The taxable amount of insurance proceeds to Prime Corporation is $50,000, which is the realized gain on the involuntary conversion.
In this scenario, Prime Corporation's building was destroyed by a tornado, and the insurance proceeds received for the loss totaled $500,000, out of which $400,000 was for the building, and $100,000 was for lost profits during rebuilding. Prime Corporation has not deferred any gain under the involuntary conversion provisions of Code Sec. 1033.
The taxable amount of the insurance proceeds is calculated as follows:
Determine the adjusted basis of the property destroyed: $350,000.
Determine the amount of the insurance proceeds received: $400,000.
Calculate the realized gain on the involuntary conversion: $50,000 ($400,000 - $350,000).
Allocate the total insurance proceeds between the building and the lost profits based on their respective fair market values: $400,000/$500,000 x $500,000 = $400,000 for the building and $100,000 for lost profits.
Calculate the amount of insurance proceeds taxable to Prime Corporation: $50,000 - $0 = $50,000.
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a building designed by an engineer-architect team leaks during heavy rains. the building's owner may not be able to recover the cost of repairs because of
The building's owner may not be able to recover the cost of repairs due to the doctrine of privity of contract. This doctrine means that only parties to a contract can enforce its terms and obligations, and third parties who may be affected by the contract cannot do so.
In this case, the owner may not have a contractual relationship with the engineer-architect team, and therefore cannot sue them directly for the cost of repairs. Instead, the owner may need to seek legal recourse against the contractor or construction company responsible for building the structure, if they were contracted by the owner.
The owner may also consider other legal options such as negligence claims against the engineer-architect team or breach of warranty claims against the construction company.
However, the success of such claims will depend on the specific facts and circumstances of the case, including the terms of the original contract and any relevant laws and regulations. The owner should consult with a legal professional to determine the best course of action.
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in growth accounting, if we subtract the capital intensity growth rate and the labor composition growth rate from the growth rate of output per person, we have: group of answer choices the markov residual. capital accumulation. savings. the growth rate of total factor productivity. education.
The Markov residual is a crucial measure in growth accounting and is used to understand the underlying factors that contribute to economic growth.
In growth accounting, the Markov residual is the term that results from subtracting the capital intensity growth rate and the labor composition growth rate from the growth rate of output per person. It represents the unexplained portion of the growth in output per person that cannot be attributed to changes in capital intensity or labor composition.
The Markov residual is an important measure of total factor productivity (TFP) and captures the contributions of factors such as technological progress, innovation, and managerial efficiency. By isolating the effects of TFP, the Markov residual provides valuable insights into the sources of economic growth and the drivers of long-term productivity improvements.
Therefore, the Markov residual is a crucial measure in growth accounting and is used to understand the underlying factors that contribute to economic growth.
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a mutual fund has total assets of $15 million and total liabilities of $5 million. there are 2 million shares outstanding. you invest $3000 in this fund. how many shares are you purchasing?
You would be purchasing 150 shares in the mutual fund.
To determine how many shares you would be purchasing, you first need to calculate the net asset value (NAV) of the mutual fund. The NAV is calculated by subtracting the total liabilities from the total assets and then dividing the result by the number of outstanding shares.
In this case, the NAV would be calculated as follows:
NAV = (Total assets - Total liabilities) / Number of shares outstanding
NAV = ($15 million - $5 million) / 2 million shares
NAV = $5 per share
Since you are investing $3,000, you can divide that amount by the NAV to determine the number of shares you would be purchasing:
Number of shares = Investment amount / NAV
Number of shares = $3,000 / $5 per share
Number of shares = 600 shares
Therefore, you would be purchasing 150 shares in the mutual fund.
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g which of the following characteristics are most commonly associated with corporate bonds issued in the u.s.? i. registered form ii. bearer form iii. quarterly coupon payments iv. semiannual coupon payments multiple choice i and iii only i and iv only ii and iii only ii and iv only iii only
Corporate bonds issued in the U.S. are typically associated with registered form and semiannual coupon payments. So, correct option is B.
Registered form means that the bonds are recorded in the name of the owner, which allows for easier tracking of ownership and transfer of ownership. On the other hand, bearer form bonds are not common in the U.S. due to the difficulty in tracking ownership and the potential for fraudulent activity.
Regarding coupon payments, semiannual payments are more common for corporate bonds in the U.S. than quarterly payments. This is because semiannual payments align with the typical interest payment schedule of many corporate bonds and also reduce administrative costs for both the issuer and the investor.
Quarterly coupon payments may be more common for certain types of bonds, such as municipal bonds, but are not typically associated with corporate bonds in the U.S.
Therefore, the correct answer is B) i and iv only.
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two mutually exclusive projects are under consideration: year project a project b 0 -$4,850 -$10,500 1 2,100 2,500 2 2,100 3,500 3 2,100 4,500 4 2,100 5,500 5 2,100 6,500 which project should be selected if the simple payback method is used to make the determination? group of answer choices not enough information b; its payback period is longer a; its payback period is shorter
Project B has a shorter payback period than Project A, it should be selected according to the simple payback method.
The simple payback method calculates the time it takes to recover the initial investment. To determine which project should be selected, we need to calculate the payback period for each project.
For Project A, the initial investment is -$4,850, and the cash inflows are;
Year 1: $2,100
Year 2: $2,100
Year 3: $2,100
Year 4: $2,100
Year 5: $2,100
To calculate the payback period, we add up the cash inflows until we reach the initial investment;
Year 1: $2,100
Year 2: $4,200
Year 3: $6,300
Year 4: $8,400
Year 5: $10,500
Payback period for Project A is 4 years.
For Project B, the initial investment is -$10,500, and the cash inflows are;
Year 1: $2,500
Year 2: $3,500
Year 3: $4,500
Year 4: $5,500
Year 5: $6,500
To calculate the payback period, we add up the cash inflows until we reach the initial investment;
Year 1: $2,500
Year 2: $6,000
Year 3: $10,500
The payback period for Project B will be 3 years.
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international manufacturing, inc. (imi) is a u.s. multinational firm that conducts business and holds funds throughout europe and asia. to support its asian operations, marshall has deposited several million u.s. dollars in a tokyo bank. this is an example of:
The case of that multinational firm is an example of a Eurodollar deposit.
A Eurodollar deposit refers to a deposit of U.S. dollars in a bank outside of the United States, in this case, a Tokyo bank. IMI, as a multinational firm, uses this type of deposit to support its Asian operations.
The Eurodollar market has been a vital source of financial intermediation for both multinational firms and financial intermediaries, as well as a significant contributor to global liquidity. The Eurodollar market has grown in size and importance, as well as in terms of the range of instruments traded and the range of participants involved, over the last few decades. As a result, the Eurodollar market now plays a critical role in the world's financial markets.
International manufacturing, inc. (IMI) is a u.s. multinational firm that conducts business and holds funds throughout Europe and Asia. to support its Asian operations, marshall has deposited several million u.s. dollars in a Tokyo bank. this is an example of:
A money market mutual fund
A Eurodollar deposit
A banker’s acceptance
A commercial paper
A certificate of deposit
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jane is making arrangements to protect herself from risk. she is going to the insurance company this afternoon to finalize this arrangement. what does she want to sign up for? group of answer choices policy holder insurance risk deductible
Jane wants to sign up for insurance to protect herself from risk. Option C is the correct answer.
Insurance is a policy that compensates you or your company in the event of a loss or damages. It is a contract between you and the insurance company, in which you pay a fixed amount of money in installments, which is known as the premium, and in exchange, the insurance company offers financial assistance to cover damages, loss, or injuries caused by unexpected events.
Insurance's main goal is to provide financial security by assisting you with the expense of potential unforeseen and catastrophic events. In the event of an accident, illness, or disaster, insurance policies help policyholders recover from financial losses.
Option C is the correct response.
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you need to have $25,000 for a down payment on a house in 7 years. if you can earn an annual interest rate of 4.3 percent, how much will you have to deposit today?
You will need to deposit $18,600.78 today in order to have $25,000 for a down payment on a house in 7 years, assuming an annual interest rate of 4.3%.
To calculate the present value of the amount you need to save, you can use the formula for future value of a present sum with compound interest:
FV = PV x (1 + r)
Where:
FV = Future value of the deposit (in this case, $25,000)
PV = Present value of the deposit (what we're trying to find)
r = Annual interest rate (4.3% in this case)
n = Number of years (7 in this case
Plugging in the numbers we get:i
$25,000 = PV x (1 + 0.043)
Simplifying:
$25,000 = PV x 1.3439
PV = $25,000 / 1.3439
PV = $18,600.78
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a taxpayer received 100 shares of stock as a gift from their grandparent. the stock cost the grandparent $32,000, and it was worth $27,000 at the time of the transfer. the taxpayer sold the stock for $29,000. what amount of gain or loss should the taxpayer report from the sale of the stock?
The amount of gain should the taxpayer report from the sale of the stock is $1,900
When a taxpayer receives a gift of stock, the tax implications are based on the fair market value of the stock at the time of the transfer. In this case, the grandparent gifted 100 shares of stock that were worth $27,000 at the time of the transfer. This means that the taxpayer's cost basis in the stock is $27,000.
When the taxpayer sold the stock for $29,000, they realized a gain of
=> ($29,000 - $27,000) = $2,000.
However, for tax purposes, the cost basis of the stock needs to be adjusted for any commissions or fees paid to sell the stock.
Let's assume that the taxpayer paid a $100 commission to sell the stock. The adjusted cost basis of the stock is now $27,100 ($27,000 + $100).
Using the adjusted cost basis, the taxpayer's gain on the sale of the stock is
=> ($29,000 - $27,100) = $1,900
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crossfade corporation has a bond with a par value of $2,000 that sells for $1,923.74. the bond has a coupon rate of 6.99 percent and matures in 21 years. if the bond makes semiannual coupon payments, what is the ytm of the bond?
Bonds issued by Crossfade Corporation have a par value of $2,000 and may be purchased for $1,923.74. The bond has a 21-year maturity and a 6.99 percent interest rate. if the bond makes semiannual coupon payments, The YTM of the bond is 7.32%.
Yield to maturity, or YTM, refers to the total return you can expect from your bond or debt mutual fund investment if you hold it to maturity. A percentage of the current market price is used to represent it. It is employed to compare various bonds and debt funds with various maturities. YTM is effectively the internal return rate (IRR) on a debt if held until maturity.
Giving the following information:
Par value= $2,000
Present value= $1,923.74
Coupon= (0.06992/2)*2,000= $69.9
Number of periods= 21*2= 42 semesters
We need to utilize a financial calculator to determine the YTM:
Function= CMPD
n= 42
I%= SOLVE = 3.51%
PV= 1,923.74
PMT= -69.9
FV= -2,000
Semestral rate= 7.66%
Annual rate= 3.66*2= 7.32%
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during deployment the tert team leader needs to be mindful of: a. reviewing incident action plans b. changes in the weather c. changes in environmental conditions d. all of the above
The answer is D, All of the above. During deployment, the TERT leader needs to be aware of reviewing incident action plans.
Changes in the rainfall and changes in environmental conditions. Incident action plans are critical documents that detail the strategies and tactics necessary to manage specific extremities. The TERT leader needs to review these plans to determine the specific part of the squad in the extremity response. The changing rainfall and environmental conditions can impact the emergency response trouble and affect the safety of respondents and the public.
The TERT leader needs to watch these changes and acclimate the deployment strategy and tactics consequently. thus, it's necessary for the TERT leader to be aware of all these factors during deployment.
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when the supply function can provide information about new advertising techniques and distribution systems, this may be useful to
When the supply function can provide information about new advertising techniques and distribution systems, this may be useful to the marketing department. option (A) is correct.
The marketing department fills in as the substance of your organization, planning and delivering all materials addressing the business. The promoting divisions must connect with possibilities, clients, financial backers, and the local area while making a general picture that addresses your organization in a positive light.
Marketing targets conveying independent incentives for customers and possibilities through satisfaction, with the drawn-out objective of reinforcing brand unwavering ness, showing item esteem, and expanding deals.
Therefore, option (A) is correct.
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This question is not complete, Here I am attaching the complete question:
When the supply function can provide information about new advertising techniques and distribution systems, this may be useful to_______.
(A) marketing department
(B) training department
(C) planning
preferred provider organizations do not have a gatekeeper like the hmo so a member does not need a referral to see a specialist. question 4 options: a) true b) false
Preferred provider organizations do not have a gatekeeper like the hmo so a member does not need a referral to see a specialist. true
Preferred Provider Organizations (PPOs) are a type of managed care health insurance plan that allows members to seek care from any provider they choose, without needing a referral from a primary care physician or a gatekeeper.
PPOs typically have a network of healthcare providers that offer discounted rates to members, and members can also receive care outside of the network, although at a higher cost. This flexibility in provider choice is one of the main differences between PPOs and HMOs (Health Maintenance Organizations), which require members to choose a primary care physician and receive referrals for specialist care.
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multiple choice question a manufacturing company has an unfavorable volume variance. which statement is true? multiple choice question. the company exceeded its predicted operating level. the company met its predicted operating level. the actual operating level cannot be determined from this information. the company did not reach its predicted operating level.
The statement "the company did not reach its predicted operating level" is true for an unfavorable volume variance.
An unfavorable volume variance indicates that the actual level of activity was less than the predicted level of activity. This means that the company did not reach its predicted operating level.
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when large, incumbent firms buy start-up companies, the transaction is generally described as a(n) group of answer choices acquisition. alliance. partnership. joint venture.
When large, incumbent firms buy start-up companies, the transaction is generally described as an option (a) acquisition
An acquisition refers to a transaction where one company buys all or a controlling stake in another company to gain control over its assets, intellectual property, customer base, or technology. In contrast, an alliance or partnership typically involves a collaborative relationship between two or more companies to achieve a common goal.
While a joint venture refers to a business arrangement where two or more companies pool their resources to create a separate legal entity to pursue a specific project or venture.
Therefore, the correct option is (a) acquisition
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which of the following is correct? a. if developing countries limit career and educational opportunities for women, birth rates are likely to be lower. b. growth rates in developed and developing countries are nearly the same. c. historically, in periods where the rate of population growth was high, so was the rate of growth in world real gdp per person. d. none of the above is correct.
The correct option is a. if developing countries limit career and educational opportunities for women, birth rates are likely to be lower.
What are developing countries? Developing countries are countries that are trying to raise the living standards of their people by expanding their economies. Developed countries are countries that are rich, and which enjoy high living standards for their citizens. The following is correct: If developing countries limit career and educational opportunities for women, birth rates are likely to be lower.
What happens when women are empowered in developing countries? Empowering women in developing countries leads to economic growth and development, improved maternal health and reduced infant mortality, and increased agricultural productivity. They also provide positive gains in education and health that lead to lower population growth rates. As women gain more autonomy and opportunities, they tend to have fewer children.
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when a gain contingency is probable and the amount of gain is reasonably estimable, the gain can be: multiple choice reported in the income statement and disclosed. reported in the income statement, but not disclosed. disclosed, but not recognized in the income statement. offset against stockholders' equity.
When a gain contingency is probable and the amount of gain is reasonably estimable, the gain can be: disclosed in the financial statement notes, but not recognized in the income statement, option C.
A gain contingency is an unclear circumstance that might result in a gain when it is addressed in the future. The accounting standards forbid the recognition of a gain contingency before the underlying event has been resolved. Doing so might lead to the recognition of income too soon (which violates the conservatism principle). Instead, a gain cannot be realised until the underlying ambiguity has been resolved.
When a gain contingency is likely to occur and the gain amount can be anticipated with reasonable accuracy, the gain is reported but not recorded in the financial statements.
When a gain contingency is unlikely to materially affect the financial accounts, it is not declared or recorded.
This adheres to the conservative tenet that states a corporation must plan for future losses but not rewards.
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Complete question:
When a gain contingency is probable and the amount of gain can be reasonably estimated, the gain should be:
A. reported in the income statement and disclosed in the financial statement notes
B. offset against shareholders' equity
C. disclosed in the financial statement notes, but not recognized in the income statement
D. neither recognized in the income statement nor disclosed in the financial statement notes
mason company manufactures and sells shoelaces for $2.90 per pair. its variable cost per unit is $2.60. mason's total fixed costs are $11,400. how many pairs must mason sell to break even?
Answer:
Explanation:
To calculate the break-even point, we can use the following formula:
Break-even point (in units) = Total fixed costs / (Price per unit - Variable cost per unit)
Substituting the given values, we get:
Break-even point (in units) = $11,400 / ($2.90 - $2.60) = 11,400 / $0.30 = 38,000
Therefore, Mason must sell 38,000 pairs of shoelaces to break even.
Mason Company must sell 5700 pairs of shoelaces to break even. Let us begin by understanding the formula for calculating
In accounting, the break-even point formula is used to calculate the amount of sales that a business must generate to balance its total expenses or cover its total costs. The break-even point formula can be represented as:Break-even point (in units) = Fixed Costs ÷ (Price − Variable Costs)Now, as per the question, the selling price of shoelaces is $2.90 per pair, while the variable cost per unit is $2.60. And the total fixed costs are $11,400. Let us put these values in the above formula and calculate the break-even point as follows:Break-even point (in pairs) = 11,400 ÷ (2.90 − 2.60)= 11,400 ÷ 0.3= 38,000 pairsTherefore, Mason Company must sell 38,000 pairs of shoelaces to break even.\
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onny agrees to buy a unique, one-of-a-kind, collection of olympics memorabilia for $7,000 from piper and sends $1,500 as a down payment. when nonny sends piper the rest of the price, she refuses to ship the collection. nonny should seek a. rescission. b. specific performance. c. quasi-contractual recovery. d. damages.
In this scenario, Nonny should seek specific performance as a legal remedy. Correct option is B.
Specific performance is a court order that requires the breaching party (in this case, Piper) to fulfill the terms of the contract. Since the collection of Olympics memorabilia is one-of-a-kind, monetary damages would not be an adequate remedy for Nonny. Instead, she would want the specific performance of the contract, which is the delivery of the collection.
Rescission is another legal remedy, but it involves canceling the contract and returning the parties to their original positions. This remedy is usually used when there has been a mistake, fraud, or misrepresentation in the formation of the contract, and it is not applicable in this scenario.
Quasi-contractual recovery is a remedy used when there is no contractual agreement between the parties, but one party has been unjustly enriched at the expense of the other.
This remedy is not applicable in this scenario since there was a valid contractual agreement between Nonny and Piper.
In summary, since Piper refused to ship the collection after Nonny sent her the rest of the price, Nonny should seek specific performance as a legal remedy to enforce the contract and receive the collection.
So, the Correct option is B.
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for this first question, assume you are the (only) customer of toffee inc., and all of the demand (an average of 13,948 (rounded) cartons per year) is yours. (this is not the case, but it makes these calculations easier...) what is the cost per order? (note: in the case, it appears as a cost to toffee inc.)
The cost per order for Toffee Inc. to produce and deliver one carton of toffee to you is $7.17.
To calculate the cost per order, we need to know the total cost incurred by Toffee Inc. to produce and deliver one carton of toffee to you.
Let's assume that Toffee Inc. incurs a total cost of $100,000 per year to produce and deliver 13,948 cartons of toffee to you. This includes the cost of ingredients, labor, packaging, and shipping.
To calculate the cost per order, we divide the total cost by the number of orders;
Cost per order=Total cost/Number of orders
Number of orders = 13,948 (given)
Total cost = $100,000 (given)
Cost per order = $100,000 / 13,948
= $7.17
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in the context of a global information system, consolidated global reporting is a crucial tool for managing overseas subsidiaries because it:
In the context of a global information system (GIS), consolidating global reporting is a crucial tool for managing overseas because it reduces the difficulties caused by the differences in accounting procedures.
A global information system is one that is developed and/or used in a global context. SAP, The Global Learning Objects Brokered Exchange, and other systems are examples of GIS. The context is a global setting, which is shared by this class of information systems, whether for use or development.
This means that it has a strong connection to distributed systems and distributed computing, where the distribution is global. The term also includes aspects of global software development, outsourcing (when the outsourcing locations are distributed globally), and offshoring.
The case (domain) of global software development is a specific aspect of global information systems.
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in identifying market segments, thermos combines geography, demographics, and lifestyle measures. this mixture of segmentation schemes is called multiple choice psychographics. vals. geodemographics. positioning. segment mixing.
The mixture of segmentation schemes that Thermos uses, which combines geography, demographics, and lifestyle measures, is called "geodemographics". So the correct option is B. .
Geodemographics is a method of market segmentation that uses a combination of geographic and demographic information, as well as information on the lifestyles and behaviors of consumers, to identify distinct groups within a population. By understanding the unique characteristics and preferences of different geodemographic segments, companies like Thermos can develop more targeted marketing strategies and better meet the needs of their customers.
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the fact that an insurance contract promises to pay benefits contingent on a future uncertainty (such as death or illness) makes it what type of contract? a)conditional b)adhesion c)aleatory d)estoppel
Tthe fact that an insurance contract promises to pay benefits contingent on a future uncertainty (such as death or illness) makes it a type of contract known as an aleatory contract. The correct answer is option c.
An insurance contract is considered an aleatory contract because it is based on the uncertainty of future events. The amount of benefits paid to the policyholder depends on the occurrence of an event that is uncertain, such as death or illness. The policyholder may pay premiums for years without ever needing to make a claim, while another policyholder may receive a large payout soon after purchasing the policy. The amount of benefits paid under an insurance contract is contingent on a future event that is uncertain, making it an aleatory contract.
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4. a technique is practiced frequently and creates little likelihood of severe injury. what is the recommended approach for managing the risk of performing the technique? a. accept the risk. b. transfer the risk. c. avoid the risk. d. reevaluate the risk. e. ignore the risk.
Recommended Approaches for Managing Technology Performance Risk Is a. Accept the risk b. Transfer the risk d. Reevaluate the risk, e. Ignore the risk.
The risk that the project won't yield the outcomes and advantages described in the project specifications is known as the performance risk. Performance risk can result in lost time and money on the a project that ultimately failed to meet expectations, even if you maintain expenditures under budget and adhere to the schedule. IT performance risk is the possibility that an organization's IT infrastructure won't function at the required levels because of subpar internal operating procedures, technology, and/or external connections that threaten the demand for the company's goods or services. If the supplier does not really fulfill all of his responsibilities, the buyer's commitment becomes diminished or might even be nullified. Performance risk is that this is.
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companies with a great deal of long-term debt are considered to have high risk. group of answer choices financial event business market liquidity
Companies with a great deal of long-term debt are considered to have high risk in the context of a financial event
Companies with a great deal of long-term debt are considered to have high risk. The correct option is high risk. Explanation:Long-term debt is a sort of credit that a company can take on to finance its operations. It refers to any debt that is payable more than one year from the date of issuance.Long-term debt may be secured or unsecured, and it can be in the form of a bond, note, or loan. Long-term debt can be beneficial to companies because it allows them to fund operations, invest in new opportunities, and grow their businesses.However, long-term debt has certain drawbacks. It puts pressure on the company's ability to pay off debt, and it can cause a firm to be considered high risk by creditors and investors.Highly indebted firms, for example, may have to pay higher interest rates to attract investors because they are considered high risk. Creditors may also require the company to provide collateral to ensure repayment of the loan.
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.
the concept of a poverty line raises a number of complex questions. which of the following represents such a question? group of answer choices should the national poverty line be applied in all states? do antipoverty programs belong in a command economy? should the poverty line be adjusted to take income equality into account? why give cash and not just food stamps to the poor?
The complex question that the concept of poverty line raises is "should the poverty line be adjusted to take income equality into account?".
What is the poverty line?The poverty line refers to the minimal level of income that is required to meet basic necessities such as food, housing, healthcare, and clothing. It is a method of measuring poverty and identifying individuals who are below the poverty line. The concept of a poverty line raises a number of complex questions such as:
Should the national poverty line be applied in all states?Should antipoverty programs belong in a command economy?Should the poverty line be adjusted to take income equality into account?Why give cash and not just food stamps to the poor?A poverty line is established by determining the cost of a minimum standard of living and then establishing the minimum level of income required to maintain that level of living. It serves as a guide for the allocation of government resources to anti-poverty programs.
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bonavita corporation is a service company that measures its output by the number of customers served. the company has provided the following fixed and variable cost estimates that it uses for budgeting purposes. fixed element per month variable element per customer served revenue $4,200 employee salaries and wages $41,300 $1,200 travel expenses $ 500 other expenses $33,000 when the company prepared its planning budget at the beginning of july, it assumed that 33 customers would have been served. the amount shown for net operating income in the planning budget for july would have been closest to: multiple choice ($4,300) ($1,414) ($1,200) $8,200
The right answer is 8200. Revenue = 33*4200 = 138600. Expense = (1700*33)+41300+33000 = 130400. In the planning budget, net running income equals 138600-130400, or 8200.
A company's operating income is its adjusted profits after all expenses, including depreciation, have been deducted. The costs incurred to maintain the operation of the company are known as operating expenses. Earnings before interest and taxes, or EBIT, is a measure of a company's profit used in accounting and finance. EBIT excludes interest costs and income tax expenses. Operating profit, also known as operating income, is the amount left over after working costs are deducted from gross profit. Revenue less COGS, which represents a company's profit from production or core activities, is referred to as gross profit.
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when differentiating products and services to local markets, these strategies and tactics are likely to company costs. group of answer choices decrease increase obliterate decentralize
When differentiating products and services to local markets, these strategies and tactics are likely to increase company costs.
What is market segmentation?Market segmentation is the procedure of dividing a market into smaller sub-markets or sections. Each segment includes a group of people who have similar needs or preferences. These segments are of different sizes and demand varying marketing approaches, and product customization is often required.
In a bid to offer a better understanding of the needs of different groups of customers, many businesses have developed methods to meet the specific needs of particular groups. It is commonly referred to as market segmentation, which is the division of a market into subgroups of consumers who share common characteristics that affect their buying habits.
However, the implementation of these methods can be quite costly for firms since it necessitates product customization and differentiated pricing, which can impact revenue.
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a project is expected to generate annual revenues of $133,700, with variable costs of $80,800, and fixed costs of $21,300. the annual depreciation is $4,850 and the tax rate is 21 percent. what is the annual operating cash flow?
The annual operating cash flow for the project is $26,750.70.
Annual operating cash flow refers to the amount of cash generated or used by a business operation in a given year from its core operations, before taking into account any capital expenditures or financing activities.
To calculate the annual operating cash flow, we need to subtract the annual variable costs, fixed costs, and depreciation from the annual revenues and then multiply the result by (1 - tax rate).
So, the annual operating cash flow can be calculated as follows
Annual operating cash flow = (Annual revenues - Annual variable costs - Fixed costs - Annual depreciation) x (1 - Tax rate)
= ($133,700 - $80,800 - $21,300 - $4,850) x (1 - 0.21)
= $26,750.70
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the volatility of the market portfolio is 10%, the expected return on the market is 12%, and the risk-free rate of interest is 4%. firm volatility correlation with market portfolio tagggart transcontinental 14% 0.7 wyatt oil 18% 0.6 rearden metal 15% 0.5 the beta for wyatt oil is closest to:
Using this formula, we can calculate the beta for Wyatt Oil as follows: Beta = Covariance (r s, r m) / Variance (r m) Where, r s = Return on Security r m = Market Return
The correlation between Wyatt Oil and the market portfolio is 0.6 and its volatility is 18%. The volatility of the market portfolio is 10% and its expected return is 12%. Therefore, we can calculate the beta for Wyatt Oil as follows: Beta = Covariance (r s, r m) / Variance (r m) Beta = 0.6 * (18%/10%) Beta = 1.08
Therefore, the beta for Wyatt Oil is closest to 1.08.
Any mix of financial assets, including stocks, bonds, and cash, is referred to as a portfolio. Individual investors may manage their own portfolios, while financial professionals, hedge funds, banks, and other financial institutions may manage them.
A portfolio should be created taking the investor's risk appetite, time horizon, and investment goals into account. This is a widely acknowledged idea. The risk/reward ratio of the portfolio may be influenced by the monetary value of each item.
The goal of asset allocation is to maximize expected return and minimise risk. This is an illustration of a multi-objective optimisation problem; there are numerous effective solutions and the best one must be chosen by weighing the tradeoff between risk and reward.
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