Explain the cost principle for computing the cost of plant assets ?Plant assets are set apart from other tangible assets by two important features: use in operations and useful lives longer than one period. Plant assets are recorded at cost when purchased. Cost includes all normal and reasonable expenditures necessary to get the asset in place and ready for its intended use. The cost of a lump-sum purchase is allocated among it individual assets.

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Answer 1

The cost principle for computing the cost of plant assets states that when plant assets are purchased, they should be recorded at their cost.

The cost principle is an important accounting concept when it comes to plant assets. Plant assets are different from other tangible assets because they are used in operations and have useful lives longer than one accounting period. Examples of plant assets include buildings, machinery, equipment, and vehicles.When a company purchases a plant asset, such as a piece of machinery, it is recorded at its cost. This cost includes not only the purchase price, but also any other expenses that are necessary to get the asset ready for use. These expenses could include transportation costs, installation costs, legal fees, and any other costs directly related to bringing the asset into operation.
For example, if a company purchases a new machine for $10,000 and spends an additional $1,000 to have it delivered and installed, the cost of the machine would be recorded as $11,000.

In cases where multiple assets are purchased together in a lump-sum, the cost is allocated among the individual assets. This means that the total cost of the purchase is divided based on the relative value or fair market value of each asset. This allocation ensures that each asset is recorded at its appropriate cost.For example, if a company purchases a building and a piece of land together for $1,000,000, the cost needs to be allocated between the two assets. If the fair market value of the building is determined to be $800,000 and the fair market value of the land is determined to be $200,000, the cost of the building would be recorded as $800,000 and the cost of the land would be recorded as $200,000.

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Related Questions

for make-or-buy decisions, a supplier’s ability to maintain secrecy of intellectual property is considered a(n):

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or make-or-buy decisions, a supplier's ability to maintain secrecy of intellectual property is considered a "proprietary advantage" or "proprietary capability." This factor relates to the supplier's capacity to protect and safeguard its intellectual property (IP) from being disclosed or shared with competitors or unauthorized parties.

When a company is evaluating whether to make a product or service in-house or outsource it to a supplier, the supplier's ability to maintain the secrecy of its intellectual property becomes crucial. This includes protecting patents, trade secrets, trademarks, copyrights, or any other valuable intangible assets.

If a supplier possesses unique intellectual property that provides a competitive edge or offers exclusive features, it becomes an advantage for the buyer to consider outsourcing to that supplier. By leveraging the supplier's proprietary capabilities, the buyer can access specialized expertise, innovative technology, or unique product offerings without the burden of developing or maintaining such capabilities internally.

The supplier's ability to maintain secrecy of intellectual property ensures that the buyer can benefit from the supplier's proprietary advantage without risking the exposure or unauthorized use of valuable IP. It helps to maintain the supplier's competitive position and prevents potential competitors from gaining access to critical knowledge or innovations.

However, it is important for the buyer to establish appropriate legal agreements, non-disclosure agreements, and confidentiality provisions to protect the supplier's intellectual property and maintain a secure business relationship.

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Why would you use ethnography as a research method? Is it different from observation? For the toolbar. press ALT+E1 I rDriar AIT+EAI, Pan .....

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The goal of ethnography, a study technique, is to comprehend a particular social group or culture's behaviours, beliefs, and practises by immersing oneself in it.

It is employed to investigate the members' subjective experiences as well as the social and cultural facets of a group. By actively interacting with individuals, developing relationships, and deciphering the meaning behind their acts, ethnography goes beyond simple observation. Participant observation, interviews, and the taking of field notes are frequently used. Ethnography is particularly helpful for researching cultures, communities, and social groups in their natural surroundings because it enables researchers to unearth rich contextual information and capture the complexity of social interactions, customs, and cultural phenomena.

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"The more collateral there is backing a loan, the less the lender has to worry about adverse selection." is this statement true, false, or uncertain? This statement is _____ because collateral reduces the adverse selection problem.

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The statement "The more collateral there is backing a loan, the less the lender has to worry about adverse selection" is true because collateral reduces the adverse selection problem.

The use of collateral allows the lender to reduce their risk of losing money if the borrower defaults on the loan. The collateral serves as security that the lender can take if the borrower is unable to repay the loan. It thus encourages the lender to provide loans to riskier borrowers by reducing their risk. In this way, the presence of collateral helps to reduce the adverse selection problem.A borrower is more likely to default on a loan if they perceive it as high risk, and lenders are more likely to provide loans to low-risk borrowers. Collateral, on the other hand, lowers the risk of the loan, making it more appealing to borrowers and lenders. In conclusion, collateral is a key factor in reducing the adverse selection problem and making lending more accessible.

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You have been contracted to create a computerized records management information system for
a tertiary level education institution or a major hospital. You have already identified the
stakeholders of the project and collected requirements for the project.
1. Propose a Problem/Opportunity Statement.
2. Present components of your Scope Statement to include
a. project scope description.
b. deliverables
c. state acceptance Criteria
d. list any exclusions (if applicable)
3. Use Deliverables to create a Work Breakdown Structure:
a. Product oriented
b. Outline view
c. Graphical view
4. Create an Activity List of 7 items from the work packages identified in item 3.

Answers

1. Problem/Opportunity Statement: Develop a computerized records management information system for a tertiary-level education institution or a major hospital.

2. Scope Statement Components:

a. Project Scope Description: The project scope encompasses the development of a comprehensive records management information system. It includes functionalities for document creation, storage, retrieval, and archival.

b. Deliverables: The deliverables of the project consist of a software application for records management, a database infrastructure, user interfaces, integration with existing systems, and user documentation/training materials.

c. Acceptance Criteria: The acceptance criteria define the standards that the system must meet to be considered successful. These criteria include meeting user requirements, ensuring data accuracy and security, facilitating easy record creation and access, complying with regulatory standards, and demonstrating stability and reliability.

d. Exclusions: The exclusions specify the tasks or components that are not within the scope of the project. In this case, the exclusions may include hardware procurement/installation, network infrastructure setup, and long-term system maintenance/support.

The problem/opportunity statement states the objective of the project, which is to create a computerized system for managing records in either a tertiary level education institution or a major hospital. This system will replace the existing paper-based system, offering various benefits such as improved efficiency, accuracy, and accessibility of records.

The components of the scope statement outline the boundaries and objectives of the project. They provide a clear description of what will be delivered, the criteria for its acceptance, and any specific exclusions or limitations that apply.

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Which one of the following is an example of negative side effect? $8,500 paid to a marketing consultant to help decide whether or not to start a new product line $1.5 million building used for a project that would rent for $100,000 otherwise $1,800 increase in comic book sales if a store commences selling puzzles $4,500 reduction in comic book sales if a store commences selling comic movies $1,500 paid to repair a machine last year

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One of the examples of a negative side effect is the [tex]$4,500[/tex] reduction in comic book sales if a store commences selling comic movies. A negative side effect is an unintended consequence that occurs as a result of a particular action or decision.

In this case, the decision of selling comic movies led to a reduction in comic book sales, which was not the intended outcome.In contrast, some of the other options are positive side effects. For example, paying a marketing consultant may lead to better decision-making and successful product launches. Investing in a building for a project shows a long-term commitment to the business. Repairing a machine last year ensures that it can continue to be used for future operations. Selling puzzles may increase overall sales.

However, the reduction in comic book sales after commencing selling comic movies is a negative side effect because it directly contradicts the purpose of expanding the store's inventory. Although there may be positive outcomes to selling comic movies, the decrease in comic book sales was not the intended result and may lead to negative financial consequences for the store.

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A firm is experiencing a temporary period of financial distress as a result of the COVID-19 pandemic. Because many of the firm's customers have been its own bills. What options do the firm's creditors have with respect to getting paid?

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When a firm is experiencing financial distress due to the COVID-19 pandemic, and its customers are struggling to pay their bills, the firm's creditors have several options to consider for getting paid. These options may vary based on the specific circumstances and the legal framework of the jurisdiction in which the firm operates.

Negotiating payment terms: Creditors can engage in direct negotiations with the firm to modify payment terms. This may involve extending the payment period, reducing interest rates or fees, or accepting partial payments over an extended period.

Debt restructuring: Creditors may propose a formal debt restructuring plan to the firm. This plan could involve reducing the principal amount owed, extending the repayment period, or modifying the interest rate. The goal is to make the debt more manageable for the firm during the temporary financial distress.

Debt forgiveness: In some cases, creditors may choose to forgive a portion of the debt owed by the firm. Debt forgiveness can help alleviate the financial burden on the firm and provide a fresh start. However, creditors are not obligated to forgive debts, and this option depends on their willingness to do so.

Collateral realization: If the firm has pledged collateral to secure its debts, creditors may have the right to seize and sell the collateral to recover their funds. This option is typically used when there is a default on the debt payments and the collateral's value is sufficient to cover the outstanding debt.

Legal action: Creditors can resort to legal action to enforce their rights if the firm fails to meet its obligations. This may involve filing a lawsuit, obtaining a judgment, and pursuing debt collection measures such as wage garnishment, asset seizure, or bank account levies.

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Which of these arrangements could be either an easement or a license?
a. ability to restrict building on a parcel of land for 100 years.
b. ability to harvest trees on a parcel of land.
c. ability to drive on a parcel of land.
d. ability to hunt on a parcel of land

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An easement is a non-possessory right that allows someone to use another person's property for a specific purpose.

The landowner grants permission for the neighbor to drive on the land, with the agreement recorded in the land registry and the right being granted permanently or for a specified period, it would be classified as an easement.

It is a permanent right that transfers with the ownership of the land and is recorded with the local land registry office. On the other hand, a license is a revocable permission to enter or use someone else's property, which can be terminated by the property owner.

In the context of driving on a parcel of land, whether it qualifies as an easement or a license depends on the specific terms and duration of the agreement. If the landowner grants permission to a neighbor to use the land for driving purposes, without the arrangement being recorded or having a permanent or fixed period, it would be considered a license.

Among the options provided, the ability to drive on a parcel of land is the arrangement that could potentially be either an easement or a license, depending on the specific terms, recording, and permanence of the right granted.

It is important to consider the details and legal aspects of the arrangement to determine whether it falls under an easement or a license.

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Carlos, Bradley, and Dawson are partners in CBD partnership. Ellen is to be admitted to the partnership with a 20% interest in the business. The new name of the partnership is CBDE Partnership.
Capital Profit Loss Balance Ratio Carlos $ 170,000 4:2:2 Bradley $ 150,000 Dawson $ 80,000
Ellen invests $120,000. Total capital to be $520,000, the partners use the bonus method. REQUIRED: Record the journal entry to add Ellen to the partnership.

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Her capital balance will be $120,000. (Her capital will be included in the new Total Capital) The other partners are sacrificing a portion of their profit-sharing ratio.

As per the problem, Carlos, Bradley, and Dawson are partners in CBD partnership and they want to admit Ellen to the partnership with a 20% interest in the business and also the new name of the partnership is CBDE Partnership. Ellen invests $120,000 and the total capital to be $520,000. The partners use the bonus method.The journal entry to add Ellen to the partnership would be:ParticularsDebitCreditCash Account$120,000Ellen's Capital Account$400,000(Being Ellen admitted to the partnership)Explanation:Total capital before Ellen was admitted = $400,000. (170,000 + 150,000 + 80,000)Ellen is to be admitted to the partnership with a 20% interest in the business.

Total Capital after Ellen is admitted = $520,000. (400,000 + 120,000)Ellen is bringing in $120,000. Hence,  Therefore, a bonus to the old partners is given.Bonus = Ellen's Capital Balance x (Old Ratio - New Ratio) Old Ratio = 4:2:2 = 4/8:2/8:2/8 = 1/2:1/4:1/4 New Ratio = 4:2:2:2 = 4/10:2/10:2/10:2/10 = 2/5:1/5:1/5:1/5Bonus = $120,000 x (1/2 - 2/5) = $8,000Bonus Method Journal Entry:

ParticularsDebitCreditCash/Bank Account$120,000Ellen's Capital Account $120,000Old Partners' Capital Account$8,000(Being Ellen admitted to the partnership using Bonus Method).

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what is the core customer value a customer might purchase when buying urban decay cosmetics?

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The core customer value that a customer might purchase when buying Urban Decay Cosmetics is quality products that are cruelty-free.

Urban Decay is a well-known brand that was founded in 1996. It provides a wide range of cosmetics that offer distinct and bold color choices, which are meant to suit the needs of every individual and skin tone.

The company provides a variety of unique and attractive products to consumers, including eyeshadows, blushers, lipsticks, foundations, and primers, among others.

The core customer value that a customer might purchase when buying Urban Decay Cosmetics is quality products that are cruelty-free.

The company is a PETA-certified brand, which means that its products are cruelty-free. Urban Decay Cosmetics provides high-quality products that have been scientifically tested and approved.

As a result, consumers who purchase Urban Decay products can be certain that they are purchasing high-quality products that have been rigorously tested for safety.

Furthermore, Urban Decay Cosmetics recognizes that beauty products should be sustainable, which is why it uses recyclable and environmentally friendly packaging.

By purchasing Urban Decay Cosmetics, customers are making a positive contribution to the environment, while still enjoying high-quality cosmetics.

Therefore, the core customer value that a customer might purchase when buying Urban Decay Cosmetics is quality products that are cruelty-free.

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t is generally believed the long run "Phillips Curve" is vertical. This belief further supports the belief unemployment levels will revert back to the "Natural Rate of Unemployment" in the long term further support open market operations do not affect short term unemployment levels further supports the belief unemployment levels will not revert back to the "Natural Rate of Unemployment" in the long term

Answers

The Phillips curve is a curve that expresses an inverse relationship between the unemployment rate and the inflation rate. In the short run, the curve is downward sloping, indicating that as the unemployment rate falls, the inflation rate increases, and vice versa.

It is a crucial tool for macroeconomic policymakers to understand the relationship between the two key macroeconomic indicators: unemployment and inflation.The long run Phillips Curve is believed to be vertical, which means that there is no trade-off between inflation and unemployment in the long run. The long-term natural rate of unemployment is the rate of unemployment that corresponds to full employment.

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how
to handle LC's and LG's and follow up with the bank for finalizing
it for a logistic company

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When it comes to handling Letters of Credit (LCs) and Letters of Guarantee (LGs) for a logistics company, the following steps can be taken Understand the requirements , Documentation preparation , Review and negotiation , Compliance with regulations

Understand the requirements: Familiarize yourself with the terms and conditions of the LCs and LGs, including the specific obligations, deadlines, and documentation needed for each transaction. Ensure you have a clear understanding of the roles and responsibilities of all parties involved.

Documentation preparation: Gather and review all the required documentation for the LC or LG, such as invoices, shipping documents, insurance certificates, and any other supporting documents as specified in the LC or LG. Make sure the documents comply with the terms of the transaction.

Verification and compliance: Thoroughly review the LC or LG to ensure compliance with the agreed-upon terms. Verify that the information, amounts, and conditions specified in the LC or LG match the agreed-upon terms between your logistics company and the bank.

Communication with the bank: Establish effective communication with the bank handling the LCs and LGs. Maintain regular contact to ensure a smooth flow of information and address any questions or concerns promptly. Provide the necessary documentation and respond to any requests from the bank in a timely manner.

Review and negotiation: If there are discrepancies or issues with the LC or LG, work with the bank and the other party involved to resolve them. This may involve negotiating amendments or clarifications to ensure smooth processing and finalization.

Compliance with regulations: Ensure compliance with all applicable laws, regulations, and international trade practices related to LCs and LGs. Stay updated on any changes in regulations that may impact your logistics operations and financial transactions.

Follow up and tracking: Keep track of the progress of each LC or LG transaction. Monitor key dates, such as the expiration date of LCs or the performance period of LGs, to ensure timely action and avoid any potential issues or penalties.

Finalization and settlement: Once all the conditions and requirements of the LC or LG have been fulfilled, work with the bank to finalize the transaction. Provide any necessary documentation or proof of performance to obtain payment or release of the LG.

Record-keeping: Maintain thorough records of all LCs and LGs, including correspondence with the bank and any other relevant parties. This documentation will be essential for future reference, audits, or dispute resolution.

It's important to note that the specific process may vary based on the terms of each LC or LG and the practices of the bank involved. It is advisable to consult with legal and financial professionals who specialize in international trade and banking to ensure compliance and facilitate a smooth process for your logistics company.

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Intro GE just paid an annual dividend of $6.3. Part 1 A Attempt 1/1 If dividends are expected to grow by 3.2% per year, what will be the dividend in 7 years?

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The expected dividend for the given period after 7 years is $7.88. The present dividend paid is $6.3. With a growth rate of 3.2%, the future dividend can be calculated for a period of 7 years.

As given in the question,

The current dividend paid is $6.3.

Growth rate = 3.2%

Time period = 7 years.

Dividend formula is

D1 = D0 × (1 + g)

Where

D0 = Dividend paid currently

D1 = Future dividend expected after the given time period g = Growth rate

After substituting the values in the formula, we have:

D1 = 6.3 × (1 + 0.032)7

D1 = 6.3 × 1.2518D1 = $7.88

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Concepts: Apply Marketing Metrics The chapter discusses the growing importance of sustainability, and it notes that companies and consumers increasingly consider other costs in addition to financial kinds when they decide what to sell or buy. One of these cost categories is damage to the environment. How can marketers make it easier for shoppers to compute these costs? The answer is more apparent in some product categories than in others. For example, American consumers often are able to compare the power consumption and annual costs of appliances by looking at their EnergyStar rm rating. In other situations, we can assess the carbon footprint implications of a product or service; this tells us how much CO 2

our purchase will emit into the atmosphere (e.g. if a person flies from New York to London). The average American is responsible for over 16 metric tons of CO 2

per year! 43
A carbon footprint comes from the sum of two parts, the direct, or primary, footprint and the indirect, or secondary, footprint: - The primary footprint is a measure of our direct emissions of CO 2

from the burning of fossil fuels, induding domestic energy consumption and transportation (e.g. cars and planes). - The secondary footprint is a measure of the indirect CO 2

emissions from the whole life cycle of products we use, from their manufacture to their eventual breakdown. 44 Although many of us are more aware today that our consumption choices carry unseen costs, there is still a lot of confusion about the best way to communicate the environmental costs of our actions, and in many cases, consumers aren't motivated to take these issues into account unless the costs impact them directly and in the short term. 1-18. As a consumer, what other metrics would you suggest that might reflect benefits of sustainability initiatives that would motivate you to purchase from one provider or the other? 1-19. Would you buy from a demonstrably more expensive provider just because they exhibited a higher level of commitment to sustainability?

Answers

Marketing metrics can be used to provide information on the environmental impact of a product or service in addition to financial costs. One approach is to provide information about the carbon footprint of the product or service. A carbon footprint can be broken down into a direct footprint and an indirect footprint.

The direct footprint represents the emissions of CO2 from the burning of fossil fuels due to energy consumption and transportation. The indirect footprint reflects the CO2 emissions resulting from the entire life cycle of a product, from manufacturing to disposal. Consumers can be motivated to consider environmental costs by presenting them with information on the carbon footprint of products.

To motivate consumers to purchase products from providers committed to sustainability, marketers can provide additional metrics that reflect the benefits of sustainability initiatives. For example, consumers can be provided with information on the extent to which providers conserve energy, use renewable resources, or reduce waste. By providing information on these metrics, consumers can make informed decisions and are more likely to be motivated to purchase products from providers committed to sustainability.

If a product is demonstrably more expensive but is associated with a higher level of commitment to sustainability, some consumers may be motivated to purchase it. However, it is unlikely that all consumers would be willing to pay more for a product that is associated with a higher level of commitment to sustainability.

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OD is partly a reflection of
a. the result of its current engagement with organizations.
b. its past.
c. an outcome of emergent research.
d. All of these are correct.

Answers

According to the question all of these are correct.

Organization Development (OD) is influenced by various factors, making it a reflection of its current engagement with organizations, its past experiences and learnings, and the outcomes of emergent research in the field.OD is shaped by its current engagement with organizations as it involves actively working with clients to diagnose organizational issues, design interventions, and facilitate change processes. The strategies and practices employed by OD practitioners are influenced by the specific context, challenges, and goals of the organizations they work with.

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Restwell plc, a hotel and leisure company, is currently considering taking over a smaller private limited company, Staygood Ltd. The board of Restwell is in the process of making a bid for Staygood but first needs to place a value on the company. Restwell has gathered the following data: Restwell Weighted average cost of capital 12% - P/E ratio 12% - Shareholders' required rate of return 15% - It is estimated that the shareholders in Staygood require a rate of 20% higher than the shareholders of Restwell due to the higher level of risk associated with Staygood. Restwell estimates that cash flows at the end of the first year will be £2.5 m and these will grow at an annual rate of 5%. Restwell also expects to raise £5 m in two years' time by selling off hotels of Staygood that are surplus toits needs. Give the above information, estimate values for Staygood using the following valuation methods: - (a) Price/earnings ratio valuation - (b) Gordon growth model - (C) Discounted Cash Flow Valuation

Answers

Restwell is in the process of taking over a smaller private limited company, Stay

good Ltd. The first step in making a bid for Stay

good is to determine the value of the company.

The share holders of Restwell have a weighted average cost of capital of 12%, P/E ratio of 12%, and a required rate of return of 15%.

Since Stay

good is more risky than Restwell, the shareholders in Stay

good require a rate of 20% higher than the shareholders of Restwell. Restwell estimates that cash flows at the end of the first year will be £2.5m and these will grow at an annual rate of 5%. Restwell also expects to raise £5m in two years' time by selling off hotels of Stay

good that are surplus to its needs.

The valuation methods used to determine the value of Stay

good are the following:

Price/Earnings Ratio valuation:

To estimate the value of Stay

good using the Price/Earnings Ratio method, the formula is:

Value = Earnings per share * Price/Earnings Ratio

(Earnings per share = £2.5m)Price/Earnings Ratio = P/E ratio + (P/E ratio * required rate of return) = 12% + (12% * 20%) = 14.4%Value = £2.5m * 14.4 = £36

m

Gordon Growth Model:

The Gordon Growth Model estimates the value of a company based on its future dividends. The formula is:

Value = Dividend per share / (Required rate of return - Dividend growth rate)(Dividend per share = Earnings per share * dividend payout ratio = £2.5m * 100% = £2.5m)

Required rate of return = shareholders' required rate of return + risk premium = 15% + 20% = 35%Dividend growth rate = 5%Value = £2.5m / (35% - 5%) = £8.33m

Discounted Cash Flow Valuation:

To estimate the value of Stay

good using the Discounted Cash Flow method, the formula is:

Value = Present value of cash flows + Present value of terminal value(Present value of cash flows = £2.5m / (1 + 12%)^1 + (£2.5m * 1.05) / (1 + 12%)^2 = £4.17mPresent value of terminal value = £5m / (1 + 12%)^2 = £3.73mValue = £4.17m + £3.73m = £7.9mTherefore, the estimated values of Stay

good using the Price/Earnings Ratio valuation, Gordon Growth Model, and Discounted Cash Flow Valuation are £36m, £8.33m, and £7.9m, respectively.

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Accrual accounting is only necessary if the company is public. Select one: A. True B. FALSE

Answers

The statement that accrual accounting is only necessary if the company is public is not accurate, therefore the answer is B. FALSE.

Accrual accounting is a method of accounting where revenue and expenses are recognized in the accounting period in which they are incurred. It is a method of accounting that records financial events and transactions in the time frame they occur, regardless of when the payment or receipt of cash takes place.

Accrual accounting allows a company to keep track of its financial statements with greater accuracy. It provides a more realistic picture of the company's financial health by considering when transactions are completed, rather than just when cash is received or paid.In comparison to the cash basis of accounting, where transactions are recorded when money is received or paid, accrual accounting recognizes transactions when they occur, irrespective of whether or not money has been paid or received.

It is more efficient for companies that rely on credit transactions, such as those with customers who have accounts payable and accounts receivable.

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When you retire you expect to live for another 30 years. At the time your retire, you want to be able to withdraw $8,250 per month and you can earn 3.75% per year on your investment. How much money do you need at the time you retire to be able meet your needs?
*Show work, not excel function for full credit*

Answers

In this scenario, we'll calculate the amount of money you should have when you retire, assuming a 30-year retirement period, a desired monthly withdrawal of $8,250, and an annual investment return of 3.75%.

Let's follow the given steps:

Step 1: Identify the required monthly payment.

$8,250 per month

Step 2: Determine the annual rate of interest.

3.75%

Step 3: Find the monthly rate of interest.

Monthly rate of interest = Annual rate of interest / 12 = 3.75% / 12 = 0.3125%

Step 4: Determine the number of monthly payments.

Number of monthly payments = 30 years × 12 months per year = 360 months

Step 5: Calculate the future value (FV) of an annuity.

Future value (FV) = Required monthly payment × ((1 + i)^n - 1) / i

FV = $8,250 × ((1 + 0.003125)^360 - 1) / 0.003125

FV ≈ $2,592,686.07

Therefore, to meet your needs, you would need approximately $2,592,686.07 at the time you retire.

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A data bank of ink dye patterns has been established by the U.S. Treasury Department using
TLC

Answers

The data bank of ink dye patterns has been established by the U.S. Treasury Department using Thin Layer Chromatography (TLC).

Thin-layer chromatography (TLC) is a widely used separation method in forensic laboratories, particularly in ink and document examination. TLC is a type of chromatography in which the stationary phase is a thin layer of adsorbent material, typically silica gel, alumina, or cellulose, coated onto a flat support (usually glass, plastic, or aluminum foil).

The ink dye pattern is transferred to the TLC plate by dissolving or extracting it from the ink line on a document and then spotting the extracted material on the TLC plate. The plate is then placed in a developing chamber where a solvent mixture travels up the plate by capillary action, separating the components of the ink dye pattern based on their differing affinity for the adsorbent material and the solvent mixture.

The separated components can then be visualized using a variety of detection methods, such as ultraviolet (UV) light, iodine vapor, or dyes, to produce a characteristic pattern of spots that serves as a unique fingerprint of the ink dye.

The data bank of ink dye patterns established by the U.S. Treasury Department using TLC provides a valuable resource for forensic document examiners to identify and compare inks used in questioned documents.

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T/F: monetary payments in the form of taxes flow to the government from households and businesses.

Answers

True. Monetary payments in the form of taxes do flow to the government from households and businesses.

In an economy, taxes are a primary source of revenue for the government. Both households and businesses are required to pay various types of taxes, such as income tax, sales tax, property tax, corporate tax, and payroll tax. These monetary payments are collected by the government and contribute to its overall revenue.

1. Households: Individuals within households pay taxes on their income, consumption, and property. For example, individuals' earnings from employment are subject to income tax deductions, and their purchases may be subject to sales tax. Property owners may also pay property taxes on their real estate holdings. These tax payments made by households flow to the government and contribute to its revenue.

2. Businesses: Similarly, businesses are required to pay various taxes to the government. Corporate taxes are levied on a company's profits, while sales taxes may be collected from customers on behalf of the government. Businesses also contribute to government revenue through payroll taxes, which are deductions made from employees' wages and paid to the government by the employer. Additionally, businesses may pay property taxes on their owned or leased properties. All these tax payments made by businesses flow to the government.

The specific tax obligations vary depending on the jurisdiction and the applicable tax laws. Different countries and regions have their tax rates, thresholds, and deductions.
The taxes collected by the government are then utilized for various purposes, including public infrastructure, social welfare programs, national defense, healthcare, education, and other public services. So, monetary payments in the form of taxes do flow to the government from households and businesses.

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1. Imagine that you are the President of the United States on September 12, 2001. In the wake of the terrorist attacks, you will have to make several tough decisions. write about what decisions you would make to defend the American people in the wake of the attack,
Be sure to include the following in your answer:
At least three actions which you would take, (make sure that at least two of these actions come from the lesson).
A defense of why these actions are justified.
2. After reading about the Political Parties of the United States, describe which party you would most affiliate with and why.
Be sure to include the following in your answer:
At least two reasons why you chose this party
One reason why you feel it is the best party to represent the nation

Answers

1. As President of the United States on September 12, 2001, I would have taken several tough decisions to defend the American people in the wake of the terrorist attacks. Here are three actions that I would have taken to secure the nation and protect its people:

Increase Military Preparedness: I would have immediately ordered the military to be on high alert and instructed them to take all necessary actions to prevent any further attacks. This would have included beefing up security at airports and other key locations, mobilizing troops, and establishing a no-fly zone over major American cities.

Strengthen Intelligence-Gathering Capabilities: I would have directed the CIA and other intelligence agencies to use all available resources to gather information about the terrorist organizations responsible for the attacks. This would have included enhancing surveillance capabilities, infiltrating terrorist groups, and working with foreign governments to identify and capture terrorists.

Crack Down on Terrorism Financing: I would have ordered the Treasury Department to work with international financial institutions to identify and freeze the assets of any individuals or organizations that were known to be financing terrorism. This would have included tracking down the source of funding for terrorist organizations and cutting off their access to money.

These actions are justified because they are necessary to protect the American people and defend the nation against future attacks. By increasing military preparedness, strengthening intelligence-gathering capabilities, and cracking down on terrorism financing, we can take proactive steps to prevent future attacks and ensure the safety of our citizens.

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Explain how trade imbalances in the global supply chain impact the trading activities of the countries in the world. What are the mitigation measures for addressing these trade imbalances? Which parties benefit from such and which ones lose out?

Answers

Trade imbalances in the global supply chain occur when countries import more goods than they export. This imbalance creates a negative trade balance and negatively impacts trading activities of the countries in the world. Trade imbalance can lead to a trade war between countries as they attempt to protect their domestic industries.

The impact of trade imbalances in the global supply chain is that it leads to a surge in imports which hurts the domestic industries. The increased imports lead to the loss of jobs in the affected industries.  

They have a ready market for their goods and are able to generate income and create jobs within their domestic markets. Mitigation measures to address trade imbalances include encouraging exports, increasing domestic consumption, and implementing import substitution strategies.

For instance, countries can use tariffs or quotas to limit the amount of imports allowed into the country, while at the same time, increasing exports. Additionally, countries can engage in bilateral or multilateral trade agreements to create a fair trade environment, eliminate trade barriers, and create incentives to increase exports.

The parties that benefit from such measures are the exporting countries, the domestic industries in importing countries that are protected, and consumers in the importing countries that enjoy lower prices. The parties that lose out are the domestic industries in exporting countries that are not protected, and the consumers in importing countries that pay higher prices.

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Waterway Industries reported the following year-end information: beginning work in process inventory, $170000; cost of goods manufactured, $866000; beginning finished goods inventory, $232000; ending work in process inventory, $210000; and ending finished goods inventory, $254000. Waterway Industries's cost of goods sold for the year is? a.$844000. (beginning finish good inventory 232,000+866000 cost of good manufacture =1098000- (254000) ending finish good inventory= 844000 )

b.$826000.

c.$888000.

d.$612000.

correct answer:a

Answers

The correct option ' Waterway Industries' cost of goods sold for the year is' a.$844000. The cost of goods sold (COGS) is an accounting measure that represents the direct costs incurred in producing or acquiring the goods or services sold by a company

To calculate the cost of goods sold (COGS) for Waterway Industries, we need to use the formula:

COGS = Beginning Finished Goods Inventory + Cost of Goods Manufactured - Ending Finished Goods Inventory

Given:

Beginning Finished Goods Inventory: $232,000

Cost of Goods Manufactured: $866,000

Ending Finished Goods Inventory: $254,000

Using the formula, we can calculate the COGS:

COGS = $232,000 + $866,000 - $254,000

COGS = $1,098,000 - $254,000

COGS = $844,000

Therefore, Waterway Industries' cost of goods sold for the year is $844,000.

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Assume Emma bought a bond with a 10-year maturity at $450. Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100. What is her realized compound yield (RCY) on this investment on a bond equivalent basis?
Group of answer choices
9.14 percent
10.90 percent
10.05 percent.
4.57 percent
5.03 percent

Answers

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

The compound yield is the rate at which an investor receives compound interest over a certain period of time. Compound interest is interest that is computed on the original principal amount, as well as any accumulated interest. Realized Compound Yield (RCY) is a measure of the total rate of return received from an investment over a particular time period.In this scenario, Emma bought a bond with a 10-year maturity at $450.

Coupons are paid semiannually. At the end of the 10 years, the investor has a total ending wealth of $1,100.

We can calculate Emma's realized compound yield (RCY) on this investment on a bond equivalent basis by using the following formula:

RCY = [(1 + r/2)^2 - 1]

where r is the semi-annual yield rate

RCY = [(1 + 0.05)^2 - 1]

RCY = 10.25%

Therefore, Emma's realized compound yield (RCY) on this investment on a bond equivalent basis is 10.25 percent.

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You've just joined the investment banking firm of Dewey, Cheatum, and Howe. They've offered you two different salary arrangements. You can have $8,100 per month for the next three years, or you can have $6,800 per month for the next three years, along with a $36,500 signing bonus today. Assume the interest rate is 8 percent compounded monthly.
a. If you take the first option, $8,100 per month for three years, what is the present value?
b. What is the present value of the second option?

Answers

If you take the first option, $8,100 per month for three years, what is the present value?The formula for calculating the present value is given by:

PV = P mt × {1 - [1 / (1 + r)t]} / r

For the given option, we have

P mt = $8,100t = 3 × 12 = 36 months r = 8/12 = 0.67%

Substituting these values, we get,

PV = $8,100 × {1 - [1 / (1 + 0.67%)36]} / 0.67%PV =

$8,100 × 28.0779 = $227,626.19$227,626.19.

The second option consists of a signing bonus and periodic payment. We need to calculate the present value of both and add them up to get the total present value. Signing bonus: The present value of the signing bonus is simply the value of the bonus today as no compounding is involved. Periodic payment:

PV = P mt × {1 - [1 / (1 + r)t]} / r

P mt is the periodic payment t is the number of periods r is the rate of interest For the given option, we have

P mt = $6,800t = 3 × 12 = 36 months r = 8/12 = 0.67%

Substituting these values, we get,

PV = $6,800 × {1 - [1 / (1 + 0.67%)36]} / 0.67%PV = $6,800 × 25.0343 = $170,221.

The present value of the periodic payment is $170,221.71.Total present value: The total present value is the sum of the present value of the signing bonus and the present value of the periodic payment. Present value

= $36,500 + $170,221.71

Present value = $206,721.71

The present value of the second option is $206,721.71.

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Which statement about the median weekly earnings of a worker with a doctoral degree is most accurate?

a. They are about three times the median weekly earnings of a worker with a high school diploma.
b. They are about twice the median weekly earnings of a worker with an associate's degree.
c. They are about five times the median weekly earnings of a person with less than a high school diploma.
d. They are greater than the median weekly earnings of a worker with a professional degree.

Answers

The most accurate statement about the median weekly earnings of a worker with a doctoral degree is:

d. They are greater than the median weekly earnings of a worker with a professional degree.

While it is difficult to provide precise figures without specific data, workers with doctoral degrees generally earn higher median weekly earnings compared to those with professional degrees. Professional degrees, such as medical, legal, or engineering degrees, typically offer high earning potential. However, doctoral degrees, which are research-focused and typically obtained in fields such as academia, sciences, or humanities, often lead to higher salaries due to the advanced level of education and expertise they represent. Therefore, it can be inferred that workers with doctoral degrees generally earn more than workers with professional degrees.

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of the following investments, which has historically had the best performance over the long term but suffers from more volatility?

Answers

Historically, stocks have had the best performance over the long term but suffer from more volatility compared to other investments.



However, stocks are also known for their volatility. Volatility refers to the magnitude of price fluctuations in an investment. Stocks can experience significant price swings in a short period, and these fluctuations can be both positive and negative. This volatility is due to various factors such as economic conditions, company performance, and market sentiment. Therefore, while stocks may offer higher returns over the long term, they come with a higher level of risk and uncertainty.



Other investments, such as bonds or real estate, tend to have lower volatility but also offer lower returns compared to stocks. Bonds, for example, are considered less risky as they represent a loan made to a government or a company. Real estate investments are generally more stable and less prone to price fluctuations. However, their long-term returns may not be as high as those of stocks.

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Which of the following is a long call option contract that is out of the money?
A contract with an exercise price of $70 and a market price of $20
A contract with an exercise price of $20 and a market price of $70
A contract with an exercise price of $70 and a market price of $70
All of the above are out of the money

Answers

A long call option contract that is out of the money is a contract with an exercise price of $70 and a market price of $20.

A long call option is a type of options strategy that gives the holder the right, but not the obligation, to purchase an underlying asset at a fixed price, known as the strike price, within a specified time frame, known as the expiration date. If the market price of the underlying asset is less than the strike price, the option is considered to be out of the money.

A long call option is considered to be out of the money when the market price of the underlying asset is less than the strike price. In this case, the contract with an exercise price of $70 and a market price of $20 is out of the money. The correct answer is: A contract with an exercise price of $70 and a market price of $20.

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If you were a firm seeking innovation, which approach do
you think would be best? Why?
Strategic Planning
Scenario Planning
Strategy as planned Emergence

Answers

As a firm seeking innovation, the best approach to employ is strategy as planned emergence. This approach will allow a firm to adapt to changing environments while ensuring innovation is a priority.

Strategy as planned emergenceThis is a strategic approach that involves setting long-term goals but allows for adjustments as the market changes. Strategy as planned emergence allows for flexibility and improvisation by making use of the existing resources to create something new. It entails combining different ideas to form something innovative.Innovation is an essential component of business success, and firms must continuously find ways to innovate to remain relevant in the market. The strategy as planned emergence approach allows firms to remain agile and adapt quickly to the changing market.

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The money paid by private business to the suppliers of loans used to purchase capital or money that households receive on savings accounts is called:
a-interest
b-profit
c-net income
d-rent

Answers

The money paid by private business to the suppliers of loans used to purchase capital or money that households receive on savings accounts is called (a) interest.

Interest is the cost of borrowing money or the compensation received for lending money. When private businesses borrow funds to finance their capital purchases, they pay interest to the lenders as a form of compensation for the use of the funds. Similarly, households receive interest on their savings accounts as a return on their savings. Interest is typically calculated as a percentage of the principal amount and is agreed upon between the borrower and the lender. It is a common financial concept used to incentivize lending and borrowing and to compensate for the time value of money.

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A manufacturer has paid an engineering firm $200,000 to design a new plant, and it will cost another $2 million to build the plant. In the meantime, however, the manufacturer has learned of a foreign company that offers to build an equivalent plant for $2,100,000. What should the manufacturer do? Explain.

Answers

The manufacturer is tasked with deciding whether to move ahead with building a new plant, with the engineering firm having already been paid 200,000 for the plant's design.

If they should instead opt for a foreign company that can build an equivalent plant for 2,100,000. The manufacturer will need to conduct a cost-benefit analysis to determine the best course of action.The following are the steps to conduct a cost-benefit analysis.

the manufacturer should go ahead and build the new plant, as the cost to build the plant themselves is 2,200,000, while the foreign company's cost is 2,100,000. Although the foreign company's offer appears to be the cheaper option, the manufacturer would be better off constructing the plant themselves because it would save them 100,000.

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