscellaneous expenses (4,000 ) (3,000 ) (7,000 )
Interest income 6,000 5,250 11,250
Overall net income (loss) $ (25,000 ) $ 125,250 $ 100,250
f. For tax purposes, how would you recommend Barry and Winnie allocate income between the short S corporation year and the short C corporation year if they would like to minimize double taxation of Omniocular’s income? Answer: (Daily Method)
g. Assume in part (f) that Omniocular allocates income between the short S and C corporation years in a way that minimizes the double taxation of its income. If Barry’s stock basis in his Omniocular stock on January 1, 2022, is $50,000, what is his stock basis on December 31, 2022?
Barry's stock basis on December 31, 2021 is calculated as $102,775.
How to solve for the stock basise. To calculate Barry's stock basis on December 31, 2021, we need to consider the following:
1. Beginning basis: $40,000
2. Share of taxable income: Barry's 50% share of taxable income for 2021 is ($88,500 - $15,000) * 50% = $36,750.
3. Distributions received: None are mentioned in the information.
Therefore, Barry's stock basis on December 31, 2021, is the sum of the beginning basis and his share of taxable income:
$40,000 + $36,750 = $76,750.
f. To minimize double taxation of Omniocular's income, Barry and Winnie can allocate income between the short S corporation year and the short C corporation year using the daily method. The daily method allocates income based on the number of days each period covers.
In this case, we have:
- January 1 to July 31, 2022: 212 days
- August 1 to December 31, 2022: 153 days
To allocate income, we calculate the daily income for each period and multiply it by the number of days in that period. This ensures a fair allocation of income based on the actual time the corporation operated as an S corporation and a C corporation.
Using the overall net income (loss) figures given:
- January 1 to July 31, 2022: ($25,000) * (212/365) = ($14,465)
- August 1 to December 31, 2022: $125,250 * (153/365) = $52,775
g. To determine Barry's stock basis on December 31, 2022, we need to consider the following:
1. Beginning basis: $50,000
2. Share of taxable income: Barry's share of taxable income for the short C corporation year is $52,775.
3. Distributions received: None are mentioned in the information.
Therefore, Barry's stock basis on December 31, 2022, is the sum of the beginning basis and his share of taxable income:
$50,000 + $52,775 = $102,775.
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We often want to find investments that perform well when other parts of our portfolio are struggling. When considering stocks to add to the portfolio, those with a correlation closer to zero with our existing portfolio will most effectively help us diversify. True or False
"We often want to find investments that perform well when other parts of our portfolio are struggling. When considering stocks to add to the portfolio, those with a correlation closer to zero with our existing portfolio will most effectively help us diversify." is TRUE.
The idea of diversification is that it reduces the overall risk of a portfolio. The correlation between investments reveals their dependency on each other. The correlation coefficient, which ranges from -1 to +1, is a measure of this association. Correlation coefficients close to -1 reveal a strong negative correlation, whereas those near +1 reveal a strong positive correlation.
A correlation coefficient of zero indicates that there is no connection between two variables. Stocks with a correlation coefficient of zero, therefore, offer the best diversification opportunities. When two investments have a correlation of zero, their prices have no connection to each other.This idea is particularly relevant in a market downturn, when a well-diversified portfolio will perform better. Adding stocks with low correlation to our existing portfolio increases the possibility of a more robust overall portfolio in the long run. It allows us to hedge against volatility and increases the probability of achieving long-term investment objectives.
The given statement is true. Stocks with a correlation coefficient of zero offer the best diversification opportunities. When two investments have a correlation of zero, their prices have no connection to each other. Adding stocks with low correlation to our existing portfolio increases the possibility of a more robust overall portfolio in the long run. It allows us to hedge against volatility and increases the probability of achieving long-term investment objectives.
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Suppose that a scientific study just published demonstrates that eating chocolates makes people live longer. How will this affect the equilibrium price and quantity in the market for chocolates? Both the equilibrium quantity and price will decrease. Both the equilibrium price and quantity will increase. The equilibrium price will increase and the equilibrium quantity will decrease. The equilibrium price will decrease and the equilibrium quantity will increase.
If a scientific study shows that eating chocolates makes people live longer, it will lead to an increase in the demand for chocolates, and thus, it will shift the demand curve to the right.
This would, in turn, increase both the equilibrium price and quantity of chocolates. So, the correct answer is: The equilibrium price will increase, and the equilibrium quantity will increase.
Explanation: When the demand for chocolates increases, it would lead to a shift of the demand curve to the right, i.e., from D1 to D2, as shown in the figure. This would cause the equilibrium price to increase from P1 to P2, and the equilibrium quantity to increase from Q1 to Q2. Hence, the correct answer is option (B).Both the equilibrium price and quantity will increase.
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Government encourage tax payer individually or company to plan their tax. And what kind of planning that company or individual may apply for tax planning.
Question : Write a detailed literature review on the topic
Introduction Tax planning is an activity in which Supplemental individuals or companies make deliberate and calculated moves to reduce their tax liabilities. It is a legal activity and is actively promoted by governments around the world. The aim of this literature review is to explore.
The various types of tax planning strategies used by individuals and companies and how these strategies are encouraged by governments. Body Governments encourage tax payers to plan their tax in various ways.
One of the ways is by offering tax incentives for those who invest in certain sectors. For example, governments might offer tax breaks for investments in renewable energy projects or for investments in start-up companies. Another way governments encourage tax planning is by offering tax credits for certain activities or purchases.
For example, governments might offer tax credits for individuals who purchase electric vehicles or for companies that invest in research and development.
Governments also encourage tax planning by offering tax deductions for certain expenses. For example, individuals who donate to charities can claim a tax deduction for their donation.
Similarly, businesses can claim tax deductions for expenses such as employee salaries, rent, and utilities.There are also various tax planning strategies that individuals and companies can employ to reduce their tax liabilities.
One strategy is to take advantage of tax credits and deductions. For example, individuals can claim tax credits for education expenses or for child care expenses. Similarly, companies can claim tax deductions for expenses such as employee salaries, rent, and utilities.Another tax planning strategy is to make use of tax-deferred investment accounts.
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What are the differences between alicyclic, aliphatic, and aromatic hydrocarbons? How could the differences affect biodegradation?
5)Give the chemical equation on how stratospheric zone can be destroy and recombined.
The differences in structure between these hydrocarbon types influence the ease and rate of their biodegradation, with aliphatic hydrocarbons being generally more biodegradable than aromatic hydrocarbons.
(5) O3 + UV-C radiation → O2 + O
1) Alicyclic hydrocarbons: Alicyclic hydrocarbons, also known as cycloalkanes, are hydrocarbons that contain one or more closed-ring structures, similar to cyclic compounds. These rings can be saturated (containing only single bonds) or unsaturated (containing double or triple bonds). Alicyclic hydrocarbons do not have any double or triple bonds within the ring structure. Examples of alicyclic hydrocarbons include cyclohexane, cyclopentane, and cycloheptane.
2) Aliphatic hydrocarbons: Aliphatic hydrocarbons are hydrocarbons that do not contain any aromatic (benzene-like) rings. They are open-chain structures and can be either saturated (containing only single bonds) or unsaturated (containing double or triple bonds). Aliphatic hydrocarbons include alkanes, alkenes, and alkynes. Examples of aliphatic hydrocarbons include methane, ethane, propane, and butane.
3) Aromatic hydrocarbons: Aromatic hydrocarbons, also known as arenes, are hydrocarbons that contain one or more benzene rings. These rings are composed of six carbon atoms with alternating single and double bonds. Aromatic hydrocarbons are typically more stable and have distinct chemical properties compared to aliphatic or alicyclic hydrocarbons. Examples of aromatic hydrocarbons include benzene, toluene, and naphthalene.
The differences in the structures of alicyclic, aliphatic, and aromatic hydrocarbons can affect their biodegradability. Microorganisms have specific enzymes that can recognize and break down certain types of hydrocarbons. Generally, aliphatic hydrocarbons (especially shorter chain alkanes) tend to be more readily biodegradable compared to aromatic hydrocarbons. The open-chain structure of aliphatic hydrocarbons allows for easier access by microbial enzymes, leading to faster degradation. In contrast, aromatic hydrocarbons with their stable benzene rings are more resistant to biodegradation.
Alicyclic hydrocarbons, being similar to cyclic compounds, can have varying biodegradability depending on their specific structure and substituents. Some alicyclic hydrocarbons can be readily biodegraded, while others may exhibit slower degradation rates.
5) The destruction and recombination of molecules in the stratospheric zone, specifically referring to the destruction of ozone and its subsequent recombination, can be described by the following chemical equations:
1. Destruction of ozone:
O3 + UV-C radiation → O2 + O
In the presence of ultraviolet (UV) radiation, ozone (O3) molecules can be dissociated into oxygen molecules (O2) and atomic oxygen (O). This process contributes to the depletion of the ozone layer.
2. Recombination of ozone:
O + O3 → 2O2
Atomic oxygen (O) can react with ozone (O3) to form oxygen molecules (O2). This recombination process is essential for the regeneration of ozone and the maintenance of the ozone layer.
These reactions are part of the complex series of chemical reactions that occur in the stratospheric zone, particularly in the ozone layer. The destruction and recombination processes are influenced by various factors such as UV radiation, atmospheric composition, and the presence of other reactive substances.
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Fill in the blank Complete each sentence by filling in the blank space with the correct term or member. are organizations created for the purpose of winning elections and governing once in office. Informal groups of lawmakers who gather together based on party or interest to discuss matters of common concern are known as The is a merit-based system of employment and personnel management that replaced patronage. The most powerful figure in the House of Representatives is the How many electoral votes must a candidate win in order to the presidency?
Political parties are organizations created for the purpose of winning elections and governing once in office.
Informal groups of lawmakers who gather together based on party or interest to discuss matters of common concern are known as caucuses.
The civil service is a merit-based system of employment and personnel management that replaced patronage.
The most powerful figure in the House of Representatives is the Speaker of the House.
A candidate must win a majority of electoral votes (270 out of 538) in order to win the presidency.
Political parties are established to participate in the political process by fielding candidates in elections and aiming to secure victory. They develop platforms, mobilize supporters, and engage in campaigns to attract voters. Once in office, they govern by implementing their policies and programs.
Informal groups of lawmakers who come together based on party or shared interests are called caucuses. These groups allow members to collaborate and discuss issues of mutual concern. Caucuses may focus on specific policy areas or represent certain demographics or ideological affiliations.
The civil service refers to a merit-based system of employment and personnel management in government. It replaced the previous practice of patronage, where government positions were often awarded based on political favoritism. The civil service system ensures that individuals are selected and promoted based on their qualifications, skills, and abilities, promoting fairness and professionalism in public administration.
The most influential position in the House of Representatives is the Speaker of the House. The Speaker is elected by members of the House and holds significant power in setting the legislative agenda, presiding over debates, and guiding the legislative process.
In the United States, a presidential candidate must win a majority of electoral votes to secure the presidency. There are 538 electoral votes, and a candidate needs to obtain at least 270 electoral votes to win the majority and become the president. Electoral votes are allocated based on the population of each state, and the candidate who wins the popular vote in a state usually receives all of that state's electoral votes.
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The Price of a car in Spain is 19.000 euros and in USA same car Price is 20.650 $, considering absolute PPP, and avoiding transaction costs:
a) Calculate spot Exchange rate euro/dollar
b) If forecasted inflation rates are 2,2% in Spain, and 2,6% in USA, calculate new
spot Exchange rate, considering relative PPP.
a) The spot exchange rate euro/dollar is approximately 0.919 and b) The new spot exchange rate, considering relative PPP, would be approximately 0.915 euro/dollar.
a) To calculate the spot exchange rate euro/dollar using the absolute Purchasing Power Parity (PPP), we divide the price of the car in Spain by the price of the car in the USA:
Spot exchange rate euro/dollar = Price of car in Spain / Price of car in the USA
= 19,000 euros / $20,650
≈ 0.919 euro/dollar
Therefore, the spot exchange rate would be approximately 0.919 euro/dollar.
b) To calculate the new spot exchange rate considering relative PPP, we need to take into account the inflation rates of both countries:
Relative PPP formula: Spot exchange rate * (1 + Inflation rate of the base country) / (1 + Inflation rate of the quote country)
Given information:
Inflation rate in Spain: 2.2%
Inflation rate in the USA: 2.6%
Previous spot exchange rate: 0.919 euro/dollar
New spot exchange rate = 0.919 * (1 + 0.022) / (1 + 0.026)
≈ 0.915 euro/dollar
Therefore, the new spot exchange rate, considering relative PPP, would be approximately 0.915 euro/dollar.
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The seven-month gold futures price is currently $2540 per ounce. Its volatility is 18% per annum, and the risk-free interest rate is 3% per annum, continuously compounded.
(a) Use a two-step binomial tree to evaluate a six-month European call option on the gold futures with a strike of $2500.
(b) Use the same tree to evaluate a six-month American call option on the gold futures with a strike of $2500. If the value differs from the value of the equivalent European option calculated in part (a), then explain why the option prices are different. If the values are the same then also explain why.
(c) Based on the two-step binomial tree, what is the delta of the American call option in part (b)?
(a) The value of a six-month European call option on the gold futures is approximately $134.77. (b) The value of a six-month American call option on the gold futures is also approximately $134.77. (c) The delta of the American call option is 0.7004.
(a) To evaluate the European call option, we use a two-step binomial tree. With the given parameters, we can calculate the up factor (u) and down factor (d) as well as the risk-neutral probability (p) for each step. By discounting the expected payoffs at each node back to the initial node, we obtain the option value. The value of the six-month European call option is approximately $134.77.
(b) The same binomial tree can be used to evaluate the American call option. However, the key difference is that the American option can be exercised at any time before expiration. In this case, the value of the six-month American call option is also approximately $134.77, which is the same as the European option value. This is because early exercise does not provide any additional benefit in this particular scenario.
(c) The delta of an option measures the sensitivity of the option price to changes in the underlying asset price. In this case, the delta of the American call option is approximately 0.7004, indicating that for every $1 change in the underlying asset price, the option price is expected to change by approximately $0.7004.
In summary, both the European and American call options have the same value of $134.77, and the delta of the American call option is approximately 0.7004. The similarity in option values between the European and American options in this case is due to the absence of early exercise opportunities that would create a difference between the two option types.
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ASSIGNMENT #3 1. An economy is in equilibrium. Find Marginal Propensity to Consume from the following: National Income = 2000 Autonomous Consumption = 400 Investment Expenditure = 200 (3) 2. Suppose that consumption equals C = 100+ 0.75 Y, and investment 50 and Y = C + 1. equals I = Find (i) The equilibrium level of income (ii) The level of consumption at equilibrium, and (iii) The level of saving at equilibrium. (4) 3. If marginal propensity to consume is 0.9, what is the value of multiplier? How much investment is needed if national income increases by Rs 5,000 crore? (3)
1)We know that Marginal Propensity to Consume (MPC) is the proportion of an increase in income that is spent on consumption. It is calculated as the ratio of the change in consumption expenditure to the change in disposable income.
In this case, we can calculate MPC as follows:National Income (Y) = 2000Autonomous Consumption (A) = 400Investment Expenditure (I) = 200Consumption Expenditure (C) = ?Aggregate Expenditure (AE) = C + IY = C + I + AA = 400C = MPC × Y (Equation 1)AE = C + IAE = (MPC × Y) + I (Substitute Equation 1 into the above equation)At equilibrium, AE = Y
Thus,2000 = (MPC × 2000) + 2000MPC × 2000 = 2000 - 2000MPC = -2000 / -2000 = 1Therefore, Marginal Propensity to Consume is 1.2)Given that C = 100 + 0.75Y, I = 50 and Y = C + I + 1.(i) Equilibrium level of income is achieved when Y = AE.Y = C + I + 1Substituting values of C and I,Y = (100 + 0.75Y) + 50 + 1
Simplifying ,Y = 151 + 0.75YY - 0.75Y = 151Y = 604Therefore, the equilibrium level of income is 604.(ii) Level of consumption at equilibrium: Substituting the value of Y into the consumption function ,C = 100 + 0.75YC = 100 + 0.75(604) = 502(iii) The level of saving at equilibrium: Saving (S) = Y - C - I Saving = 604 - 502 - 50 = 52
Therefore, the level of saving at equilibrium is 52.3)Given that MPC = 0.9We know that the value of multiplier (k) is given by:k = 1 / (1 - MPC)k = 1 / (1 - 0.9)k = 1 / 0.1 = 10If national income increases by Rs 5,000 crore, then:ΔY = 5000MPC = 0.9
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what are some of the possible consequences of financial distress?
Financial distress occurs when an individual or company cannot meet their financial obligations. Consequences include bankruptcy, foreclosure, garnishment, legal issues, and a poor credit score, impacting financial stability and future prospects.
Financial distress refers to a situation where an individual or a company cannot meet its financial obligations. The consequences of financial distress can be dire and include the following:Bankruptcy: Bankruptcy is one of the most significant consequences of financial distress. Bankruptcy can occur when an individual or a company has more debts than assets and cannot pay its bills. It's a legal process that allows an individual or a company to get rid of some debts or obligations and get a fresh start. It can, however, have serious consequences such as the loss of assets and creditworthiness.Foreclosure: Foreclosure is a legal process that allows a lender to take possession of a property if the borrower fails to pay their mortgage. It can result in the loss of a home, a decrease in creditworthiness, and difficulty in obtaining loans in the future.Garnishment: Garnishment is the process of deducting money from an individual's paycheck to pay off debts. It can result in reduced income and a decreased ability to pay bills.Legal issues: Financial distress can lead to legal issues such as lawsuits, judgments, and liens. These legal issues can result in the loss of assets and a decreased ability to obtain credit or loans.Poor credit score: Financial distress can lead to a poor credit score, which can make it difficult to obtain loans, credit cards, or mortgages in the future. It can also result in higher interest rates and fees.
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When Toyota Motor Corporation failed to meet its profit targets, the company set an aggressive goal of reducing the cost of its auto parts by 30%. The quality and safety of the company’s automobiles eventually suffered mightily resulting in recalls, litigation, incentive campaigns, and marketing efforts that analysts estimate would cost the company more than $5 billion. The car maker’s president, Akio Toyoda, blamed his company’s massive quality lapses on an excessive focus on profits and market share. Similarly, Jim Press, Toyota’s former top U.S. executive, said the problems were caused by "financially-oriented pirates who didn’t have the character to maintain a customer-first focus."
Discuss the above in line with the role of the management accountant’s ethical responsibilities.
The management accountant should, therefore, act ethically and responsibly in these situations to ensure that the company achieves its objectives while maintaining its ethical standards.
The management accountant’s ethical responsibilities in relation to the discussed issue of Toyota's failure to meet its profit targets are crucial.
The company's aim to cut the cost of its auto parts by 30% to achieve its goals led to various challenges, including reduced quality, safety issues, litigation, recalls, and incentives that cost over $5 billion.
In this situation, the management accountant should have acted ethically and taken steps to ensure the company's continued growth without compromising the quality of the products.
The management accountant should, therefore, act ethically and responsibly in these situations to ensure that the company achieves its objectives while maintaining its ethical standards.
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Perfect competition, monopolistic competition, oligopoly, and monopoly are the four basic market structures we've learned about. Do you think laundry detergent belongs in one of the four market structures? Explain your explanation in your own terms using two of the market features.
2. Select a different good now. Do you think that the good you selected belongs in one of the four market structures? Explain your explanation in your own terms using two of the market features.
Word Count 250 words max.
Laundry detergent falls under the monopolistic competition market structure due to product differentiation and a large number of competitors.
Laundry detergent belongs to the monopolistic competition market structure. In this market structure, there are many competitors offering differentiated products. Each brand of laundry detergent has its own unique characteristics, such as different fragrances, stain-fighting capabilities, or eco-friendly formulations. This product differentiation allows companies to create a perceived uniqueness and attract customers based on their preferences.
Additionally, the laundry detergent market has a large number of competing brands. Consumers have various options to choose from, including both well-known national brands and smaller local brands. This abundance of choices fosters competition among the brands, leading to advertising and promotional efforts to differentiate themselves and gain market share.
When considering a different good, its market structure would depend on factors such as barriers to entry, concentration of market power, and the degree of product differentiation. For example, if we consider smartphones, the market structure would likely be oligopoly. Few major players dominate the smartphone industry, such as Apple and Samsung, and their products have distinct features and brand identities. These companies have significant market power and compete through technological advancements, marketing strategies, and customer loyalty programs. The barriers to entry are relatively high due to the required investments in research, development, and manufacturing capabilities.
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Explain the Malthusian model of an economy and why it no longer explains the evolution of the British economic system from at least the beginning of the 19thcentury, if not earlier. Cite all sources and use critical analysis where possible
The Malthusian model of economy suggested that an economy would grow until it encountered a natural limit, which would prevent it from growing any further.
This natural check could take the form of famine, disease, or war, which would reduce the population until it could be supported by the available resources. In the Malthusian model, economic growth was limited by the availability of resources such as land, food, and raw materials. The Malthusian model was popular during the 18th and early 19th centuries, when economic growth was slow and most people lived in poverty. However, the Malthusian model no longer explains the evolution of the British economic system from at least the beginning of the 19th century, if not earlier. This is because of the Industrial Revolution, which transformed the British economy from an agrarian-based economy to an industrial-based economy.
As a result, the British economy was able to grow at a much faster rate than the population, leading to a significant increase in living standards.
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Exercise 21-17
Please explain how you come to the answer so I can learn how to do it please.
You have been engaged to review the financial statements of Walsh Corporation. While examining the work of the bookkeeper hired during the year that just ended, you noticed a number of irregularities for the past fiscal year:
1. Year-end wages payable of $13,600 were not accrued, because the bookkeeper thought that "it was immaterial."
2. Accrued vacation pay for the year of $34,600 was not recorded, because the bookkeeper "never heard that you had to do it."
3. Insurance that covers a 12-month period and was purchased on November 1 was charged to insurance expense in the amount of $9,240 "because the amount of the cheque is about the same every year."
4. Reported sales revenue for the year was $2,320,500 and included all sales taxes charged for the year. The sales tax rate is 5%. Because the sales tax is forwarded to the provincial ministry of revenue, the bookkeeper thought that "sales tax is a selling expense" and therefore debited the Sales Tax Expense account. At the end of the fiscal year, the balance in the Sales Tax Expense account was $99,900.
Prepare the necessary correcting entries, assuming that Walsh Corporation uses a calendar-year basis and that the books for the fiscal year that just ended are not yet closed. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.)
To correct the irregularities in Walsh Corporation's financial statements, the following entries should be made: (1) Accrue year-end wages payable of $13,600, (2) Record accrued vacation pay of $34,600, (3) Adjust insurance expense for prepaid insurance of $9,240, and (4) Reclassify the sales tax as a liability of $99,900 rather than an expense. These entries ensure accurate financial reporting by recognizing the unpaid liabilities and correcting misclassified expenses.
The year-end wages payable of $13,600 should be accrued to reflect the company's obligation. An entry is made to increase the Wages Expense account and the corresponding Wages Payable liability account. The accrued vacation pay of $34,600 needs to be recorded as an expense and a liability. This entry recognizes the amount owed to employees for their accrued vacation time. The Vacation Expense account is increased, and the Vacation Payable liability account is established.
The insurance expense entry needs to be adjusted to allocate the cost of insurance over the 12-month coverage period. The Prepaid Insurance account is debited to reflect the amount prepaid, and the Insurance Expense account is credited to spread the expense over the coverage period. The sales tax entry needs to be corrected to reflect the appropriate treatment of sales taxes as a liability rather than an expense. The Sales Tax Payable account is credited to establish the liability, and the Sales Tax Expense account is debited to reverse the previous incorrect entry.
By making these correcting entries, the financial statements will provide a more accurate representation of Walsh Corporation's financial position and results of operations. It is important to consult with a professional accountant or auditor to ensure compliance with accounting principles and regulations.
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Question 17 What is the marketspace? Use the editor to formot your onswer
marketspace is a digital space where buyers and sellers interact and transact in digital and physical goods or services.
The marketspace is a digital space in which buyers and sellers interact and transact in digital and physical goods or services. Explanation: Marketspace is a digital environment in which customers, sellers, and competitors interact, trade, and conduct business electronically. The marketspace makes it easier for buyers and sellers to connect to each other, even from remote locations around the world. The marketspace, in contrast to the physical market, provides companies with several advantages, including an ability to communicate and conduct business more efficiently, effectively, and economically. Moreover, the marketspace offers an abundance of goods and services, which can be accessed 24/7, regardless of time and location. In summary, marketspace is a digital space where buyers and sellers interact and transact in digital and physical goods or services.
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Accounting is an information and measurement system that identifies, records, and communicates relevant, reliable, and comparable information about an organization's business activities. Classify the following activities as part of the identifying (I), recording (R), or communicating (C) aspects of accounting. 1. Analyzing and interpreting reports. (1') 2. Presenting financial information. (1'). 3. Maintaining a log of service costs. (1') 4. Measuring the costs of a product. (1') 5.Preparing financial statements. (1') 6.Establishing revenues generated from a product. (1') 7. Determining employee tasks behind a service. (1)
1. Analyzing and interpreting reports: Identifying (I) 2. Presenting financial information: Communicating (C) 3. Maintaining a log of service costs: Recording (R) 4. Measuring the costs of a product: Recording (R)
5. Preparing financial statements: Recording (R) and Communicating (C) 6. Establishing revenues generated from a product: Identifying (I) 7. Determining employee tasks behind a service: Identifying. 1. Analyzing and interpreting reports involves examining financial or managerial reports to gain insights and make informed decisions. It falls under the identifying aspect of accounting as it helps identify trends, patterns, and key information from the reports. 2. Presenting financial information involves preparing and presenting financial statements, reports, or presentations to internal or external stakeholders. It falls under the communicating aspect of accounting as it involves conveying financial information to users in a clear and understandable manner. 3. Maintaining a log of service costs involves recording and documenting the costs associated with providing services. It falls under the recording aspect of accounting as it involves systematically capturing and storing cost data. 4. Measuring the costs of a product involves determining the expenses incurred in manufacturing or acquiring a product. It falls under the recording aspect of accounting as it involves quantifying and recording the costs. 5. Preparing financial statements involves gathering, organizing, and presenting financial data in the form of balance sheets, income statements, and cash flow statements. It falls under both the recording and communicating aspects of accounting as it involves recording financial transactions and communicating the results to users.
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Sales Variable costs Teal Mountain's vice president of finance has offered another option. He suggests a different system that combines personal service at key points in the cafeteria line with a less expensive automated self-service system for the other items. The financial information on this system is given below: Contribution margin Fixed costs < Net Income > Operating leverage Blended Service System $2,310,000 1,270,500 $1,039,500 693.000 $346,500 (1) Determine the degree of operating leverage for this option. (Round answer to 2 decimal places, e.g. 15.25.) 17/20 (2) How much would net income increase if sales increased by $231,000? (Round answer to 2 decimal places, e.g. 15.25%.) ⠀ oudy ☆ 0 C 5:22 PM 6/26/2022 P ← Project Question 3 of 5 < Determine the degree of operating leverage for this option. (Round answer to 2 decimal places, e.g. 15.25.) Operating leverage Net income (2) How much would net income increase if sales increased by $231,000? (Round answer to 2 decimal places, e.g. 15.25%.) Margin of safety ratio > Decline in sales (4) 200 % (3) Using the margin of safety ratio, how large of a decline in sales could this option sustain before operating at a loss. (Round margin of safety ratio to 2 decimal places, e.g. 0.25 and decline in sales to O decimal places, e.g. 125.) 17/20 50 10 ⠀ ☆ 0 C 5:23 PM 6/26/2022 P
The degree of operating leverage for the blended service system is 17.25. This means that a 1% increase in sales will result in a 17.25% increase in net income. Conversely, a 1% decrease in sales will result in a 17.25% decrease in net income.
The degree of operating leverage is calculated by dividing the contribution margin by net income. In this case, the contribution margin is $1,039,500 and the net income is $346,500. This gives a degree of operating leverage of 17.25.
The margin of safety ratio is calculated by dividing the difference between sales and break-even sales by sales. In this case, the difference between sales and break-even sales is $616,500 and sales are $2,310,000. This gives a margin of safety ratio of 26.75%.
This means that the blended service system could sustain a decline in sales of 26.75% before operating at a loss. For example, if sales were to decrease by $616,500, the company would still be able to operate at a break-even point. However, if sales were to decrease by more than $616,500, the company would start to operate at a loss.
The degree of operating leverage and the margin of safety ratio are both important measures of a company's financial stability. The degree of operating leverage measures how sensitive a company's net income is to changes in sales. The margin of safety ratio measures how much sales can decline before the company starts to operate at a loss.
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Which of the following is considered a change in accounting policy? a. change in an asset's useful life O b. change in depreciation method change in an asset's residual value d. change in allowance for doubtful accounts Clear my choice
A change in accounting policy is seen as occurring when the useful life of an asset changes. A company's financial transactions are recorded according to a set of rules, regulations, and guidelines known as its accounting policy.
Accounting policies are a collection of principles, procedures, and approaches that govern how a company records and presents its financial information.
Change in an asset's useful life: If a company decides to alter its estimate of an asset's useful life, it is considered a change in accounting policy. This occurs when a company revises its projections or estimates about the amount of time an asset will remain in service before requiring replacement or disposal.
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We cannot use constant-growth dividend model when: _________. A)the solution provides a positive value B)the solution provides a negative value C)the solution is equal to the risk-free rate D) None of the above.
The correct answer is D) None of the above. The constant-growth dividend model, also known as the Gordon growth model or the dividend discount model, is commonly used to value stocks by estimating their intrinsic value based on the expected future dividends. It assumes that dividends will grow at a constant rate indefinitely.
There is no specific condition mentioned in the options (A, B, or C) that would prevent the use of the constant-growth dividend model. As long as the necessary assumptions of the model hold, such as a constant growth rate, positive dividends, and a positive discount rate, the model can be applied. Therefore, none of the options provided indicate a situation where the constant-growth dividend model cannot be used.
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Which of the following is part of the treatment of multi-year pledges as required by FASB Statement No. 116? A)At the end of each accounting period, the difference between the balance in the receivable account and the new present value is deducted from the amount of the amount received from the donor which is recorded as income B)Pledge receivable is recorded for the total amount to be received and revenue is recorded each year as monies are received by the organization. C)The donation is recorded as a receivable at the present value of the future collections but revenue is not recorded until the pledge is received. D)At the end of each accounting period, the difference between the balance in the receivable account and the new present value is recorded as contribution revenue and the receivable is increased.
The treatment of multi-year pledges as required by FASB Statement No. 116 is option D. At the end of each accounting period, the difference between the balance in the receivable account and the net present value is recorded as contribution revenue, and the receivable is increased.
According to this treatment, at the end of each accounting period, the organization calculates the difference between the balance in the receivable account and the net present value of the remaining future collections. This difference is then recorded as contribution revenue, recognizing the value of the pledge received during that period. Simultaneously, the receivable account is increased to reflect the remaining balance of the pledge yet to be collected.
This treatment ensures that revenue recognition is aligned with the accrual accounting principle, where revenue is recognized when it is earned rather than when cash is received. By recognizing the contribution revenue based on the net present value, the organization accounts for the time value of money, as future collections are discounted to their present value.
Options A and B are incorrect because they suggest deducting or recording revenue based on the difference between the receivable balance and the net present value, which does not align with FASB Statement No. 116. Option C is also incorrect because it suggests recording the donation as a receivable at the present value of the future collections but delaying revenue recognition until the pledge is received, which is not in line with FASB Statement No. 116.
Therefore, option D accurately reflects the treatment of multi-year pledges as required by FASB Statement No. 116, ensuring proper revenue recognition and financial reporting for nonprofit organizations. Therefore, the correct option is D.
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Which of the following regarding the acquirer's conduct at the first meeting with the prospective target is CORRECT? A It is necessary to establish a successful track record for both standalone performance and integration, and to consider the counterparty's circumstances B It is necessary to listen actively in order to learn more about the target, and to describe how the potential deal will improve the acquirer's situation C It is necessary to come prepared to arrange for a follow-up as the seller might not have decided on a deal yet, and to avoid any discussion of personal aspects D I do not want to answer this question E It is necessary to be very assertive to underscore the acquirer's certainty that the deal will succeed, and to focus on what issues the deal with solve for both parties 2. Which of the following is the MAIN reason for a seller to pay the execution costs of a financial buyer? A This is a way for the seller to demonstrate its commitment to proceed with the deal B The financial buyer has few other ways to persuade the seller to agree to be a target C In this way the seller compensates the financial buyer for increasing the competition D I do not want to answer this question E The seller is the party without the bargaining power against a financial buyer
The following statement regarding the acquirer's conduct at the first meeting with the prospective target is CORRECT: It is necessary to listen actively in order to learn more about the target, and to describe how the potential deal will improve the acquirer's situation.
What is the purpose?The first meeting is crucial as it sets the tone for the rest of the acquisition process. The acquirer should listen carefully to the target and ask relevant questions to learn more about the target's business and its value proposition. They should describe how the potential deal will improve the acquirer's situation as well.
The acquirer must avoid being very assertive as it may give the impression that the acquirer is not interested in learning more about the target's business.
Therefore, option (B) is the correct statement regarding the acquirer's conduct at the first meeting with the prospective target.
In the second question, the MAIN reason for a seller to pay the execution costs of a financial buyer is: The financial buyer has few other ways to persuade the seller to agree to be a target.
Since financial buyers have limited options to persuade the seller to agree to be a target, the seller agrees to pay the execution costs. Therefore, option (B) is the correct answer.
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Banana Ltd reported the following assets in its statement of
financial position at 30 June 2021:
Land
25,000
Patent
100,000
Plant
250,000
Accumulated Depreci
The phrase "financial position" in accounting and finance refers to the entire status or state of a company's assets, liabilities, and equity at a certain period. It gives a quick overview of the business's financial situation.
Banana Ltd reported the following assets in its statement of financial position on 30 June 2021:Land 25,000 Patent 100,000 Plant 250,000 Accumulated Depreciation 125,000
The net carrying amount of the assets listed above can be calculated by using the formula: Net carrying amount = Gross carrying amount - Accumulated depreciation. The net carrying amount of Land = 25,000 - 0 = 25,000Net carrying amount of Patent = 100,000 - 0 = 100,000.
The net carrying amount of Plant = 250,000 - 125,000 = 125,000Therefore, the total net carrying amount of the assets listed above is $25,000 + $100,000 + $125,000 = $250,000.
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Share capital should be credited when To increase the revenue account, it should be Account payables should be debited when To increase the share premium account, it should be Choose... Choose... Credited Carry Forward debited none Brought Forward''
share capital should be credited to increase the share capital account.
- share premium account should be credited to increase the share premium account.
to increase the share capital account, it should be credited. this typically occurs when a company issues new shares to shareholders, and the proceeds from the issuance are recorded as an increase in the share capital account.
to increase the revenue account, it should be debited. revenue is typically recognized when a company provides goods or services to customers, and the revenue is recorded as an increase in the revenue account.
to increase the account payables, it should be credited. account payables represent amounts owed by a company to its suppliers or vendors for goods or services received on credit. an increase in account payables is recorded as a credit entry.
to increase the share premium account, it should be credited. share premium represents the amount received by a company from shareholders in excess of the par value or stated value of shares issued. when a company receives additional funds from shareholders in exchange for shares at a premium, the share premium account is increased through a credit entry. - revenue account should be debited to increase the revenue account.- account payables should be credited to increase the account payables.
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