a company sells a machine for 75,000. the book value is 90,000 and the tax rate is 30%. what are the cash flows from selling the machine (taking into account tax effects)?

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Answer 1

The cash flows from selling the machine, taking into account tax effects, is $79,500. The cash flows from selling the machine can be calculated as follows.



1. First, calculate the taxable gain on the sale of the machine by subtracting the book value from the selling price:

Taxable gain = Selling price - Book value
Taxable gain = $75,000 - $90,000
Taxable gain = -$15,000 (there is a loss on the sale)

2. Since there is a loss on the sale, there is no tax liability on the gain. Therefore, the cash flow from the taxable gain is zero.

3. Next, calculate the tax savings from the loss on the sale:

Tax savings = Tax rate x Taxable loss
Tax savings = 30% x $15,000
Tax savings = $4,500

4. Finally, calculate the cash flow from the sale of the machine:

Cash flow = Selling price + Tax savings
Cash flow = $75,000 + $4,500
Cash flow = $79,500

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listening to a political ad or an ad for a new product usually requires:

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A political ad, in particular, is designed to influence the listener's opinion and sway their vote in favor of a particular candidate or party. Thus, it is important to listen carefully and analyze the claims and promises made in the ad.

Listening to a political ad or an ad for a new product usually requires critical thinking and attentiveness.

When you encounter a political ad, it is important to evaluate the message presented, consider the candidate's position on various issues, and assess the reliability of the information. Likewise, when listening to an ad for a new product, you should examine the product's features, benefits, and potential drawbacks, as well as compare it to similar products in the market. In both cases, being a discerning listener enables you to make informed decisions and develop a well-rounded understanding of the subject matter.Similarly, an ad for a new product may make bold claims about the product's benefits and features, but it is up to the listener to determine whether those claims are accurate or not. To do so, one must pay attention to the details provided in the ad, research the product further, and make an informed decision about whether or not to make a purchase. Ultimately, both political ads and ads for new products require the listener to engage in critical thinking and consider the information presented in the ad before making a decision.

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A person who chooses not to be in the labor force reveals that a. either leisure or the value of nonpaid labor is worth more to him or her than the value that society places on his or her potential product in the market. b. either leisure or the value of nonpaid labor is worth less to him or her than the value that society places on his or her potential product in the market. c. either leisure or the value of nonpaid labor is worth zero to him or her. d. his or her potential product in the market is zero.

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A person who chooses not to be in the labor force reveals that a. either leisure or the value of nonpaid labor is worth more to him or her than the value that society places on his or her potential product in the market.

A person who chooses not to be in the labor force reveals that a. either leisure or the value of nonpaid labor is worth more to him or her than the value that society places on his or her potential product in the market.

This means that the individual places a higher value on their time spent engaging in leisure activities or performing unpaid work than what they could potentially earn in the labor market.

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for each of the following pairs, which of the two goods is more likely to be elastically supplied? a. supply of apples over the next growing season vs. supply of apples over the next decade the supply of apples over the next is more elastic. b. supply of construction workers in binghamton, new york, vs. supply of construction workers in new york state the supply of construction workers in is more elastic. c. supply of breakfast cereal vs. supply of food the supply of is more elastic. d. supply of gold vs. supply of computers the supply of is more elastic.

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In each pair, the good with the more elastically supplied is: apples over a decade, construction workers in New York State, breakfast cereal, and computers.


a. The supply of apples over the next decade is more likely to be elastically supplied.
b. The supply of construction workers in New York State is more likely to be elastically supplied.
c. The supply of breakfast cereal is more likely to be elastically supplied.
d. The supply of computers is more likely to be elastically supplied.
a. Over a decade, there's more time for producers to adjust their production levels, making the supply more elastic.
b. Considering the entire state of New York, there's a larger pool of workers, making it easier to adjust the supply of construction workers.
c. Breakfast cereal has many substitutes, making its supply more elastic, whereas the supply of food in general is less elastic.
d. Computer production can be easily adjusted based on demand, while gold supply is more limited and less responsive to price changes.


Summary:
In each pair, the good with the more elastically supplied is: apples over a decade, construction workers in New York State, breakfast cereal, and computers.

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opec radically cuts back on the production of oil used by u.s. manufacturers. aggregate supply will

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If OPEC were to radically cut back on the production of oil used by U.S. manufacturers, this would have a significant impact on the aggregate supply of goods and services in the United States. This is because oil is a critical input in the production process for many manufacturers, particularly those in the transportation and energy sectors.

As such, any reduction in the availability or affordability of oil would likely lead to a decrease in the output of these industries. In the short term, manufacturers may struggle to find alternative sources of energy to power their operations. This could lead to reduced production levels, higher costs, and ultimately, higher prices for consumers. In addition, any disruptions to the supply of oil could have knock-on effects throughout the economy, particularly in industries that rely heavily on transportation, such as retail and hospitality. Over the longer term, manufacturers may need to invest in new technologies or alternative energy sources in order to reduce their reliance on oil. This could involve significant upfront costs, but could ultimately lead to greater efficiency and resilience in the face of future disruptions to the oil market.
Overall, a radical cutback in oil production by OPEC would likely have significant implications for the U.S. economy, particularly in the manufacturing sector. Manufacturers would need to adapt to the new reality of higher oil prices and reduced availability, which could lead to short-term disruptions but ultimately drive innovation and technological progress in the longer term.

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which of the following has brought significant numbers of foreign visitors and currency to costa rica, ecuador, nepal, and belize? responses casino gambling casino gambling vacation cruising vacation cruising offshore banking offshore banking factory outlet shopping factory outlet shopping ecotourism

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The industry that has brought significant numbers of foreign visitors and currency to Costa Rica, Ecuador, Nepal, and Belize is ecotourism.

Ecotourism refers to responsible travel to natural areas that conserves the environment, sustains the well-being of the local people, and involves interpretation and education. Ecotourism has become increasingly popular in recent years as people have become more aware of the impact of their travel on the environment and local communities. Costa Rica, for example, has become known for its eco-friendly tourism industry. The country has preserved much of its natural beauty, with over 25% of its land protected in national parks and reserves. Visitors can enjoy activities such as hiking, bird watching, and wildlife tours, and stay in eco-lodges and sustainable hotels. The country's commitment to sustainability and conservation has attracted eco-conscious travelers from all over the world, bringing significant foreign currency to the country.Similarly, Ecuador has also been successful in promoting ecotourism. The country is home to the Galapagos Islands, a unique and fragile ecosystem that attracts tourists interested in seeing the rare wildlife that inhabits the islands. In addition, the country has preserved large areas of the Amazon rainforest, where visitors can participate in eco-tours and learn about the local indigenous cultures.Nepal, on the other hand, is known for its mountain landscapes, including Mount Everest, the highest peak in the world. The country has developed a sustainable tourism industry that includes trekking, mountain biking, and wildlife watching. Visitors can also participate in cultural tours and learn about the local customs and traditions.

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to prevent the buildup of work-in-process inventory, the first workstation has to be delayed (i.e., sit idle) how many seconds after it completes processing a unit?

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The flow of work and minimize the amount of inventory that is held in process at any given time, which can help to improve efficiency and reduce costs.

To prevent the buildup of work-in-process inventory, the first workstation should be delayed (i.e., sit idle) for the amount of time equal to the processing time of the subsequent workstation. This ensures that the next workstation is available to receive the processed unit as soon as it is completed by the first workstation, preventing any buildup of inventory between the two workstations.

This delay is known as the "inter-operation time" and it is an important consideration in managing the flow of work through a production process. By carefully managing the inter-operation times between workstations, it is possible to optimize the flow of work and minimize the amount of inventory that is held in process at any given time, which can help to improve efficiency and reduce costs.

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in 2011, kellogg's froot loops launched a custom game aimed at children and made available on their company website. this is an example of:

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The launch of a custom game aimed at children and made available on Kellogg's Froot Loops company website in 2011 is an example of a marketing strategy to engage with their target audience.

This marketing strategy is called gamification, which involves incorporating game-like elements into non-game contexts to increase user engagement and motivation. By creating a custom game, Kellogg's Froot Loops aimed to enhance its brand awareness and loyalty among children, who are their primary consumers. The game likely featured the Froot Loops brand prominently and may have incorporated elements related to their products, such as collecting cereal pieces or navigating through a maze of loops.

In addition, by hosting the game on their website, Kellogg's Froot Loops encouraged children to visit their site, increasing their online presence and potentially leading to increased sales. Overall, the launch of this custom game was a clever marketing tactic that leveraged the popularity of games to enhance engagement and promote their brand to their target audience.

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when adding resources, there are limits as to how much speed can be gained.T/F

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True. when adding resources, there are limits as to how much speed can be gained.

When adding resources, there are limits to how much speed can be gained. This is due to a phenomenon known as the law of diminishing returns, which states that as more and more units of a resource are added to a production process, the marginal increase in output will eventually decrease. In other words, there comes a point where adding more resources to a production process will no longer result in a proportional increase in output.

For example, suppose a factory is producing 10 units of a product per day with a certain number of workers. If the factory adds more workers, it may be able to produce 15 or 20 units per day. However, at some point, adding more workers may not result in a proportional increase in output due to factors such as limited space, equipment, or other resources. At this point, the law of diminishing returns sets in, and the factory will experience decreasing marginal returns on its investment in additional workers.

Therefore, while adding resources can increase speed up to a certain point, there are limits to how much speed can be gained before experiencing diminishing returns.

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a firm does not pay a dividend. it is expected to pay its first dividend of $0.10 per share in two years. this dividend will grow at 11 percent indefinitely. using a 13 percent discount rate, compute the value of this stock. $5.43 $4.59 $4.42 $7.21

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The dividend will grow at 11 percent indefinitely. using a 13 percent discount rate,  the value of the stock will be $4.59

Si, the correct answer is B.

How to find the value of this stock?

The value of the stock can be computed using the dividend discount model. The formula is D/(r - g) where D is the dividend, r is the discount rate, and g is the dividend growth rate.

Using the dividend discount model, the value of the stock is given as:

D1 = D0 (1 + g)

Where:

D0 is the current dividend and is zero

D1 is the next year's dividend

D1 = D0 (1 + g) = 0.10 (1 + 11%) = $0.11

Discount rate is 13%.

D = D1 / (1 + r) = 0.11 / (1 + 0.13) = $0.09734513

Hence, the value of the stock is $0.09734513 / (0.13 - 0.11) = $4.59.

Hence, the answer of the question is B.

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In future value or present value problems, unless stated otherwise, cash flows are assumed to be
a. at the end of a time period.
b. at the beginning of a time period.
c. in the middle of a time period.
d. spread out evenly over a time period

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In future value or present value problems, unless stated otherwise, cash flows are assumed to be at the end of a time period. Thus, option (a) is correct.

Future value, period count, interest rate, present value, and payment amount are all listed. The method for correctly valuing future cash flows, regardless of whether they be income or debt obligations, involves applying a discount rate to future cash flows to arrive at their present value.

The amount of money invested now at a certain interest rate (r) during a specific time period that will be returned in the future is the future value (FV) of a single sum of money. Future value determines what we make on future investments made after a given amount of time, whereas present value determines the current value of future cash flows.

As a result, the significance of the future value or present value issues, unless stated otherwise are the aforementioned. Therefore, option (a) is correct.

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which statement regarding the calculation of taxes is accurate? answer: a. for simplicity, taxable income for local, state, and federal income tax withholdings has been standardized. b. all taxes are calculated based on net pay. c. because retirement plans are exempt from federal income tax, you add the contributed amount before calculating the employee's federal withholding. d. taxes may be calculated based on an amount lower than gross pay, and not all taxes are calculated based on the same amount.

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D) Taxes may be calculated based on an amount lower than gross pay, and not all taxes are calculated based on the same amount.

This is because different taxes have different tax rates and deductions, and some deductions may only apply to certain taxes. For example, Social Security and Medicare taxes are calculated based on gross pay, while federal and state income taxes may have deductions such as contributions to retirement plans or charitable donations.

Additionally, some taxes may have a maximum taxable amount, such as Social Security taxes, which only apply to a certain amount of earnings per year. Therefore, it's important to understand the different tax rates and deductions for each type of tax to accurately calculate the amount of taxes owed.

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In planning an operational audit, an on-site survey could assist with all of the following, except: A. Obtaining auditee comments and suggestions on control problems. B. Obtaining preliminary information on internal control. C. Identifying areas for audit emphasis. D. Evaluating the effectiveness of the internal control.

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In planning an operational audit, an on-site survey is an important tool that can help auditors to gather preliminary information on internal control, identify areas for audit emphasis, and obtain auditee comments and suggestions on control problems. The correct answer is d.

However, an on-site survey is not intended to evaluate the effectiveness of the internal control. Instead, the evaluation of the effectiveness of internal control is typically done through testing and analyzing the system of controls in place.

An on-site survey involves gathering information by conducting interviews, observing operations, and reviewing documents. This information can help auditors gain an understanding of the auditee's operations and the control environment. This, in turn, can assist auditors in identifying the areas where there may be control deficiencies or areas of higher risk that require more attention during the audit.

Therefore, while an on-site survey is a valuable tool in planning an operational audit, it should not be relied upon as the sole means of evaluating the effectiveness of internal control. Instead, it should be used as one of several tools that can help auditors to gain a more comprehensive understanding of the auditee's operations and control environment.

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the price of copper, steel, and other commodities has risen in global markets T/F

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The price of copper, steel, and other commodities has risen in global market, it is true.


True, the price of copper, steel, and other commodities has risen in global markets. This can be attributed to various factors such as increased demand, limited supply, or fluctuations in currency values. We define the global market as a system that allows unlimited commercial, financial and labor exchanges between different countries. Today's economies work in tandem, so what happens in one country can affect others, so no one is isolated from an economic perspective. A global market is not confined to a particular geographic location, but exchanges of goods, services and labor take place anywhere in the world. For example, let's say you have a company based in the United States. Components for any product can be sourced from Japan, Korea, Germany and Mexico.

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question content area falcon co. produces a single product. its normal selling price is $27 per unit. the variable costs are $16 per unit. fixed costs are $19,700 for a normal production run of 5,000 units per month. falcon received a request for a special order that would not interfere with normal sales. the order was for 1,460 units with a special price of $20 per unit. falcon has the capacity to handle the special order, and for this order, a variable selling cost of $2 per unit would be eliminated. if the order is accepted, the differential effect on profit would be a(n)

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The differential effect on profit if Falcon Co. accepts the special order can be calculated using the relevant costs approach. Relevant costs are costs that change as a result of a specific decision and are therefore important in making that decision.

In this case, the relevant costs would include the variable costs that will be incurred in producing the special order, the fixed costs that will remain unchanged, and the revenue generated by the special order.

First, let's calculate the relevant costs for producing the special order. The variable cost per unit is $16, but the variable selling cost of $2 per unit will be eliminated, resulting in a variable cost of $14 per unit. Therefore, the total variable cost for producing 1,460 units would be:

Total variable cost = Variable cost per unit x Number of units
Total variable cost = $14 x 1,460
Total variable cost = $20,440

Next, we need to consider the revenue generated by the special order. The special price per unit is $20, which is $7 lower than the normal selling price of $27 per unit. Therefore, the revenue generated by the special order would be:

Revenue = Price per unit x Number of units
Revenue = $20 x 1,460
Revenue = $29,200

Finally, we need to consider the fixed costs, which remain unchanged regardless of whether the special order is accepted or not. The fixed costs for a normal production run of 5,000 units per month are $19,700. Since the special order is for 1,460 units, the fixed costs allocated to the special order would be:

Fixed costs allocated to special order = Fixed costs x (Number of units in special order / Total number of units)
Fixed costs allocated to special order = $19,700 x (1,460 / 5,000)
Fixed costs allocated to special orders = $5,724

Now we can calculate the differential effect on profit:

Profit = Revenue - Total variable cost - Fixed costs allocated to special order
Profit = $29,200 - $20,440 - $5,724
Profit = $2,036

Therefore, if Falcon Co. accepts the special order, the differential effect on profit would be a positive $2,036.

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lumina inc. sells desk lamps for $113 each. the variable cost per lamp is $45 and the fixed cost per year is $25,000. creating a lamp requires an initial investment in equipment of $150,000 which has a life span of three years. what is the economic or npv break-even number of books that must be sold each year given a discount rate of 18 percent?

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Lumina Inc. must sell approximately 1756 desk lamps each year to achieve the economic or NPV break-even point at a discount rate of 18%.

To calculate the economic or NPV break-even number of desk lamps that Lumina Inc. must sell each year, we'll use the following terms:
1. Selling price per lamp: $113
2. Variable cost per lamp: $45
3. Fixed cost per year: $25,000
4. Initial investment: $150,000
5. Equipment lifespan: 3 years
6. Discount rate: 18%
First, let's calculate the contribution margin per lamp:
Contribution margin = Selling price - Variable cost = $113 - $45 = $68
Next, we need to find the annual cash flow by equating the present value of cash inflows and the initial investment:
PV(Inflows) = Initial Investment
Using the annuity formula for present value:
PV(Inflows) = (Annual Cash Flow * (1 - (1 + Discount Rate)^-Equipment Lifespan)) / Discount Rate
Now, we'll equate PV(Inflows) and Initial Investment and solve for Annual Cash Flow:
$150,000 = (Annual Cash Flow * (1 - (1 + 0.18)^-3)) / 0.18
After solving, we find that the Annual Cash Flow is approximately $94,522.
Now, we need to find the break-even number of desk lamps to cover both fixed costs and annual cash flow:
Break-even lamps = (Annual Cash Flow + Fixed Costs) / Contribution Margin per lamp
Break-even lamps = ($94,522 + $25,000) / $68 ≈ 1756 lamps

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which section in the act or which board rules should protect trish from a retaliatory action from her former supervisor?

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In many jurisdictions, there are laws and regulations in place to protect employees from retaliatory actions taken by their supervisors or employers. These protections may be found in labor laws, employment acts, or workplace health and safety regulations.

Generally, an employee like Trish would be protected from retaliation if she reported a violation or participated in an investigation related to workplace safety, harassment, or other unlawful activities. The specific section in the act or board rules that would protect her would depend on the jurisdiction and the relevant legislation.

To find the appropriate section in the act or board rules, you could consult the table of contents or index, or conduct a keyword search for terms such as "retaliation," "whistleblower," or "protection." Additionally, you could seek advice from a legal professional, labor union representative, or human resources department to better understand the protections available in your specific situation.

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How do patient care managers and support staff use the data documented in the health record?
a. to evaluate the performance of individual patient care providers and to determine the effectiveness of the services provided
b. to communicate vital information among departments and across disciplines and settings
c. to generate patient bills and/or third-party payer claims for reimbursement
d. to determine the extent and effects of occupational hazards

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Patient care managers and support staff use the data documented in the health record in the following ways:

a. to evaluate the performance of individual patient care providers and to determine the effectiveness of the services provided: The data documented in the health record can be used to assess the performance of healthcare professionals, track outcomes of care, and measure the effectiveness of treatment interventions. This information helps managers identify areas for improvement, provide feedback to staff, and make decisions related to staffing and resource allocation.

b. to communicate vital information among departments and across disciplines and settings: The health record serves as a central repository of patient information that is accessed by various healthcare professionals involved in a patient's care. Patient care managers and support staff rely on this documented data to communicate important details about a patient's condition, treatment plans, medication orders, and any specific care instructions. This facilitates coordinated care among different departments, disciplines, and healthcare settings.

c. to generate patient bills and/or third-party payer claims for reimbursement: Accurate and complete documentation in the health record is essential for generating patient bills and submitting claims for reimbursement to insurance companies or third-party payers. Patient care managers and support staff use the data documented in the health record to ensure that all billable services and procedures are properly documented and coded, enabling accurate billing and reimbursement.

d. to determine the extent and effects of occupational hazards: In certain healthcare settings, patient care managers and support staff may analyze health record data to identify and assess occupational hazards that may affect the health and safety of healthcare workers. This can involve monitoring exposure to infectious diseases, chemical substances, or physical hazards and evaluating the effectiveness of preventive measures and protocols in place to mitigate such risks.

Overall, the data documented in the health record serves as a valuable resource for patient care managers and support staff in evaluating performance, facilitating communication, ensuring appropriate billing and reimbursement, and addressing occupational health and safety concerns.

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the additional revenue earned from hiring one more worker is known as the group of answer choices marginal utility of labor. marginal revenue product of labor. marginal physical product of labor. marginal factor cost of labor.

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The additional revenue earned from hiring one more worker is known as the marginal revenue product of labor. The term refers to the additional revenue generated when a firm hires an additional unit of labor or resource.

Marginal revenue product of labor (MRP) is defined as the amount of additional revenue that a company receives from hiring an extra unit of labor. It is used to measure the productivity and profitability of each unit of labor.

In simple terms, MRP is the value of the additional product that is produced when an extra unit of labor is hired. It is calculated by multiplying the marginal physical product of labor (MP) by the marginal revenue (MR). The formula for MRP is as follows: MRP = MP × MR

The value of MRP determines the maximum wage rate that a company can afford to pay to its employees.

The optimal number of workers to hire is determined by comparing the MRP to the wage rate. If the MRP is greater than the wage rate, then hiring an additional worker would increase the company's profits. If the MRP is less than the wage rate, then hiring an additional worker would decrease the company's profits.

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accountsubdivision of owner's equity?a.smartphonenob.j. penny, capitalyesc.accounts payablenod.j. penny, withdrawalsyese.accounts receivablenof.advertising expensenog.taxi fees earnednoh.microsoft tablet

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An account subdivision of owner's equity refers to the different categories within the owner's equity section of a company's balance sheet. In this context, the relevant term is "J. Penny, Capital."

J. Penny, Capital represents the owner's initial investment and any additional contributions made to the business. This account increases the owner's equity in the company, reflecting their stake in the business.

On the other hand, "J. Penny, Withdrawals" is another account related to owner's equity. It records the withdrawals or distributions made by the owner for personal use, thereby reducing the owner's equity in the company.The other terms mentioned, such as accounts payable, accounts receivable, advertising expense, and taxi fees earned, are not directly related to the subdivisions of owner's equity. Accounts payable and accounts receivable are related to a company's liabilities and assets, respectively. Advertising expense is an operating expense incurred to promote the business, while taxi fees earned represent revenue generated from providing transportation services. The terms "smartphone" and "Microsoft tablet" refer to electronic devices and are not related to the account subdivisions of owner's equity.

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your client purchased some residential property one year ago for $52,000. if the annual depreciation rate is 3.6%, what is the depreciated value today?

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The depreciated value of the property after one year would be "$50,109.09".

Assuming straight-line depreciation, the annual depreciation expense would be calculated as follows:

Depreciation Expense = (Cost of Property - Salvage Value) / Useful Life

Since residential property typically has a useful life of 27.5 years for tax purposes, the annual depreciation expense in this case would be:

Depreciation Expense = ($52,000 - 0) / 27.5 = $1,890.91

After one year, the accumulated depreciation would be equal to the annual depreciation expense, or $1,890.91.

The depreciated value of the property after one year would be calculated as:

Depreciated Value = Cost of Property - Accumulated Depreciation

Depreciated Value = $52,000 - $1,890.91 = $50,109.09

Therefore, the depreciated value of the property after one year would be **$50,109.09**.

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wardell company purchased a mini computer on january 1, 2022, at a cost of $39,150. the computer has been depreciated using the straight-line method over an estimated five-year useful life with an estimated residual value of $3,900. on january 1, 2024, the estimate of useful life was changed to a total of 10 years, and the estimate of residual value was changed to $930. required: prepare the appropriate adjusting entry for depreciation in 2024 to reflect the revised estimate. prepare the appropriate adjusting entry for depreciation in 2024 to reflect the revised estimate, assuming that the company uses the sum-of-the-years'-digits method instead of the straight-line method.

Answers

Using the straight-line method: To reflect the revised estimate for depreciation in 2024, we need to update the depreciation expense and accumulated depreciation for the remaining useful life of the asset. Here's the adjusting entry:

Date: December 31, 2024

Depreciation Expense: ($39,150 - $930) / (10 - 2) = $4,080

Accumulated Depreciation: $4,080

Adjusting Entry:

Debit Depreciation Expense: $4,080

Credit Accumulated Depreciation: $4,080

Using the sum-of-the-years'-digits method:

To reflect the revised estimate for depreciation in 2024 using the sum-of-the-years'-digits method, we need to calculate the depreciation expense based on the remaining useful life and the sum-of-the-years'-digits formula. Here's the adjusting entry:

Date: December 31, 2024

Remaining Useful Life: 10 - 2 = 8 years

Sum-of-the-Years'-Digits (SYD) [tex]= (n * (n + 1)) / 2 = (8 * (8 + 1)) / 2 = 36[/tex]

Depreciation Expense: [tex]($39,150 - $930) * (8 / 36) = $7,920[/tex]

Accumulated Depreciation: $7,920

Adjusting Entry:

Debit Depreciation Expense: $7,920

Credit Accumulated Depreciation: $7,920

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Which of the following would shift the supply curve for MP3 players to the left?
A. a decrease in consumer tastes for MP3 players B. an increase in the price of an input used to produce MP3 players C. an increase in the productivity of the workers who produce MP3 players D. an increase in the number of fims that produce MP3 players

Answers

The correct answer is B. An increase in the price of an input used to produce MP3 players would increase the cost of production, reducing the profitability of producing MP3 players and shifting the supply curve to the left.

The correct answer is B. An increase in the price of an input used to produce MP3 players would increase the cost of production, reducing the profitability of producing MP3 players and shifting the supply curve to the left.

A decrease in consumer tastes for MP3 players (option A) would shift the demand curve to the left, not the supply curve.

An increase in the productivity of the workers who produce MP3 players (option C) would lower the cost of production, making it more profitable to produce MP3 players, and would shift the supply curve to the right.

An increase in the number of firms that produce MP3 players (option D) would increase the supply of MP3 players, shifting the supply curve to the right.

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According to Oberg, which of the following is the final stage of culture shock?
A) honeymoon
B) biculturalism
C) gradual adjustment
D) irritation and hostility

Answers

According to Oberg, the final stage of culture shock is biculturalism. Culture shock is a term used to describe the feelings of disorientation, confusion, and anxiety experienced by individuals when they are exposed to a new culture that is different from their own.

Oberg was a social scientist who coined the term culture shock in 1954 and identified four stages of culture shock. The first stage is the honeymoon stage, where everything in the new culture is exciting and fascinating. The second stage is the irritation and hostility stage, where the individual starts to feel frustrated and annoyed with the differences in the new culture. The third stage is the gradual adjustment stage, where the individual starts to feel more comfortable and begins to understand the new culture. And finally, the fourth stage is biculturalism, where the individual has fully adapted to the new culture and is able to navigate both their own culture and the new culture with ease.
Biculturalism is an important stage because it means that the individual has not only adapted to the new culture but has also retained their own cultural identity. This stage is a positive outcome of culture shock and can lead to personal growth and increased cultural awareness. It is important to note that not everyone who experiences culture shock will reach the biculturalism stage, as some may choose to reject the new culture and return to their own culture. Overall, understanding the stages of culture shock can help individuals navigate the process of adapting to a new culture and ultimately lead to a more enriching and positive experience.

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Identify each statement as either being true of measures of absolute poverty or relative poverty:
a) This measure takes income and the cost of essentials (e.g., food, housing) into account
b) The only information needed to calculate this measure of poverty is household income.
c) This measure defines poverty by what is needed to survive.
d) This measure is better for evaluating inequality across countries.

Answers

This measure takes income and the cost of essentials (e.g., food, housing) into account.


b) The only information needed to calculate this measure of poverty is household income.
- This statement is true for measures of relative poverty, which compares household incomes within a population to identify those who are significantly below the average income.


d) This measure is better for evaluating inequality across countries.
- This statement is true for measures of relative poverty, as it allows for comparisons between countries with different income levels and cost of living, providing a more accurate representation of inequality.

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In one to two sentences, explain how unchecked debt could affect investors in the U.S. government debt, and how that could affect the cost of borrowing.(2 points)

Answers

Unchecked debt can cause investors to lose confidence in the US government's ability to repay its debt, leading to higher government borrowing costs. This will raise interest rates in the US.

Also, higher spending can lead to inflation and financial investment, deterring investors from buying US government bonds.

In addition, rising government borrowing costs may affect other activities of the economy. Businesses that rely on credit, such as small businesses and households, may face higher borrowing costs, which can slow down their spending and investment by slowing the economy.

Additionally, the government will have to divert resources from other sources to pay off more of the debt, which will be education, infrastructure, etc. can reduce spending on public services.

In summary, unresolved debt can have a significant impact on the US economy, including higher government borrowing costs, lower investor confidence, inflation and an economic slowdown. In order to avoid these negative consequences, it is important for the government to control the debt.

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consider the following two investment alternatives. first, a risky portfolio that pays 10% rate of return with a probability of 40% or 5% with a probability of 60%. second, a treasury bill that pays 6%. the risk premium on the investment is

Answers

The Risk Premium on the investment is 1%.

The Risk Premium on the investment is the excess return demanded by investors from an investment to compensate for the risk undertaken while making that investment.

It is a financial compensation for taking on extra risk. A higher risk premium would be demanded for a more risky investment.

Consider the following two investment alternatives. The first alternative is a risky portfolio that pays a 10% rate of return with a probability of 40% or 5% with a probability of 60%.The second alternative is a treasury bill that pays a 6% rate of return.

The expected return from the first investment is;

ER = (0.4 × 10) + (0.6 × 5)

ER = 4 + 3ER = 7%

The Risk Premium is;

RP = Expected Return - Risk-Free Return

RP = 7% - 6%

RP = 1%

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An example of raw data from a national chain of automobile stores would be: a. all of the choices are true. b. 30 percent increase in Toyota RAV 4 sales during September in Kentucky c. 1 Toyota RAV4 sold March 3, 2005 in Louisville Kentucky d. an average of 13 Toyotas are sold daily in Kentucky

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The example of raw data from a national chain of automobile stores is option c - 1 Toyota RAV4 sold March 3, 2005, in Louisville Kentucky.

Raw data is the unprocessed data that has not been analyzed or manipulated. In the given options, option c - 1 Toyota RAV4 sold March 3, 2005, in Louisville Kentucky is an example of raw data. This information provides specific details such as the date of sale, the type of vehicle sold, and the location where it was sold. This data can be useful for further analysis and decision-making processes, such as identifying trends in sales of a particular vehicle model in a specific location.

Options a, b, and d provide processed or aggregated data, such as percentage increases in sales or average daily sales. While this information is valuable, it has already been manipulated and is not considered raw data.

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Raw data refers to unprocessed and unanalyzed information that is collected directly from the source. In the case of a national chain of automobile stores, an example of raw data could be any of the given options.

Option a states that all of the choices are true, which could be a valid response as each piece of information provides raw data. However, if we were to select one option as an example, we could consider option c - "1 Toyota RAV4 sold March 3, 2005 in Louisville Kentucky" - as an example of raw data.This piece of information provides a specific and unprocessed detail about a Toyota RAV4 sale on a particular date and location. It is raw data because it has not been processed, analyzed, or compared to other sales data.Raw data can be useful in identifying patterns, trends, and insights when it is analyzed and processed using statistical techniques and software. For instance, a business analyst could use this data to identify trends in Toyota RAV4 sales in Kentucky over time, compare it to sales data from other states, or assess the impact of marketing strategies on sales. In conclusion, raw data is an important source of information that can provide insights into a company's performance and help in making informed decisions. Any of the given options could be an example of raw data from a national chain of automobile stores, but option c - "1 Toyota RAV4 sold March 3, 2005 in Louisville Kentucky" - is a specific and unprocessed detail that could be analyzed to derive valuable insights.

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if the price of a monthly parking permit changed from $100 to $200, using the midpoint formula, what is the percentage change in price?

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The percentage change in price using the midpoint formula is 66.67%, which means that the price of the monthly parking permit has increased by 66.67%.

To calculate the percentage change using the midpoint formula, we need to find the average of the old price and new price, and then calculate the difference between them as a percentage of the average. In this case, the old price is $100 and the new price is $200. First, we calculate the average price:
Average price = (Old price + New price) / 2
Average price = ($100 + $200) / 2
Average price = $150
Next, we calculate the difference between the old price and the new price:
Difference = New price - Old price
Difference = $200 - $100
Difference = $100
Now we calculate the percentage change using the midpoint formula:
Percentage change = (Difference / Average price) x 100%
Percentage change = ($100 / $150) x 100%
Percentage change = 66.67%

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In order to understand how the economy works in the short run, we need to
A. understand that money is neutral in the short run.
B. understand that "money is a veil."
C. study the classical model.
D. study a model in which real and nominal variables interact.

Answers

In order to understand how the economy works in the short run, we need to study a model in which real and nominal variables interact.

This is because the short run is characterized by nominal rigidities, which means that prices and wages do not adjust immediately to changes in the economy. In this model, real variables such as output and employment are affected by changes in nominal variables such as the money supply and inflation. One key concept to understand in this model is the idea of sticky prices. This means that prices do not adjust immediately to changes in the economy, but rather take time to respond. For example, if the economy experiences an increase in demand, prices may not immediately rise to reflect this, but instead firms may increase production and hire more workers in the short run. This can lead to an increase in output and employment, but also to inflation if the increase in demand is not met with an increase in supply.
Another important concept in understanding the short-run economy is the role of monetary policy. Because nominal variables such as the money supply and inflation can have real effects on the economy, central banks use monetary policy to try to stabilize the economy. For example, if inflation is too high, a central bank may raise interest rates to reduce the money supply and slow down spending in the economy.

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your firm is contemplating the purchase of a new $475,000 computer-based order entry system. the system will be depreciated straight-line to zero over its 6-year life. it will be worth $60,000 at the end of that time. you will save $165,000 before taxes per year in order processing costs, and you will be able to reduce working capital by $45,000 at the beginning of the project. working capital will revert back to normal at the end of the project. if the tax rate is 25 percent, what is the irr for this project?

Answers

The IRR for this project is approximately 28.2%. Therefore, if the cost of capital for the firm is less than 28.2%, this project is expected to generate a positive net present value and should be accepted.

To calculate the internal rate of return (IRR) for this project, we need to determine the net cash flows associated with the investment and then solve for the rate of return that makes the net present value (NPV) equal to zero.

First, we need to calculate the annual depreciation expense, which is the cost of the system ($475,000) minus the residual value at the end of its useful life ($60,000), divided by the number of years of useful life (6). Therefore, the annual depreciation expense is ($475,000 - $60,000) / 6 = $69,166.67.

Next, we need to determine the net cash flows associated with the investment. In year 0, we have a cash outflow of $475,000 for the purchase of the system and a cash inflow of $45,000 from the reduction in working capital. In years 1 through 6, we have a cash inflow of $165,000 from the cost savings on order processing, plus a cash inflow of $69,166.67 from the depreciation expense. In year 6, we also have a cash inflow of $60,000 from the residual value of the system. The following table summarizes the net cash flows associated with the investment:

Year Net Cash Flow

0 -$430,000

1 $174,166.67

2 $234,166.67

3 $234,166.67

4 $234,166.67

5 $234,166.67

6 $294,166.67

To calculate the IRR, we need to find the discount rate that makes the present value of the net cash flows equal to zero. We can use a financial calculator or spreadsheet software to solve for the IRR, which turns out to be approximately 28.2%. Therefore, if the cost of capital for the firm is less than 28.2%, this project is expected to generate a positive net present value and should be accepted.

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The Internal Rate of Return (IRR) for the project is approximately 13.07%.

How to calculate Internal Rate of Return?

The Internal Rate of Return (IRR) is a crucial financial metric used to evaluate the profitability of an investment project. In this case, the investment involves purchasing a computer-based order entry system for $475,000. The system has a 6-year life and will be depreciated straight-line to zero, with a residual value of $60,000 at the end of its useful life.

The project offers several cash flow components. Firstly, there are annual savings in order processing costs of $165,000 before taxes for each of the 6 years. These savings represent a positive cash inflow. Additionally, there is a working capital reduction of $45,000 at the beginning of the project, which serves as an initial outflow.

Lastly, there will be a cash inflow of $60,000 from the salvage value of the system at the end of the 6-year period.To determine the project's IRR, we calculate the discount rate that results in a net present value (NPV) of zero. By applying financial calculations or software, the IRR for this investment is found to be approximately 13.07%.

An IRR of 13.07% suggests that the project's rate of return exceeds the cost of capital or hurdle rate. Therefore, this investment appears to be financially viable, considering the projected cash flows and the tax rate of 25%. However, it's important to conduct a comprehensive analysis, considering other factors such as potential risks, market conditions, and the overall financial strategy of the firm before making a final decision.

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