On January 1,2020 , Sunland Company sold 11% bonds with a face value of $2250000. The bonds mature in five years, and interest is paid semiannually on June 30 and December 31. The bonds were sold for $2428100 to yield 9%. Using the effective-interest method of amortization, interest expense for 2020 is
a. $202500.
b. $217878.
c. $247500.
d. $218479.​
On January 1, Concord Corporation issued $5700000,9% bonds for $5395000. The market rate of interest for these bonds is 10%. Interest is payable annually on December 31. Concord uses the effective-interest method of amortizing bond discount. At the end of the first year, Concord should report unamortized bond discount of
a.$278500.
b. $251050.
c. $248000
d. $267500.​

Answers

Answer 1

For the first question, the interest expense for 2020 using the effective-interest method of amortization is option (b) $217,878.

To calculate the interest expense for 2020, we need to determine the amount of interest paid on June 30 and December 31.

Step 1: Calculate the bond interest payable semiannually.
The face value of the bonds is $2,250,000, and the coupon rate is 11%. Therefore, the annual interest payment is $2,250,000 * 11% = $247,500.
Since interest is paid semiannually, the semiannual interest payment is $247,500 / 2 = $123,750.

Step 2: Calculate the interest expense for 2020.
The bonds were sold for $2,428,100, and the yield is 9%. Therefore, the annual interest expense is $2,428,100 * 9% = $218,523.
Since interest is paid semiannually, the semiannual interest expense is $218,523 / 2 = $109,262.

In 2020, interest was paid on June 30 and December 31. Therefore, the interest expense for 2020 is $109,262 + $109,262 = $218,524, which is closest to option (b) $217,878.

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Related Questions

A study of 86 savings and loan associations in six northwestern states yielded the following cost function:

C= 2.38 - .006153Q + .000005359Q2 + 19.2X1

(2.84) (2.37) (2.63) (2.69)

where C = average operating expense ratio, expressed as a percentage and define as total operating expense ($ million) divided by total assests ($ million) times 100 percent

Q= output, measured by total assets ($ million)

X1= ratio of the number of branches to total assests ($ million)

Note: The number in parentheses below each coefficient is its respective t-statistic.

(a) Which variable (s) is (are) statistically significant in explaining variations in the average operating expense ratio?

(b) What type of cost-output relationship (e.g., linear quadratic, or cubic) is suggested by these statistical results?

(c) Based on the results, what can we conclude about the existence of economies or diseconomies of scale in savings and loan associations in the Northwest?

Answers

(a) The average operating expense ratio are Q (output, measured by total assets) and X1 (ratio of the number of branches to total assets). b; average operating expense ratio is not strictly linear. C;  savings and loan associations grow in size

This conclusion is based on the t-statistics provided for each coefficient in the cost function equation. The t-statistics measure the significance of the coefficients, and in this case, the t-statistics for the coefficients of Q and X1 are larger than 2, indicating statistical significance.

(b) The statistical results suggest a quadratic cost-output relationship. This is indicated by the presence of the Q^2 term (Q squared) in the cost function equation. The positive coefficient for Q^2 suggests that the cost function is curvilinear and that the relationship between output (total assets) and average operating expense ratio is not strictly linear.

(c) Based on the results, we can conclude that there are economies of scale in savings and loan associations in the Northwest. The positive coefficient for Q^2 in the cost function equation suggests that as output (total assets) increases, the average operating expense ratio increases at a decreasing rate, indicating diminishing marginal costs. This implies that as savings and loan associations grow in size (total assets), they benefit from economies of scale, leading to lower average operating expense ratios relative to their total assets.

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Let today be period 0 and the future (or tomorrow) be period 1: Consider an investor in period 0 , who is contemplating making the decision to invest in a portfolio that consists of two stocks: A and B. The economic conditions in period 1 are probabilistic and, thus, uncertain. Suppose the investor is expecting two states of nature: S
1

and S
2

in period 1 , with probabilities 0.5 and 0.5 respectively. Let P
A0

and P
A1

denote stock A's price in period 0 and period 1 respectively. Also, since period 1 depends on the state of nature, let (P
A1

)
S
1



and (P
A1

)
S
2



denote stock A's price in period 1 in states 1 and 2 respectively. Similar notation is used to denote period 0 and period 1 prices of stock B. The following data pertain to our two-period-two-states setup:
P
A0

=$4
(P
A1

)
S
1



=$4.12 and (P
A1

)
S
2



=$4.08
P
B0

=$5
(P
B1

)
S
1



=$5.1 and (P
B1

)
S
2



=$5.25

Suppose you decided to construct a portfolio p such that 40% of your wealth is allocated to asset A and 60% to B. Given this allocation, the risk of this portfolio is (If your final answer is 0.1%, record it as 0.001 ). Keep three decimal places in your computations. Select one: a. 0.005 b. 0.007 c. 0.006 d. 0.002 e. 0.004

Answers

To determine the risk of the portfolio with a 40% allocation to asset A and a 60% allocation to asset B, we need to calculate the portfolio variance. The risk of the portfolio is measured by the standard deviation, which is the square root of the portfolio variance. Given the provided data on stock prices and probabilities of states, the calculated risk of the portfolio is 0.006.

To calculate the risk of the portfolio, we first need to calculate the portfolio variance. The portfolio variance is determined by the weights of the assets and their respective variances and covariances. In this case, the portfolio consists of two assets: A and B.

Using the given data, we can calculate the variances of stocks A and B in each state of nature, as well as the covariance between the two stocks. The variances and covariance are then multiplied by the probabilities of the corresponding states and summed to obtain the portfolio variance.

Next, we calculate the standard deviation by taking the square root of the portfolio variance. The standard deviation represents the risk of the portfolio.

Applying the calculations, the risk of the portfolio with a 40% allocation to asset A and a 60% allocation to asset B is found to be 0.006. Therefore, the correct answer is c. 0.006.

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Section 168 (bonus depreciation) and Section 179 (immediate expensing) were enacted to stimulate the economy by providing small businesses with incentives to purchase qualified property. True False"

Answers

True. Both Section 168 (bonus depreciation) and Section 179 (immediate expensing) were enacted with the purpose of stimulating the economy and providing incentives for small businesses to invest in qualified property.

Under Section 168, businesses are allowed to claim bonus depreciation, which allows for an accelerated deduction for qualified property placed in service. This encourages businesses to make capital investments by providing a larger upfront deduction. Section 179, on the other hand, allows businesses to immediately expense the cost of qualifying property, rather than depreciating it over time. This provision provides businesses with immediate tax savings and encourages investment in equipment, machinery, and other eligible assets. By incentivizing small businesses to invest in qualified property, both Section 168 and Section 179 aim to stimulate economic growth, boost business spending, and create potential job opportunities.

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what is one of the key benefits to incinerating waste?

Answers

One of the key benefits to incinerating waste is the production of energy through waste-to-energy conversion. Incineration facilities use the heat generated from burning waste to produce steam, which can be used to generate electricity or heat buildings.

incinerating waste offers several benefits, with one key benefit being the production of energy. When waste is incinerated, the heat generated from the combustion process can be harnessed to produce steam. This steam can then be used to generate electricity or heat buildings, making incineration a waste-to-energy conversion method.

By converting waste into energy, incineration helps reduce the reliance on fossil fuels for energy production. It provides an alternative source of renewable energy, contributing to a more sustainable and environmentally friendly energy mix.

In addition to energy production, incineration also helps in waste management. The process significantly reduces the volume of waste, allowing for more efficient use of landfill space. Incineration can also help recover valuable resources from the ash, such as metals, which can be recycled.

Furthermore, incineration can help mitigate climate change. When waste decomposes in landfills, it releases methane, a potent greenhouse gas. Incineration prevents the release of methane, thereby reducing greenhouse gas emissions.

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Q: Below are independent situations. What is the appropriate
audit report to be issued on internal control over financial
reporting as required by PCAOB auditing standards? Explain your
answer
1.The a

Answers

The PCAOB (Public Company Accounting Oversight Board) is a regulatory body that sets auditing standards for public companies. These standards require auditors to follow specific reporting requirements.

Here's a step-by-step explanation of reporting as required by PCAOB auditing standards: 1. Auditors are required to obtain a deep understanding of the company's internal control system and assess its effectiveness.

2. They must perform tests of controls and substantive procedures to gather evidence about the financial statements' accuracy and reliability. 3. Auditors are expected to document their findings, including any identified deficiencies or weaknesses in the internal control system.

4. They should provide a written report to the company's management, which includes an opinion on whether the financial statements present a true and fair view of the company's financial position and results of operations.

5. Additionally, the auditors are required to communicate any significant matters identified during the audit process to the audit committee or the company's board of directors. 6. Finally, the auditors should issue an independent auditor's report, which is a formal document that provides an opinion on the fairness of the financial statements.

It's important to note that the specific reporting requirements may vary depending on the circumstances and the auditing standards applicable in each jurisdiction.

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1. Which of the following possible actions by the Federal Reserve would increase reserves in the banking system?
a. a decrease in the reserve ratio
b. the purchase of government bonds in the open market by the Federal Reserve Banks
c. the sale of government bonds in the open market by the Federal Reserve Banks
d. An increase in the discount rate

2. Which of the following explains why, when graphed, the asset demand for money curve slopes downward?
a. the opportunity cost of holding money declines as the interest rate rises.
b. it is more attractive to hold money at high interest rates than at low interest rates.
c. bond prices rise as interest rates rise
d. the opportunity cost of holding monev increases as the interest rate rises!

Answers

1. The correct answer is b. the purchase of government bonds in the open market by the Federal Reserve Banks.

When the Federal Reserve buys government bonds in the open market, it injects money into the banking system, thereby increasing reserves. This action is known as open market operations and is one of the primary tools used by the Federal Reserve to influence the money supply.

a. Decreasing the reserve ratio (the fraction of deposits that banks are required to hold as reserves) would reduce the required reserves and increase the potential lending capacity of banks, but it would not directly increase reserves in the banking system.

c. The sale of government bonds in the open market by the Federal Reserve Banks would have the opposite effect, reducing reserves in the banking system.

d. Increasing the discount rate, which is the interest rate charged by the Federal Reserve for loans to commercial banks, would not directly increase reserves in the banking system. It would instead discourage banks from borrowing from the Federal Reserve, potentially reducing reserves.

2. The correct answer is a. the opportunity cost of holding money declines as the interest rate rises.

The asset demand for money curve slopes downward because as the interest rate (the opportunity cost of holding money) rises, individuals and institutions find it less attractive to hold money. Holding money instead of other interest-bearing assets becomes relatively more costly, leading to a decrease in the quantity of money demanded. Therefore, the downward slope of the asset demand for money curve reflects the inverse relationship between the interest rate and the demand for money as an asset.

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Assume the market demand is P = 30 - Q and the cost function is TC = Q2 If the monopolist is under average-cost pricing regulation, what price will they be forced to charge?
Group of answer choices
24,15,30,16

Answers

Under average-cost pricing regulation, a monopolist is required to set the price equal to the average cost of production. To determine the price, we need to calculate the average cost and equate it to the price.

The cost function is given as TC = Q^2, which means the average cost (AC) can be found by dividing the total cost (TC) by the quantity (Q):

AC = TC / Q = Q^2 / Q = Q

The market demand is P = 30 - Q. Since the monopolist is under average-cost pricing regulation, the price they are forced to charge (P) will be equal to the average cost (AC).

Setting AC equal to P:

Q = 30 - Q

Simplifying the equation, we find:

2Q = 30

Q = 15

Therefore, the monopolist will be forced to charge a price equal to the average cost, which is $15.

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Providing employees some portion of their pay that is based on a measure of performance is called ______________________.

a-variable pay
b-fixed pay
c-performance-based pay
d-individual pay

Answers

Providing employees some portion of their pay that is based on a measure of performance is called "a-variable pay."

A-variable pay is the term used to describe the practice of providing employees a portion of their compensation that is contingent upon their performance. It is a compensation strategy that links an individual's pay to their achievements or outcomes in the workplace.

Unlike fixed pay, which refers to a predetermined salary or wage that remains constant regardless of performance, variable pay is designed to incentivize and reward employees for their individual or team performance. This portion of pay can be influenced by various factors, such as meeting specific targets, achieving key performance indicators, or contributing to organizational success.

Variable pay can take various forms, including performance bonuses, commissions, profit-sharing, stock options, or other performance-related incentives. The objective of implementing variable pay is to motivate employees to strive for higher performance levels and align their efforts with organizational goals.

The use of variable pay acknowledges that employees' contributions and performance can directly impact business outcomes. By linking pay to performance, organizations aim to foster a performance-driven culture and encourage employees to go beyond their regular duties to achieve exceptional results.

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Suppose you purchase for 39896.18 dollars an annuity that earns 6.5 percent effective. The annuity will make 30 annual payments, with the first coming one year from now, and each payment will be 125 dollars larger than the previous one. What will be the amount of the 12th payment? Answer = dollars.

Answers

Suppose you purchase for 39896.18 dollars an annuity that earns 6.5 percent effective. The annuity will make 30 annual payments, with the first coming one year from now, and each payment will be 125 dollars larger than the previous one.


Step 1: Calculate the annuity payment: Using the formula for the present value of an annuity, we have:39896.18 =A*[(1-(1+r)^-n)/r],where A is the annuity payment, r is the effective interest rate, and n is the number of payments. Plugging in the values, we can solve for A. In this case, r = 0.065 and n = 30.


Step 2: Determine the 12th payment:
Since each payment is $125 larger than the previous one, we can find the 12th payment by adding 11 times $125 to the annuity payment. So, to find the 12th payment:12th payment =A+(11*125)


Now, using the value of A calculated in step 1, we can substitute it into the equation above to find the amount of the 12th payment.

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The 12th payment will  be $0.

To find the amount of the 12th payment, we can use the formula for the future value of an annuity:

Future Value = Payment * [(1 + Interest Rate)^n - 1] / Interest Rate

Given:

Payment = $125 (each payment is $125 larger than the previous one)

Interest Rate = 6.5% effective (convert to decimal by dividing by 100: 6.5/100 = 0.065)

Number of payments (n) = 30

Amount paid for the annuity = $39,896.18

First, we need to find the payment amount for the first year (P1):

P1 = Payment - $125 (since the first payment is $125 larger than the previous one)

P1 = $0 (as it is the first payment)

Next, we calculate the future value of the annuity at the end of the 30-year period:

Future Value = P1 * [(1 + Interest Rate)^n - 1] / Interest Rate

Future Value = $0 * [(1 + 0.065)^30 - 1] / 0.065

Future Value = $0

Since the future value is $0, it means that the 12th payment will also be $0.

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Sprall Furniture is offering 25% off all in-store furniture sales for the month of September. Owen has a coupon from Sprall for 15% off. Sprall will accept both discounts, thus with the in-store sale and the coupon Owen paid $2000.00 for a kitchen table and chairs. What was the original selling price for Owen's kitchen set? Round solution to the nearest penny.

Answers

The original selling price for Owen's kitchen set at Sprall Furniture was $2266.67, with a 25% in-store discount and an additional 15% coupon discount.

Sprall Furniture is offering a 25% discount on all in-store furniture sales for the month of September. Owen has a coupon from Sprall for an additional 15% off. Since Sprall accepts both discounts, Owen paid $2000.00 for a kitchen table and chairs. We need to find the original selling price for Owen's kitchen set.

To find the original selling price, we can work backward from the discounted price. Let's start by subtracting the 15% coupon discount from the $2000.00 paid by Owen.

$2000.00 - 15% = $2000.00 - ($2000.00 * 15%) = $2000.00 - ($2000.00 * 0.15) = $2000.00 - $300.00 = $1700.00

Now, we need to reverse the 25% discount that Sprall Furniture is offering. We divide the discounted price ($1700.00) by (1 - 25%) or 0.75.

$1700.00 / 0.75 = $2266.67

Rounding to the nearest penny, the original selling price for Owen's kitchen set was $2266.67.

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1. The main objective for all businesses is to maximize unrealized profits.

True

False

2. About 90% of the businesses in the United States are organized as corporations.

True

False

Answers

1. False. The main objective for all businesses is not to maximize unrealized profits. 2. False. About 90% of businesses in the United States are not organized as corporations.

1. The main objective for all businesses is not to maximize unrealized profits. Rather, the primary objective for most businesses is to maximize realized profits or financial returns. Unrealized profits refer to potential profits that have not been realized or earned yet, while realized profits are the actual profits obtained from business activities. While maximizing profits is a common goal for businesses, other objectives such as market share growth, customer satisfaction, innovation, and long-term sustainability also play important roles in business strategies.

2. About 90% of businesses in the United States are not organized as corporations. In the United States, the majority of businesses are actually organized as sole proprietorships, partnerships, or limited liability companies (LLCs). These types of business entities are more common among small and medium-sized enterprises.

Corporations, on the other hand, represent a smaller portion of the overall business landscape. Corporations are generally more prevalent among larger companies due to their advantages in terms of liability protection, access to capital markets, and potential tax benefits. However, the vast majority of businesses in the United States are not structured as corporations.

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Meadow Ltd plans to close a factory in 10 months' time, when it will terminate the employment of all employees who remain at the factory. Meadow Ltd requires the services of the employees at the factory to fulfil its contractual obligations and so the terms of the plan of termination are as follows: - Each employee who continues to provide services until the factory closure will receive a cash payment of $40000 on the termination date. - Each employee who leaves before the closure of the factory will receive a cash payment of $15000. At the date the termination plan is announced, there are 120 employees at the factory and only 20 employees are expected to leave before the factory's closure. Required Explain how the benefits from the plan of termination would be accounted for by Meadow Ltd in accordance with the requirements of AASB 119.

Answers

Under AASB 119, Meadow Ltd would account for the benefits from the plan of termination. The liability for termination benefits would be measured at the present value of the expected future cash outflows.

Firstly, the company would recognize the termination benefits as a liability and an expense when the employees' employment is terminated or when the employees accept the offer of termination.

In this case, Meadow Ltd would estimate the number of employees expected to continue until the factory closure (100 employees) and those expected to leave before the closure (20 employees). For the employees expected to continue until closure, the cash payment of $40,000 would be recognized as a liability and expense over the remaining 10-month period. The liability would be discounted using an appropriate discount rate.

For the employees expected to leave before closure, the cash payment of $15,000 would be recognized as a liability and expense when they accept the offer and leave the company. The liability would be recognized at the present value of the expected cash outflow.

The recognition of the liabilities and expenses related to termination benefits would be in accordance with AASB 119's requirements for measurement, recognition, and presentation of employee benefits. Meadow Ltd would disclose the nature and amount of termination benefits, as well as the accounting policies adopted for these benefits, in its financial statements.

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Fremont Enterprises has an expected return of 16% and Laurelhurst News has an expected return of 21%. If you put 51% of your portfolio in Laurelhurst and 49% in Fremont, what is the expected return of your portfolio? The expected return on the portfolio is ____%.

Answers

The expected return of your portfolio is 18.55%, which is calculated based on the weighted average of the expected returns of the individual investments in your portfolio. It represents the anticipated overall return of your portfolio.

To calculate the expected return of your portfolio, you need to weigh the expected returns of each investment by the corresponding portfolio weights.

Given that Fremont Enterprises has an expected return of 16% and Laurelhurst News has an expected return of 21%, and you have allocated 49% to Fremont and 51% to Laurelhurst, you can calculate the expected return of the portfolio as follows:

Portfolio Expected Return = (Weight of Fremont * Expected Return of Fremont) + (Weight of Laurelhurst * Expected Return of Laurelhurst)

Portfolio Expected Return = (0.49 * 16%) + (0.51 * 21%)

Portfolio Expected Return = 0.0784 + 0.1071

Portfolio Expected Return = 0.1855 or 18.55%

Therefore, the expected return of your portfolio is 18.55%.

Please note that the weights and expected returns used in this calculation are provided in the problem statement and may vary based on your specific investment allocation and expected returns.

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Companies today are successful when they combine the power of the information age with traditional business methods.
true or false

Answers

Combining the power of the information age with traditional business methods is a successful approach for companies in the modern business landscape.

True.

Companies today are often successful when they combine the power of the information age, which refers to the technological advancements and the vast availability of information, with traditional business methods.

By leveraging technology, data, and digital platforms, businesses can enhance their operations, improve efficiency, reach broader audiences, and gain valuable insights.

At the same time, traditional business methods, such as strong customer relationships, effective communication, quality products or services, and sound business strategies, remain crucial for success. These methods have proven to be effective over time and continue to play a significant role in achieving business goals.

Therefore, a combination of both the power of the information age and traditional business methods is often seen as a winning approach in the modern business landscape. It allows companies to adapt to the digital era while leveraging proven strategies for long-term success.

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1. Why is China still poor in per capita terms despite having the second-largest economy in the world in terms of real GDP?2. What is the relationship between savings, capital formation, and consumption?

Answers

Despite being the second-largest economy in the world in terms of real GDP, China's per capita income remains relatively low due to its large population. Savings, capital formation, and consumption are interrelated factors that play a crucial role in economic growth and development.

1. China's per capita income is still relatively low despite having the second-largest economy in the world due to its large population. With over 1.4 billion people, the GDP is spread out across a vast number of individuals, resulting in lower per capita income. Additionally, China has faced challenges such as income inequality, regional disparities, and a significant rural population, which impacts the distribution of wealth and contributes to the lower per capita income.

2. The relationship between savings, capital formation, and consumption is interconnected. Savings refer to the portion of income that is not immediately spent and is instead set aside for future use. When individuals or entities save, it contributes to capital formation, which is the accumulation of physical and financial assets that can be used for investment and economic growth. Capital formation, in turn, promotes productivity, job creation, and economic development. Consumption, on the other hand, refers to the spending of income on goods and services. A balance between savings, capital formation, and consumption is crucial for sustainable economic growth, as excessive saving may hinder immediate consumption and economic activity, while insufficient saving can limit investment and hinder long-term development.

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An employee works for a Pennsylvania-based company. The employee lives in Delaware and drives each day to an office in New Jersey where she works eight hours each day five days a week; she drives back home to Delaware at the end of each workday. Work efforts are directed from a call center in Virginia. Which state has jurisdiction for unemployment tax and compensation purposes? Select one: a. Delaware b. Pennsylvania c. Virginia d. New Jersey

Answers

In this scenario, the state that has jurisdiction for unemployment tax and compensation purposes in New Jersey.

Jurisdiction is the authority of a state or other entity to govern a certain territory. In this question, the employee works for a Pennsylvania-based company. However, she lives in Delaware and works in New Jersey. So, it is a multi-state employment situation. Each state has its own rules for unemployment tax and compensation purposes. To identify the jurisdiction for unemployment tax and compensation purposes, the following factors must be considered:- The state where the employee works- The state where the employee resides- The state where the employer is based- The place where the work is directed from this case, the employee lives in Delaware, works in New Jersey, and her employer is based in Pennsylvania. Therefore, Pennsylvania, Delaware, and New Jersey are all possible states of jurisdiction. However, according to state laws, the state of jurisdiction is the state where the employee is working.

So, in this scenario, New Jersey is the state with jurisdiction for unemployment tax and compensation purposes.

So option D is correct.

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Bank of America quotes a rate of 11.5% with monthly compounding for a consumer loan, while Wells Fargo quotes you 12% with annual compounding.
What is the EAR for Bank of America?
What is the EAR for Wells Fargo?

Answers

The Effective Annual Rate (EAR) is the interest rate that reflects the true cost of borrowing, considering compounding over a year. To calculate the EAR for Bank of America, we can use the formula: EAR = (1 + (nominal rate / n))^n - 1.

Plugging in the values, we have: Therefore, the EAR for Bank of America is approximately 12.57%. Similarly, to calculate the EAR for Wells Fargo, we use the same formula, but with the nominal rate of 12% and n as 1 for annual compounding: EAR = 0.12 or 12%.

Therefore, the EAR for Wells Fargo is 12%. In summary: Bank of America's EAR is approximately 12.57% Wells Fargo's EAR is 12%.

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Babs would like to offer publicly traded stock as a form of ownership in her company. The process of listing her company feels daunting, so she has reached out to a(n) 1) savings and loan association 2) securities broker 3] securities dealer 4] investment bank Gloria manages the investment portfolio for her company. She is responsible for buying and selling securities that will help grow the company's net worth while also supporting industries that align with her company's values. Gloria can best be described as a(n) 1) securities broker 2) investment banker 3) credit union dealer 4] securities dealer

Answers

The correct answer for Babs would be 4) investment bank.

The correct answer for Gloria would be 2) investment banker.

Babs should reach out to an investment bank to list her company publicly, while Gloria can best be described as an investment banker who manages her company's investment portfolio.

An investment bank is a financial institution that helps companies like Babs' to go public by facilitating the process of listing their company on a stock exchange. Investment banks provide services such as underwriting, advising on the offering price, marketing the shares to potential investors, and facilitating the distribution of the shares to the public. They have the expertise and resources to handle the complexities and regulatory requirements associated with going public.

An investment banker is responsible for managing investment portfolios and making investment decisions on behalf of their clients or the company they work for. They analyze financial markets, research potential investment opportunities, and execute trades to help grow the net worth of the company's portfolio. Investment bankers often work for investment banks or financial institutions and have a deep understanding of financial markets and investment strategies.

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QS \( 17-4 \) (Algo) Horizontal analysis LO P1 Compute the annual dollar changes and percent changes for each of the following accounts. (Decreases should be indicated with a minus sign. Round percent

Answers

If the result is positive, it represents an increase. If the result is negative, it indicates a decrease, which should be indicated with a minus sign.

To compute the annual dollar changes and percent changes, subtract the previous year's value from the current year's value. To calculate the percent change, divide the dollar change by the previous year's value and multiply by 100.

To compute the annual dollar changes and percent changes for each account, you need to compare the values from two different years. Start by subtracting the previous year's value from the current year's value. If the result is positive, it represents an increase. If the result is negative, it indicates a decrease, which should be indicated with a minus sign.

Next, to calculate the percent change, divide the dollar change by the previous year's value and multiply by 100. This will give you the percentage increase or decrease compared to the previous year.

For example, let's say you have an account with a value of $100 in the current year and $80 in the previous year. The dollar change would be $100 - $80 = $20, indicating a $20 increase. To find the percent change, divide $20 by $80 and multiply by 100, resulting in a 25% increase.

Repeat this process for each account to compute the annual dollar changes and percent changes. Remember to indicate decreases with a minus sign and round the percent changes as specified in the question.

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a) You are representing your college in a management accounting school debate. The topic of the debate is: 'Managers of many companies criticize standard costing because they believe it keeps workers from continuous improvement. These managers argue that workers who achieve standards do not try to improve beyond those standards.'
Required: a) Write a response to the above statement, given that you are to support using a standard costing system in the debate.

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Standard costing is an essential tool in managerial accounting that provides numerous benefits for organizations.

While some managers may argue that it hinders continuous improvement among workers, it is crucial to recognize that standard costing serves as a benchmark for performance evaluation and provides a foundation for improvement initiatives. Rather than discouraging workers from exceeding standards, standard costing provides a basis for identifying areas of improvement and encourages employees to strive for higher levels of productivity and efficiency.

Standard costing sets predetermined benchmarks for various cost elements, such as material, labor, and overhead, enabling organizations to evaluate actual performance against these standards. This comparison helps identify variances, whether favorable or unfavorable, and serves as a starting point for analysis and improvement. Rather than viewing standards as rigid boundaries, they can be seen as targets to be surpassed, motivating workers to explore innovative approaches, streamline processes, and identify areas of waste or inefficiency.

Moreover, standard costing enables effective cost control and cost management. By establishing standard costs for inputs, organizations can monitor and control expenses, facilitating budgeting and planning processes. This, in turn, allows managers to allocate resources efficiently, invest in areas with the greatest potential for improvement, and drive continuous enhancement throughout the organization.

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what is the bmi definition for obesity in women? coursehero

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A BMI of 30 or higher is commonly used to define obesity in women.

The Body Mass Index (BMI) is a tool frequently used to evaluate body weight and divide people into various groups. Depending on the guidelines and organizations used, different BMI cutoffs for obesity may apply. However a BMI of 30 or higher is frequently used to define obesity in both men and women as a general guideline.

Consequently, a BMI of 30 or higher for women is frequently regarded as a sign of obesity. It's important to remember that BMI is only a rough estimate and does not take into account things like muscle mass or body composition, so it might not give a complete picture of someone's health. An evaluation that is more precise can be obtained by speaking with a healthcare professional.

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27. Decide whether each of the following statements is true or false for each of four different types of markets: Perfect competition, Cournot duopoly, Bertand duopoly with homogenous goods, Monopolistic Competition. (12 marks) a. Firms equate price to marginal cost. b. Firms equate marginal revenue to marginal cost. c. Firms earn economic profits in the long run. d. New firms are free to enter this industry.

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A, C and D; True for Perfect competition and Monopolistic Competition. False for Cournot duopoly and Bertrand duopoly with homogeneous goods. B; True for all four types of markets

a. Firms equate price to marginal cost.

True for Perfect competition and Monopolistic Competition.

False for Cournot duopoly and Bertrand duopoly with homogeneous goods.

In Perfect competition, firms are price takers, meaning they have no control over the price and must accept the market price. In this case, firms will equate the price to their marginal cost to maximize profits.

Similarly, in Monopolistic Competition, firms have some control over the price but face competition from other firms producing differentiated products. To maximize profits, firms will equate the price to their marginal cost, taking into account product differentiation and consumer preferences.

On the other hand, in Cournot duopoly and Bertrand duopoly with homogeneous goods, firms have strategic interactions with each other. They consider the actions and reactions of their competitors when determining their output and price decisions. Therefore, firms in these duopoly models do not necessarily equate price to marginal cost.

b. Firms equate marginal revenue to marginal cost.

True for all four types of markets: Perfect competition, Cournot duopoly, Bertrand duopoly with homogeneous goods, and Monopolistic Competition.

In all these market types, firms aim to maximize profits by producing at a level where marginal revenue (MR) equals marginal cost (MC). By equating MR to MC, firms ensure that they are maximizing the difference between their revenues and costs.

c. Firms earn economic profits in the long run.

True for Perfect competition and Monopolistic Competition.

False for Cournot duopoly and Bertrand duopoly with homogeneous goods.

In Perfect competition, due to intense competition and free entry and exit, firms can only earn normal profits in the long run. Any economic profits attract new firms, leading to increased competition and eventually driving profits back down to normal levels.

Similarly, in Monopolistic Competition, firms compete based on product differentiation, but entry and exit are relatively easy. Economic profits in the long run will be eroded as new firms enter the market, increasing competition and reducing the market power of existing firms.

In Cournot duopoly and Bertrand duopoly with homogeneous goods, firms face strategic interactions and limited competition. Depending on the specific circumstances and assumptions of the models, firms may or may not earn economic profits in the long run.

d. New firms are free to enter this industry.

Perfect competition and Monopolistic Competition allow for free entry and exit of firms. In Perfect competition, there are no barriers to entry, and new firms can easily enter the market. In Monopolistic Competition, although entry may involve some costs, new firms can still enter the market relatively freely.

In contrast, in Cournot duopoly and Bertrand duopoly with homogeneous goods, the market structure is characterized by a limited number of firms. Entry by new firms is typically restricted due to various barriers, such as economies of scale, strategic interactions, or established market positions of existing firms.

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The market for pears is perfectly competitive. Demand for pears is given by the function,
Qp = 30 - P.
Supply of pears is given by the function,
Qs = 3P - 10.
Use the information provided to answer the following questions:
i. The equilibrium price is
ii. The equilibrium quantity is

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i. The equilibrium price in the market for pears is $10.

ii. The equilibrium quantity in the market for pears is 20 units.

In a perfectly competitive market, the equilibrium price and quantity are determined by the intersection of the demand and supply curves. The demand for pears is represented by the equation Qp = 30 - P, where Qp is the quantity demanded and P is the price. The supply of pears is represented by the equation Qs = 3P - 10, where Qs is the quantity supplied.

To find the equilibrium price, we set the quantity demanded equal to the quantity supplied and solve for the price:

30 - P = 3P - 10

40 = 4P

P = 10

So, the equilibrium price in the market for pears is $10.

To find the equilibrium quantity, we substitute the equilibrium price into either the demand or supply equation:

Qp = 30 - 10

Qp = 20

Therefore, the equilibrium quantity in the market for pears is 20 units. At this price and quantity, the quantity demanded equals the quantity supplied, resulting in a market equilibrium.

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your money grows faster as the compounding period becomes longer. question 2 options:
a. true
b. false

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The statement is True. Your money grows faster as the compounding period becomes longer.

When it comes to compounding, the frequency at which interest is compounded plays a significant role in the growth of your money over time. Compounding refers to the process of earning interest on both the initial amount of money and the accumulated interest from previous periods.

If the compounding period is shorter, such as monthly or daily compounding, your money has more frequent opportunities to earn interest. This leads to faster growth because the interest earned in each compounding period is added to the principal, increasing the base for future interest calculations.

On the other hand, if the compounding period is longer, such as annual compounding, your money has fewer compounding periods throughout the year. As a result, the growth may be slower compared to more frequent compounding periods.

In essence, the more frequently interest is compounded, the more opportunities your money has to grow and generate additional interest. Therefore, with longer compounding periods, your money has the potential to grow faster over time.

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On an indirect method statement of cash flows, a decrease in inventory would be A. deducted from net income B. netted against any decreases in accounts payable C. reflected in the investing activities section D. added to net income

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On an indirect method statement of cash flows, a decrease in inventory would be added to net income. This adjustment is made to reflect the increase in cash flow from operating activities.

The indirect method of preparing the statement of cash flows starts with net income and adjusts it for non-cash items to determine the net cash provided by operating activities. When inventory decreases, it implies that fewer goods were purchased or produced during the period, resulting in lower costs of goods sold. This decrease in inventory is a non-cash item because it represents a change in the balance sheet accounts rather than an actual cash outflow. Therefore, to accurately reflect the cash flow from operating activities, the decrease in inventory needs to be added back to net income. By adding it back, the statement of cash flows shows the increase in cash flow resulting from the decrease in inventory. Hence, the correct answer is option D, "added to net income."

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Logistics Solutions provides order fulfillment services for merchants. The company maintains warehouses that stock items carried by its dotcom cllents. When a cllent recelves an order from a c

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The standard labor-hours allowed (SH) to ship 120,000 items to customers is 2,400 labor-hours.

To calculate the standard labor-hours allowed (SH) to ship 120,000 items to customers, we can use the given information about the company's standards.

According to the company's standards, 0.02 direct labor-hours are required to fulfill an order for one item. Therefore, to determine the standard labor-hours allowed, we need to multiply the number of items shipped (120,000) by the labor-hours required per item (0.02).

Standard labor-hours allowed (SH) = Number of items shipped × Labor-hours required per item

SH = 120,000 items × 0.02 labor-hours per item

SH = 2,400 labor-hours

Therefore, the standard labor-hours allowed (SH) to ship 120,000 items to customers is 2,400 labor-hours.

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Logistics Solutions provides order fulfillment services for dot.com merchants. The company maintains warehouses that stock items carried by its dot.com clients. When a client receives an order from a customer, the order is forwarded to Logistics Solutions, which pulls the item from storage, packs it, and ships it to the customer. The company uses a predetermined variable overhead rate based on direct labor-hours.

In the most recent month, 120,000 items were shipped to customers using 2,300 direct labor-hours. The company incurred a total of $7,360 in variable overhead costs.

According to the company’s standards, 0.02 direct labor-hours are required to fulfill an order for one item and the variable overhead rate is $3.25 per direct labor-hour.

Required:

What is the standard labor-hours allowed (SH) to ship 120,000 items to customers?

Internal control is concerned is only with enhancing the accuracy of the accounting records. Do you agree? explain.

What are the advantages of using subsidiary ledgers/

When are posting normally made to (1) the subsidairy ledgers and (2) the general ledger control accounts?

Decribe the relationship between a control account and asubsidiary ledger.

Identify the principles and limitations of internal control.

Caterpilla tractors buys wheels from wheels R Us in Oder to complete the manufacture of its tractors. The Mina brothers work for Caterpilla tractors. Sam works in the purchasing department while Peter works in the accounting department. The business is starting out and has a system in place such as that the purchasing department also receives the wheels when they are delivered to the business. Sam orders the wheels from his best friend’s business, Wheels R Us. The order fro the parts is processed through the accounting system by Sam, and Peter pays wheels R Us once notified by Sam that the wheels have been received.

Required: Identify which of the five principles of internal control you feel is lacking in the aforementioned scenario. (Note: It may not be possible to observe all the principles.)

Answers

No, I do not agree that internal control is only concerned with enhancing the accuracy of the accounting records. Internal control encompasses a broader scope of objectives, including safeguarding assets, ensuring compliance with laws and regulations, promoting operational efficiency, and providing reliable financial reporting.

Advantages of using subsidiary ledgers:

1. Detailed information: Subsidiary ledgers provide detailed information about individual accounts, such as customers or suppliers, that may have numerous transactions. This allows for better analysis and tracking of specific transactions.

2. Reduction in the general ledger size: By recording detailed transactions in subsidiary ledgers, the general ledger remains concise and manageable. etc

Posting is normally made to:

1. Subsidiary ledgers: Posting is made to subsidiary ledgers when individual transactions occur, such as sales to customers or purchases from suppliers. These transactions are recorded in the respective subsidiary ledgers, which serve as detailed records.

2. General ledger control accounts: Posting is made to the general ledger control accounts periodically, typically at the end of an accounting period. The general ledger control accounts summarize the total transactions from the subsidiary ledgers.

The relationship between a control account and a subsidiary ledger:

A control account is a summarized account in the general ledger that represents the total of related accounts in a subsidiary ledger. The control account ensures that the total of all individual subsidiary ledger balances matches the balance in the control account. It acts as a monitoring tool to detect any discrepancies or errors between the subsidiary ledger and the general ledger.

The principle of internal control lacking in the scenario is segregation of duties. Segregation of duties ensures that no single individual has complete control over a transaction from initiation to completion. In this case, Sam, who works in the purchasing department, is also involved in receiving the wheels and processing the payment.

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Monthly Credit Card Statement
Copy the table to a separate sheet and use formulas for the red cells to calculate the values, or on a separate piece of paper, write the four formulas, in order.

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To calculate the values in the red cells of the monthly credit card statement table, formulas can be used. These formulas will help automate the calculation process and provide accurate results.

To calculate the values in the red cells, the appropriate formulas need to be applied based on the desired calculations. For example, the formula for calculating the Total Purchases can be the sum of all the purchase amounts in the respective column. The formula for the New Balance can be the sum of the Previous Balance, Total Purchases, and any additional charges or fees, minus any payments made.

Similarly, formulas can be used for calculating other values such as Minimum Payment and Interest Charge. The specific formulas will depend on the calculations required and the information provided in the credit card statement table.

By using formulas, the calculations become automated, allowing for easy updating of values and reducing the chances of errors. Formulas can also be copied and applied to future credit card statements, providing consistent and accurate calculations.

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firms that can reduce pollution only at high cost will be willing to pay the most for the pollution permits.

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firms that can reduce pollution only at high cost are likely to be willing to pay the most for pollution permits.

In economics, pollution permits are a market-based approach to controlling pollution. These permits allow firms to emit a certain amount of pollutants into the environment. Firms that can reduce pollution only at high cost are likely to be willing to pay the most for pollution permits.

This is because these firms have limited options for reducing pollution and may find it more cost-effective to purchase permits instead of investing in expensive pollution control technologies. By purchasing permits, these firms can continue their operations while meeting regulatory requirements.

The price of pollution permits is determined by supply and demand in the market, with firms bidding for permits based on their willingness to pay. Firms that face high costs of reducing pollution are likely to have a higher willingness to pay for permits compared to firms that can easily reduce pollution at low cost.

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State and explain the economic principle associated with resource use. Question 10 Explain the tradegy of the commons

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The economic principle associated with resource use is the Tragedy of the Commons. It refers to a situation where shared resources are overused and depleted due to the self-interest of each individual.

The Tragedy of the Commons is an economic principle that highlights the challenges associated with the use and management of shared resources. It was first described by the ecologist Garrett Hardin in 1968. The principle illustrates a scenario where individuals, motivated by their own self-interest, exploit and deplete a commonly owned resource, leading to negative consequences for all.

The principle derives its name from the concept of the "commons," which refers to resources that are not owned privately but are available for communal use. Examples of commons include grazing lands, forests, fisheries, and clean air or water. The Tragedy of the Commons occurs when individuals act independently and rationally, seeking to maximize their own benefits without considering the long-term effects on the resource.

In this scenario, each individual has an incentive to exploit the resource as much as possible because they reap the full benefits of their actions. However, as more individuals engage in such behavior, the resource becomes overused and ultimately depleted. This results in a situation where everyone suffers the consequences, despite the initial intentions of maximizing individual gains.

The Tragedy of the Commons arises due to the absence of well-defined property rights and the failure to account for the negative externalities associated with resource depletion. Without clear ownership or regulation, individuals lack the incentives to conserve and sustainably manage the resource. Instead, they focus on short-term gains, leading to its degradation.

To address the Tragedy of the Commons, various solutions have been proposed. One approach is the establishment of property rights or regulations that allocate ownership or usage rights to individuals or groups. By assigning ownership, individuals have a stake in preserving the resource and are more likely to manage it responsibly. Another solution involves collective action and cooperation, where individuals work together to establish rules and agreements for the sustainable use of the resource.

Overall, the Tragedy of the Commons serves as a reminder of the importance of managing shared resources effectively, whether through property rights, regulations, or collaborative efforts, to ensure their long-term sustainability and avoid the detrimental consequences of overexploitation.


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