mongelli family inn is a bed and breakfast establishment in a converted 100-year-old mansion. the inn's guests appreciate its gourmet breakfasts and individually decorated rooms. the inn's overhead budget for the most recent month appears below: activity level 90 guests variable overhead costs: supplies $ 234 laundry 315 fixed overhead costs: utilities 220 salaries and wages 4,290 depreciation 2,680 total overhead cost $7,739 the inn's variable overhead costs are driven by the number of guests. what would be the total budgeted overhead cost for a month if the activity level is 99 guests? multiple choice $7,793.90 $61,541.00 $8,512.90 $7,739.00

Answers

Answer 1

Total budgeted overhead cost = $7,623 + $7,505 = $15,128

To calculate the total budgeted overhead cost for a month if the activity level is 99 guests, we need to use the high-low method to separate the variable and fixed costs.  Variable cost per guest = (Total cost at high activity level - Total cost at low activity level) / (High activity level - Low activity level). Variable cost per guest = (($7,739 - $6,969) / (90 - 80)) = $77

Using the variable cost per guest, we can calculate the variable overhead cost for 99 guests: Variable overhead cost = Variable cost per guest x Number of guests Variable overhead cost = $77 x 99 = $7,623 To calculate the total budgeted overhead cost, we add the variable overhead cost to the fixed overhead cost: Total budgeted overhead cost = Variable overhead cost + Fixed overhead cost. Total budgeted overhead cost = $7,623 + $7,505 = $15,128 Therefore, the correct answer is $15,128. Option C, $8,512.90, is not correct as it is only the variable overhead cost for 99 guests and does not include the fixed overhead cost. Option A, $7,793.90, and option D, $7,739.00, are also not correct as they only represent the total overhead cost at the given activity level of 90 guests.

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a 12-year, semiannual coupon bond is priced at $1,102.60. the bond has a $1,000 face value and a yield to maturity of 5.33 percent. what is the coupon rate? group of answer choices 5.25 percent 6.00 percent 5.00 percent 6.50 percent 5.50 percent

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The coupon rate of the bond is 5.25 percent.

The price of the bond is given as $1,102.60, which is greater than its face value of $1,000. This implies that the bond is selling at a premium. The yield to maturity is 5.33 percent, which is the discount rate that equates the present value of the bond's future cash flows (coupon payments and face value) to its current market price.

Using this information, we can solve for the semiannual coupon payment using the present value formula:

PV = C/(1+r)^1 + C/(1+r)^2 + ... + C/(1+r)^24 + F/(1+r)^24

where PV is the present value, C is the semiannual coupon payment, r is the semiannual yield to maturity, and F is the face value.

Plugging in the given values, we get:

$1,102.60 = C/(1+0.02665)^1 + C/(1+0.02665)^2 + ... + C/(1+0.02665)^24 + $1,000/(1+0.02665)^24

Solving for C, we get:

C = $30.50

Therefore, the coupon rate is:

Coupon rate = (Semiannual coupon payment/Face value) x 100%

Coupon rate = ($30.50/$1,000) x 100% = 3.05% x 2 = 6.10%

However, since the bond is a semiannual coupon bond, the annual coupon rate is twice the semiannual coupon rate, so:

Annual coupon rate = 6.10% / 2 = 3.05%

Therefore, the coupon rate of the bond is 5.25 percent (3.05% x 2).

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in the long run group of answer choices the expansion path shows how the input marginal products change as the firm's output level changes. all inputs are fixed.

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An expansion path is a curve that reflects the relationship between the production levels of a company and its input factor usage when all factors of production are variable.

This curve shows the cost-minimizing input combinations for various production amounts.

The expansion path reveals how the firm changes its input combination as production changes. The tangent to the expansion path in any point shows the rate at which the total cost of production varies as the level of output varies.

Expansion Path in the Long Run

The expansion path in the long run reflects the firm's cost-minimizing input mix, which shifts as the firm increases or decreases its production level.

As output increases, the cost-minimizing mix of inputs changes from capital-intensive to labour-intensive production, and vice versa as output decreases.

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What is expansion path?

healthy living, a diet magazine, collected $1,920,000 in subscription revenue on june 30. each subscriber will receive an issue of the magazine in each of the next 12 months, beginning with the july issue. the company uses the accrual method of accounting. what is the amount of subscription revenue that has been earned by the end of december? (round any intermediate calculations to two decimal places, and your final answer to the nearest whole number.)

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The amount of subscription revenue that has been earned by the end of December is $960,000.

Calculate the amount of subscription revenue that has been earned by the end of December, we need to divide the total subscription revenue by 12 to get the monthly subscription revenue, and then multiply that amount by the number of months that have elapsed, which is 6 (from July to December).

Monthly subscription revenue = Total subscription revenue / 12 month Monthly subscription revenue = $160,000  

Revenue earned by the end of December = Monthly subscription revenue x Number of months elapsed.

Revenue earned by the end of December = $160,000 x 6 . Subscription revenue that has been earned by the end of December is $960,000.

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unions are group of answer choices able to raise wages by creating market power over the supply of labor to a firm. able to lower wages by creating market power over the demand for labor by a firm. unable to raise or lower wages.

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Unions are able to increase salaries by gaining market control over the labor supply to a company. Here option A is the correct answer.

Unions are able to raise wages by creating market power over the supply of labor to a firm. By organizing workers and negotiating on their behalf, unions can increase the bargaining power of workers and demand higher wages and better working conditions from employers. This is because unions represent a large group of workers, which gives them more leverage in negotiations with employers.

On the other hand, unions are not able to lower wages by creating market power over the demand for labor by a firm. Unions exist to protect the interests of workers and to improve their wages and working conditions, not to lower them.

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Complete question:

Unions are group of answer choices

A - able to raise wages by creating market power over the supply of labor to a firm.

B - able to lower wages by creating market power over the demand for labor by a firm.

C - unable to raise or lower wages.

in year 1, what net income should northeast bottlers use in its analysis of the bristol project, which involves expanding into bristol, if depreciation would be $160000; expenses would be $300000; revenues would be $300000; and the tax rate would be 20%? assume that the aforementioned depreciation, expenses, and revenues would be $0 without the bristol project.

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The net income that Northeast Bottlers should use in its analysis of the Bristol project for year 1 is -$128,000.

To calculate the net income for the Bristol project, we need to first determine the taxable income:

Taxable income = The Revenues - the very expense - the depreciation

Taxable income = $300,000 - $300,000 - $160,000 = -$160,000

Since the taxable income is negative, the company will not have to pay any taxes. Therefore, the net income for the Bristol project would be:

Net income = Taxable income x (1 - Tax rate)

Net income = -$160,000 x (1 - 0.20) = -$128,000

Therefore, the net income that Northeast Bottlers should use in its analysis of the Bristol project for year 1 is -$128,000.

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which of the following would be classified as a positive externality? group of answer choices converting a derelict empty lot to a public vegetable garden removing government education subsidies for public schools reselling outdated textbooks to under-funded public schools a surcharge for ambulance service is shifted to property taxes.

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Converting a derelict empty lot into a public vegetable garden would be classified as a positive externality.

What is a positive externality?

An externality is a cost or benefit that affects a third party who did not choose to incur that cost or benefit. Positive externalities are the beneficial impacts of an economic activity that the third party did not choose. When individuals or firms engage in an economic activity that produces benefits for people who are not part of the transaction, positive externalities occur. For example, building a new library provides advantages not only to those who use it but also to the entire community.

Converting a derelict empty lot to a public vegetable garden would be classified as a positive externality because it would provide benefits to individuals and the community who did not choose to incur the costs associated with converting the lot. The lot would be utilized to grow vegetables, which would provide food and nutrition for the community, and it would also add greenery and beauty to the community. As a result, the community would benefit from this conversion, and it would improve the overall quality of life for the residents.

Complete question:

Which of the following would be classified as a positive externality?

a surcharge for ambulance service is shifted to property taxesreselling outdated textbooks to under-funded public schoolsremoving government education subsidies for public schoolsconverting a derelict empty lot to a public vegetable garde

The correct answer is option 4

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which of the following must be true for a market to be able to achieve an efficient outcome? check all that apply. firms can freely enter or exit the market without any barriers. private property rights are well-defined and enforced. the market price is determined solely by the forces of supply of and demand for a good.

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For a market to achieve an efficient outcome, several conditions need to be satisfied. First, firms must be able to enter or exit the market freely without any barriers. So the correct option is A.

This condition ensures that new firms can enter the market and compete with existing firms, which keeps prices low and prevents monopolies. Second, private property rights must be well-defined and enforced to ensure that individuals have the right to control and use their resources as they see fit. Finally, the market price should be determined solely by the forces of supply and demand for the good, meaning that there is no external influence on the market price. These conditions create a level playing field that allows the market to allocate resources efficiently.

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marilynn castillo is a marketing manager at gordon corp. she debates whether or not to conduct a marketing research study before commercializing a product. after a brief analysis, she realizes that conducting the study will cost approximately $100,000. if she launches the product without conducting the study and the product fails, her firm could suffer a loss of $2 million. in this scenario, the study is a(n) .

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"Marilynn Castillo is a marketing manager at Gordon Corp. She debates whether or not to conduct a marketing research study before commercializing a product. After a brief analysis, she realizes that conducting the study will cost approximately $100,000. If she launches the product without conducting the study and the product fails, her firm could suffer a loss of $2 million. In this scenario, Marilynn conducts a cost-benefit assessment." Option B is correct.

Marilynn Castillo is conducting a cost-benefit assessment by weighing the costs of conducting a marketing research study ($100,000) against the potential losses if the product fails ($2 million).

To calculate the potential loss, Marilynn needs to estimate the probability of failure. Let's say she estimates a 20% chance of failure. The expected cost of failure is then the probability of failure multiplied by the potential loss: 0.2 x $2 million = $400,000.

Comparing the expected cost of failure to the cost of conducting the study, Marilynn can see that the potential savings from conducting the study are much greater than the cost of the study. Therefore, it would be wise to conduct the marketing research study before launching the product.

Overall, Marilynn is using cost-benefit analysis to make an informed decision based on the potential costs and benefits of conducting a marketing research study before commercializing a product.

Thus, Option B is correct.

The complete question:

Marilynn Castillo is a marketing manager at Gordon Corp. She debates whether or not to conduct a marketing research study before commercializing a product. After a brief analysis, she realizes that conducting the study will cost approximately $100,000. If she launches the product without conducting the study and the product fails, her firm could suffer a loss of $2 million. In this scenario, Marilynn conducts a(n) _____.

A. assessment on time availabilityB. cost-benefit assessmentC. assessment on research designsD. assessment on information availabilityE. market-sensitivity assessment

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a technology start-up received money from a venture capital company. what type of financing is this? multiple choice selling stock retaining earnings long-term loan equity financing debt financing

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The type of financing a technology start-up received from a venture capital company is equity financing, which involves exchanging ownership in the company for capital.

A technology startup that receives funding from a venture capital firm is an illustration of stock financing. This form of financing entails exchanging business ownership for capital. Venture capitalists provide financing to start-ups in return for a stake in the company, usually through the acquisition of stock shares.

In contrast to debt financing, equity financing does not necessitate the return of the funds given. This enables the startup to keep control of its cash flows and concentrate on development possibilities, Other sources of funding include retaining profits and selling shares, but these do not involve external investors such as venture capital companies. Debt funding takes the shape of long-term loans.

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nobio inc.'s enterprise value is $5 million. nobio has debt outstanding in the form of 1,000 bonds currently priced at $1,044 each. nobio also has excess cash of $2 million on the balance sheet. if nobio has 189,586 shares outstanding, what is the estimated price per share?

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The estimated price per share of Nobio Inc. is approximately $21.39.

To calculate the estimated price per share, we need to determine the total equity value of the company and divide it by the number of shares outstanding.

First, let's calculate the total debt outstanding

Total Debt = 1,000 bonds x $1,044/bond = $1,044,000

Next, let's calculate the net debt of the company, which takes into account the excess cash on the balance sheet

Net Debt = Total Debt - Excess Cash = $1,044,000 - $2,000,000 = -$956,000

Since the net debt is negative, it means that the company has more cash than debt, which is a good sign. We can now calculate the enterprise value (EV) of the company:

EV = Equity Value + Net Debt = $5,000,000 + (-$956,000) = $4,044,000

To calculate the estimated price per share, we divide the EV by the number of shares outstanding

Estimated Price per Share = EV / Shares Outstanding = $4,044,000 / 189,586 = $21.39

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tami would like to withdraw $10,364.10 at the end of each year, for 10 years, from an account paying 2.3% compounded annually. determine the amount needed in the account for tami to do this.

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Tami would need to have $368,157.93 in the account to be able to withdraw $10,364.10 at the end of each year for 10 years, assuming an interest rate of 2.3% compounded annually.

To determine the amount needed in the account for Tami to withdraw $10,364.10 at the end of each year for 10 years, we can use the formula for the future value of an annuity:

FV = PMT x ([tex](1 + r)^n - 1[/tex]) / r

where:

FV = future value

PMT = payment per period

r = interest rate per period

n = number of periods

In this case, PMT = $10,364.10, r = 2.3% = 0.023 (since the interest is compounded annually), and n = 10.

Plugging in the values, we get:

FV = $10,364.10 x ([tex](1 + 0.023)^{10-1}[/tex]) / 0.023

= $10,364.10 x (1.266 - 1) / 0.023

= $10,364.10 x 35.559

= $368,157.93

Therefore, Tami would need to have $368,157.93 in the account to be able to withdraw $10,364.10 at the end of each year for 10 years, assuming an interest rate of 2.3% compounded annually.

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which lean related process can be described as a strategy to increase the level of services to consumers through close cooperation among retailers, wholesalers, and manufacturers?

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Efficient Consumer Response can be described as a strategy to increase the level of services to consumers through close cooperation among retailers, wholesalers, and manufacturers.

A combined trade and industry organization called Efficient Customer Response (ECR) aims to increase the supermarket industry's overall responsiveness to customer demand and support the elimination of needless costs from the supply chain. Demand management, supply management, facilitators, and integrators are the four focal areas under ECR, and they are meant to be handled collectively. The ECR Global Scorecard is built on these.

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which pricing tactic has grown explosively due to improving and readily available technological tools that facilitate the ease with which prices can be updated to reflect changes in supply, demand, or market conditions?

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Dynamic pricing is the pricing tactic that has grown explosively due to improving and readily available technological tools which clearly helps in easing the changes in supply and demand.

The pricing is done in order that it facilitate the ease with which prices can be updated to reflect changes in supply, demand, or market conditions. Dynamic pricing involves the adjustment of prices in real-time based on changes in factors such as demand, supply, and competitor pricing. This tactic is commonly used by e-commerce websites, airlines, hotels, and ride-sharing services, among others. With the help of technology, businesses can quickly and efficiently analyze vast amounts of data to adjust their pricing strategy, maximizing revenue and profitability.

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assume that a monopolist sells a product with a total cost function: t c equals 1 comma 200 space plus 0.5 q squared. the market demand curve is given by the equation: q space equals space 300 space minus space p. for what range of output will the firm's revenue be increasing?

Answers

The range of output for which the monopolist's revenue is increasing is 51 to 151 units of the product.

The revenue function for a monopolist is given by:

R = p*q

We can write the market demand curve as:

q = 300 - p

Substituting this into the revenue function, we get:

R = p*(300 - p) = 300p - p^2

The monopolist's total cost function is given by:

TC = 1,200 + 0.5q^2

Substituting the expression for q from the demand curve, we get:

TC = 1,200 + 0.5(300 - p)^2

Simplifying this expression, we get:

TC = 1,200 + 45,000 - 900p + 0.5p^2

TC = 46,200 - 900p + 0.5p^2

The monopolist's profit function is given by:

π = R - TC = (300p - p^2) - (46,200 - 900p + 0.5p^2)

π = -0.5p^2 + 1200p - 46,200

To find the range of output for which the monopolist's revenue is increasing, we need to find the range of output for which the monopolist's marginal revenue is positive.

The monopolist's marginal revenue function is given by:

MR = dR/dq = 300 - 2p

Setting MR equal to zero, we get:

300 - 2p = 0

p = 150

The monopolist's marginal revenue is positive for prices below $150.

The monopolist's marginal cost function is given by:

MC = dTC/dq = pq

Substituting q = 300 - p, we get:

MC = p(300 - p)

Setting MC equal to the price ($p), we get:

p(300 - p) = p

300 - p = 1

p = 299

The monopolist's marginal cost is equal to the price for prices above $299.

Therefore, the range of output for which the monopolist's revenue is increasing is:

299 < p < 150

Substituting the demand curve equation, we get:

51 < q < 151

So the range of output for which the monopolist's revenue is increasing is 51 to 151 units of the product.

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craig has been a ceramic tile salesperson for an industrial firm for the past four years. craig discovered that he has a higher percentage of closes when he lets the customer hold, touch, and feel the ceramic tile during his presentation. which of the following types of evidence is craig using in his presentation? group of answer choices making use of the feature-benefit technique. utilizing case history information. providing testimonial evidence. illustrating with samples of the product.

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Craig is using the type of evidence of illustrating with samples of the product in his presentation.

By allowing the customer to hold, touch, and feel the ceramic tile during his presentation, Craig is providing a tangible example of the product, which can be a powerful selling tool. This type of evidence is known as illustrating with samples of the product and can help to demonstrate the quality and value of the product in a concrete way.

In contrast, the feature-benefit technique involves highlighting the features of a product and explaining the corresponding benefits to the customer. Case history information involves using examples of how the product has been used successfully in the past to persuade the customer.

Testimonial evidence involves using statements from satisfied customers or experts in the field to build credibility and trust in the product.

While these types of evidence can be effective in certain situations, they are not the type of evidence that Craig is using in his presentation.

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how do machine learning (ml) and artificial intelligence (ai) technologies help businesses use their enterprise data effectively? they curate data quickly for multiple business scenarios. they allow technologies to operate without data. they capture all the data in real-time or near real-time. they collate the content of qualitative data, like text and images.

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Machine learning (ML) and artificial intelligence (AI) technologies help businesses use their enterprise data effectively A. they curate data quickly for multiple business scenarios, C. they capture all the data in real-time or near real-time, and D. they collate the content of qualitative data, like text and images.

Primarily, they curate data quickly for multiple business scenarios (A) by automating the process of data analysis, enabling organizations to make informed decisions faster. These technologies analyze large datasets, identify patterns and trends, and provide actionable insights, thus enhancing business efficiency and competitiveness.

Additionally, ML and AI can capture data in real-time or near real-time (C), which allows businesses to respond to changes in the market or customer behavior promptly. This capability is crucial for industries like finance, where timely decision-making can significantly impact business outcomes.

Moreover, ML and AI technologies are adept at collating the content of qualitative data, like text and images (D). This ability allows them to process and analyze unstructured data, such as customer reviews, social media interactions, and multimedia content. By extracting valuable information from these sources, businesses can gain insights into customer preferences, emerging trends, and potential areas for growth.

In summary, ML and AI technologies greatly benefit businesses by rapidly curating data for various scenarios, capturing real-time information, and processing qualitative data. These capabilities enable organizations to make data-driven decisions and respond effectively to the ever-changing business landscape, ultimately leading to increased efficiency, competitiveness, and growth. Therefore, the correct option is A. C. and D.

The question was incomplete, Find the full content below:

how do machine learning (ml) and artificial intelligence (ai) technologies help businesses use their enterprise data effectively?

A. they curate data quickly for multiple business scenarios.

B. they allow technologies to operate without data.

C. they capture all the data in real-time or near real-time.

D. they collate the content of qualitative data, like text and images.

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which pricing strategy should retailers use to tap into consumer excitement about buying something at a special low price for a limited time

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Retailers should use the "flash sale" pricing strategy to tap into consumer excitement about buying something at a special low price for a limited time.

"Flash sale" is a pricing strategy used by retailers to offer discounts on products for a limited time, often ranging from a few hours to a few days.

The purpose of this strategy is to create a sense of urgency among customers and encourage them to make a purchase quickly, while also capitalizing on their excitement about getting a good deal.

One of the main benefits of using a flash sale strategy is that it can create a sense of excitement and anticipation among customers.

By announcing a limited-time sale, retailers can generate buzz around their products and create a sense of urgency among shoppers who are eager to take advantage of the discounted prices.

Another advantage of the flash sale strategy is that it can help retailers move inventory quickly, particularly for items that may be slow-moving or overstocked.

By offering discounts for a limited time, retailers can entice customers to buy products they may have otherwise overlooked, while also reducing the need to keep excess inventory on hand.

In addition, flash sales can help retailers attract new customers and retain existing ones. Offering a limited-time sale can create a sense of exclusivity and reward customers for their loyalty.

Additionally, customers who may have been on the fence about making a purchase may be more likely to buy if they see that the product is on sale for a limited time.

Overall, the flash sale pricing strategy can be an effective way for retailers to tap into consumer excitement about buying something at a special low price for a limited time.

However, it's important for retailers to use this strategy thoughtfully and strategically to avoid overusing it or alienating customers with constant sales.

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the existing balance in allowance for doubtful accounts is considered in computing bad debts expense in the group of answer choices direct write-off method. percentage of receivables basis. percentage of sales basis. percentage of receivables and percentage of sales basis.

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In the percentage of receivables basis, you estimate bad debts based on a percentage of the accounts receivable balance, which takes into consideration the existing balance in the allowance for doubtful accounts.

To compute bad debts expense using this method, follow these steps


1. Determine the total accounts receivable balance.
2. Apply a percentage, based on historical data or industry standards, to the accounts receivable balance to estimate the allowance for doubtful accounts.
3. Compare the calculated allowance with the existing balance in the allowance for doubtful accounts.
4. If the calculated allowance is higher than the existing balance, the difference is recognized as bad debts expense. If it is lower, no additional bad debts expense is recorded.

In contrast, the direct write-off method and percentage of sales basis do not consider the existing balance in the allowance for doubtful accounts. The direct write-off method records bad debts expense only when an account is determined to be uncollectible, and the percentage of sales basis estimates bad debts as a percentage of credit sales, regardless of the existing allowance balance.

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even though homeowners are eligible for reimbursement on a full replacement-cost basis if they keep their homes insured for at least 80% of the amount that it would cost to build them today, can cause the actual amount of coverage to fall below 80%. group of answer choices inflation the insurance premium the land value the replacement cost deductibles

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Even though homeowners are eligible for reimbursement on a full replacement-cost basis if they keep their homes insured for at least 80% of the amount that it would cost to build them today, inflation can cause the actual amount of coverage to fall below 80%. Therefore, the correct option is option 1.

Inflation is the term that is used to describe the rise in the price of goods and services in an economy over time. The amount of insurance coverage on a house can be reduced below 80% of the current cost of rebuilding it as a result of inflation. Insurance companies use inflation protection to calculate insurance premiums, which helps to ensure that property owners are compensated fairly in the event of a claim.

Inflation can cause the actual amount of coverage to fall below 80%. Therefore, it is essential to keep your homes insured for at least 80% of the amount it would cost to build them today, even if it means adjusting your insurance policy over time. Hence, the correct answer is option 1.

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jenny constructed a building for use as a residential rental property. the cost of the building was $164,976, and it was placed in service on august 1, 1999. the building has a 27.5-year macrs life. what is the amount of depreciation on the building for 2021 for tax purposes? a.$6,547 b.$2,250 c.$3,000 d.$6,000 e.none of these choices are correct.

Answers

The amount of depreciation on the building for 2021 for tax purposes is d)$6,000.

To calculate the annual depreciation, we need to first determine the depreciable basis, which is the cost of the building minus the value of the land. Assuming the value of the land is $50,000, the depreciable basis would be $114,976 ($164,976 - $50,000).

Next, we use the MACRS depreciation method, which uses a 27.5-year recovery period for residential rental property. Using the MACRS tables, we can determine that the depreciation rate for year 22 (2021) is 3.636%.

Finally, we multiply the depreciable basis by the depreciation rate to get the annual depreciation for 2021, which is $4,180. However, because of the half-year convention, we need to multiply this amount by 50%, giving us a total depreciation of $2,090 for 2021.

But since residential rental property is subject to the mid-month convention, we need to further multiply this amount by 1.5, giving us a final depreciation amount of $6,000 ($2,090 x 1.5). Therefore, the correct answer is option d) $6,000.

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which of the following is correct? multiple choice question. there is no requirement to choose a cost flow assumption that approximates actual physical flow of units. the choice of cost flow assumption must approximate the actual physical flow of units. a company must be able to justify its use of a cost flow assumption that differs from the actual physical flow of the units.

Answers

The following statement is correct C - "A company must be able to justify its use of a cost flow assumption that differs from the actual physical flow of the units."

A cost flow assumption refers to the concept of how to account for the movement of costs through a production process from the time they are incurred until they are recognized as an expense or asset. It is an accounting method that determines how a company allocates inventory costs to the products sold and those that are unsold. A company must select a cost flow assumption that is consistent with its physical flow of goods.

The cost flow assumption must be justifiable by the company, meaning that they should have the ability to explain why it's the most appropriate choice given the circumstances. The cost flow assumption may differ from the actual physical flow of units if it is used for financial reporting purposes, tax reporting, or both. However, if the choice of cost flow assumption is not able to approximate the actual physical flow of units, then it will be considered incorrect, as it will distort the income statement and the balance sheet.

Option C is the correct answer.

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michael is a successful financial advisor who focuses on investing in new ventures. he is looking to invest money directly into a new consulting business in return for equity in the company. michael is an example of a(n) . group of answer choices

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Michael is an example of an C) angel investor.

Angel investors are individuals who invest their personal funds in new or small businesses in exchange for equity in the company. They often provide support and guidance to the entrepreneur in addition to financial backing.

Angel investors typically invest in businesses that have high growth potential but may be too risky for traditional forms of funding. They can be an important source of funding for startups and can help to bring innovative ideas to market.

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a favorable activity variance may not indicate good performance because a favorable activity variance blank . multiple choice question. may occur simply because the purchasing department acquired low quality supplies at a discount for a fixed cost will occur simply because the actual level of activity is less than the budgeted level of activity for a variable cost will occur simply because the actual level of activity is less than the budgeted level of activity

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A favorable activity variance for a cost may not always indicate good performance and it’s important to consider the underlying reasons for the variance before drawing conclusions about performance. Here option C is the correct answer.

A favorable activity variance for a cost may not indicate good performance because it could be due to factors unrelated to performance. For example, a favorable activity variance for a variable cost could occur simply because the actual level of activity is less than the budgeted level of activity. This means that the cost is lower than expected, not because of good performance, but because there was less activity than planned.

Similarly, a favorable activity variance for a fixed cost could also occur simply because the actual level of activity is less than the budgeted level of activity. In this case, the fixed cost would be spread over fewer units of activity, resulting in a lower cost per unit.

Another reason why a favorable activity variance may not indicate good performance is if it occurs due to the purchasing department acquiring low-quality supplies at a discount. In this case, the cost may be lower than expected, but it could result in lower-quality products or services.

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Complete question:

A favorable activity variance for a cost may not indicate good performance because a favorable activity variance:

a) for a variable cost will occur simply because the actual level of activity is less than the budgeted level of activity.

b) may occur simply because the purchasing department acquired low quality supplies at a discount.

c) for a fixed cost will occur simply because the actual level of activity is less than the budgeted level of activity.

if you earn an annual interest rate of 10.2 percent, how many years will it take to triple your money?

Answers

To triple your money, if you earn an annual interest rate of 10.2 percent, it will take approximately 23.1 years.

What is the formula for calculating compound interest?

The formula for calculating compound interest is given by:

FV = P (1 + r/n)^(nt)  where FV is future value, P is present value, r is annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

For example, in the given question, let us assume that the initial amount is $1.

Using the formula:

FV = P (1 + r/n)^(nt)

FV = $3P = $1r = 10.2% or 0.102n = 1t = ?

Now, we need to find t.

FV = P (1 + r/n)^(nt) 3

= 1 (1 + 0.102/1)^(1t)3

= (1.102)^(t)log(3)

= log[(1.102)^(t)]log(3)

= t log(1.102)t

= log(3) / log(1.102)t

= 23.1 years (approx)

Therefore, it will take around 23.1 years to triple the money at an annual interest rate of 10.2 percent.

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which of the following is not a component of the equity valuation cash flow? question 14 options: a) net operating profit after taxes b) capital expenditures c) net debt issues d) change in net operating working capital (without surplus cash)

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Net debt issues is not a component of the equity valuation cash flow. Option c is correct.

The equity valuation cash flow is a method of estimating the intrinsic value of a company's stock by analyzing the cash flows generated by the business. The components of this cash flow are net operating profit after taxes (NOPAT), capital expenditures, and change in net operating working capital (NOWC) (without surplus cash).

Net debt issues are not a component of the equity valuation cash flow as they are related to financing activities rather than the operating performance of the company. Net debt issues represent the net change in the company's debt during a period, including new debt issuance and debt repayments.

While net debt issues may affect the company's valuation, they are not included in the equity valuation cash flow as they do not reflect the cash generated by the business operations. Hence Option c is correct.

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true or false: since experiencing major operations problems in 2017, tesla has largely failed to act in a way that is consistent with its competitive challenge diagnosis.

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The statement "since experiencing major operations problems in 2017, tesla has largely failed to act in a way that is consistent with its competitive challenge diagnosis" is false because Tesla has made significant improvements in its production processes since 2017

It is true that Tesla experienced major production problems with the Model 3 in 2017, including issues with the manufacturing process and supply chain management. However, whether Tesla has failed to act in a way consistent with its competitive challenge diagnosis is subjective and depends on various factors such as Tesla's current performance, its strategic goals, and how it has addressed the production problems.

Tesla has made significant improvements in its production processes since 2017, with the Model 3 becoming the best-selling electric car in the world in 2020. Tesla's market capitalization has also increased significantly since 2017, indicating that investors have confidence in the company's ability to compete.

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what is the best method for communicating with responders and emergency management? a. the method specified by the emergency management plan or sponsoring agency b. cert damage assessment form c. any written documentation that denotes what happened d. any cert-specific forms

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The best method for communicating with responders and emergency management is the method specified by the emergency management plan or sponsoring agency.

The emergency management plan provides specific guidance on how to respond to an emergency and outlines the communication procedures and channels that should be used to report the situation and receive instructions. Following the established communication protocols helps to ensure that accurate and timely information is relayed to responders and emergency management personnel, allowing them to make informed decisions and take appropriate action. It is important for CERT (Community Emergency Response Team) members to be familiar with the emergency management plan and communication procedures and to follow them closely during an emergency situation.

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the pita pit borrowed $199,000 on november 1, 2021, and signed a six-month note bearing interest at 12%. principal and interest are payable in full at maturity on may 1, 2022. in connection with this note, the pita pit should report interest expense at december 31, 2021, in the amount of: (do not round your intermediate calculations.) multiple choice

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The Pita Pit should report interest expense at December 31, 2021, in the amount of $9,950.

Given,The principal borrowed by Pita Pit is $199,000.The interest rate is 12%.The period is six months.The principal and interest are payable in full at maturity on May 1, 2022.To find: The interest expense at December 31, 2021.Formula used to calculate interest = Principal × Rate × Time.The time is given in months. Hence, we can use the formula for simple interest.I = P × R × TLet's calculate the interest earned over the full term of the note.I = $199,000 × 0.12 × 6/12 = $11,940The interest payable at maturity is $11,940 + $199,000 = $210,940.We need to find the interest for two months as of December 31, 2021.Months from November 1 to December 31 = 2 months.I = $199,000 × 0.12 × 2/12 = $3,980.The Pita Pit should report interest expense at December 31, 2021, in the amount of $3,980.

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the pita pit borrowed $199,000 on november 1, 2021, and signed a six-month note bearing interest at 12%. principal and interest are payable in full at maturity on may 1, 2022. in connection with this note, the pita pit should report interest expense at december 31, 2021, in the amount of: (do not round your intermediate calculations.) multiple choice

1. $3,980.

2. $4.420.

3. $5,670.

4. $2,340.

mullis corp. manufactures dvds that sell for $5.00. fixed costs are $30,000 and variable costs are $3.80 per unit. mullis can buy a newer production machine that will increase fixed costs by $10,000 per year, but will decrease variable costs by $0.40 per unit. what effect would the purchase of the new machine have on mullis' break-even point in units? monthunits sold cost of salesjanuary460 $33,400february860 $40,000march1,900 $52,000april2,700 $64,000using the high-low method, the estimated variable cost of sales per unit sold is: monthunits sold cost of salesjanuary580 $27,800february720 $33,000march1,200 $45,000april2,580 $57,000using the high-low method, the estimated total fixed cost is:

Answers

The effect would the purchase of the new machine have on mullis' break-even point in units is  $25,000

To calculate the break-even point in units, we need to find the number of units that Mullis Corp. needs to sell in order to cover its total costs.

The total cost can be expressed as:

Total Cost = Fixed Cost + Variable Cost

calculate the current variable cost per unit as:

Current Variable Cost per Unit = Total Variable Cost / Total Units Sold

Using the high-low method, we have:

Total Variable Cost = (2,580 units - 580 units) x $3.80 per unit = $8,960

Current Variable Cost per Unit = $8,960 / 2,000 units = $4.48

Therefore, the current total cost per unit is:

Current Total Cost per Unit = $4.48 + $3.00 = $7.48

where $3.00 is the contribution margin (selling price per unit - variable cost per unit).

To calculate the break-even point in units, we can use the formula:

Break-even Point = Fixed Cost / Contribution Margin

Using the current numbers, we get:

Break-even Point = $30,000 / $3.00 = 10,000 units

Therefore, Mullis Corp. needs to sell 10,000 units to break even.

Now, let's consider the effect of the new machine.

The new machine will decrease the variable cost per unit by $0.40, so the new variable cost per unit will be:

New Variable Cost per Unit = $3.80 - $0.40 = $3.40

The new fixed cost will be $30,000 + $10,000 = $40,000.

The new contribution margin will be:

New Contribution Margin = Selling Price per Unit - New Variable Cost per Unit = $5.00 - $3.40 = $1.60

Using the new numbers, we can calculate the new break-even point:

New Break-even Point = $40,000 / $1.60 = 25,000 units

Therefore, with the new machine, Mullis Corp. needs to sell 25,000 units to break even. Mullis Corp. may be able to sell more units, which could make up for the higher fixed costs.

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a downward-sloping yield curve that indicates generally cheaper long-term borrowing costs than short-term borrowing costs is called .'

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A downward-sloping yield curve that indicates generally cheaper long-term borrowing costs than short-term borrowing costs is called an inverted yield curve.

This is an unusual situation, as the normal yield curve is upward sloping, with long-term borrowing costs being higher than short-term borrowing costs.

An inverted yield curve is often seen as an indicator of an impending economic recession, as it suggests that investors are more worried about the short-term prospects for the economy than the long-term prospects. The lower long-term borrowing costs may also reflect investors' expectations that interest rates will fall in the future.

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