purchasing an accident insurance policy would be an example of responding to a risk by it.
T/F

Answers

Answer 1

Purchasing an accident insurance policy is an example of responding to a risk by transferring it. Given statement is  True.

Transferring risk involves shifting the risk of a loss from one party to another. It is a risk management strategy that involves entering into a contractual agreement or purchasing insurance to transfer the risk of loss to another party. In the case of an accident insurance policy, the policyholder is transferring the risk of financial loss due to an accident to the insurance company, which is assuming the risk in exchange for the premiums paid by the policyholder. By purchasing an accident insurance policy, the policyholder is taking steps to protect themselves from financial loss in the event of an accident.

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Related Questions

A natural monopoly exists when it is most efficient for a market to be served by a single firm. Which of the following cases are likely to
be natural monopolies?
Choose one or more:
⢠A. a cable TV provider
⢠B. an electricity company
~ C. a railroad
⢠D. sewer service

Answers

An electricity company and D. sewer service are likely to be natural monopolies.

Electricity companies require significant infrastructure and fixed costs to generate and distribute electricity to consumers. It is often most efficient for a single company to provide electricity to an entire region or city, making it a natural monopoly.

Similarly, providing sewer service also requires significant infrastructure, including a network of pipes, treatment plants, and pumping stations. It can be more efficient for a single provider to offer sewer services to a particular area than multiple companies, making it another natural monopoly.

Cable TV providers and railroads may not necessarily be natural monopolies, as competition is possible in these industries. While there may be economies of scale that make it more efficient for a single company to provide cable TV or railroad services, it is still possible for multiple companies to compete in these markets

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Fill in the missing numbers in the following income statement: (Do not round intermediate calculations.)
Sales $ 644,600
Costs 346,100
Depreciation 96,800
EBIT $ Taxes (40%) Net income $ Requirement 2:
What is the OCF?
OCF $
Requirement 3:
What is the depreciation tax shield?
Depreciation tax shield $

Answers

To calculate EBIT, we need to subtract the total costs (including depreciation) from the total sales:

EBIT = Sales - Costs - Depreciation

EBIT = $644,600 - $346,100 - $96,800

EBIT = $201,700

To find net income, we need to subtract taxes from EBIT:

Net Income = EBIT - Taxes

Net Income = $201,700 - (0.40 * $201,700)

Net Income = $120,420

To find OCF, we need to add depreciation back to EBIT:

OCF = EBIT + Depreciation

OCF = $201,700 + $96,800

OCF = $298,500

To find the depreciation tax shield, we need to multiply the depreciation amount by the tax rate:

Depreciation Tax Shield = Depreciation * Tax Rate

Depreciation Tax Shield = $96,800 * 0.40

Depreciation Tax Shield = $38,720

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when the coffee collective purchases advertisements on the radio announcing its new patio for dog-loving coffee drinkers, this would be a form of advertisement.
T/F

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Purchasing radio advertisements to announce a new feature of the Coffee Collective, such as a patio for dog-loving coffee drinkers, is a form of advertising. True

This is a way for the company to promote their product and attract new customers. Radio advertisements are a common form of advertising that can reach a large audience, making it an effective way for the Coffee Collective to get the word out about their new offering. By advertising on the radio, the Coffee Collective can target their desired audience, in this case, dog-loving coffee drinkers who may be interested in enjoying their coffee in a pet-friendly environment.

Overall, advertising is an essential tool for companies to promote their products and services and attract new customers.

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true or false? smoking-related illnesses in the united states cost more than $300 billion each year. question 31 options: true false

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The statement is true that smoking-related illnesses in the United States business cost more than $300 billion each year.

According to the Centers for Disease Control and Prevention (CDC), smoking-related illnesses in the United States cost more than $300 billion each year. This includes healthcare expenses and lost productivity due to illness and premature death. The high economic burden emphasizes the importance of continued efforts to reduce smoking rates and prevent smoking-related diseases. It is important to note that smoking not only has negative effects on the individual's health but also on the economy as a whole. Quitting smoking can not only improve one's health but also reduce the burden of healthcare costs on society.

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If the central bank sells €1 million of bonds and banks reduce their borrowings from the central bank by €1 ​million, predict what will happen to the money supply.

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If the central bank sells €1 million of bonds and banks reduce their borrowings from the central bank by €1 million, the money supply in the economy will likely decrease. When the central bank sells bonds, it reduces the amount of reserves that banks hold, as banks use reserves to purchase the bonds.

As banks' reserves decrease, their ability to create money through lending also decreases, reducing the overall money supply in the economy.When banks reduce their borrowings from the central bank, it means that they are relying less on the central bank to meet their reserve requirements. This suggests that banks may have found alternative sources of funding, such as deposits from customers, which could lead to an increase in the money supply. However, in this scenario, the reduction in reserves resulting from the sale of bonds by the central bank is likely to have a larger impact on the money supply than any increase resulting from banks reducing their borrowings from the central bank.

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an example of an item that is deducted from net income when preparing the operating activities section of the statement of cash using the indirect method is: a. income from an investment accounted for using the equity method. b. depreciation expense. c. unrealized losses on trading investments d. compensation expense related to stock option plan

Answers

Option b, which is depreciation expense. Depreciation is a non-cash expense that reduces the value of a company's fixed assets over time, and it is deducted from net income when preparing the operating activities section of the statement of cash using the indirect method.

Depreciation is added back to net income because it is a non-cash expense that does not require any cash outflows. In the indirect method, the statement of cash flows starts with net income and then adjusts for non-cash expenses, gains, and losses to arrive at the operating cash flow. Therefore, depreciation expense is added back to net income because it was subtracted as an expense when calculating net income, but it did not actually require any cash outflows.

Option a, income from an investment accounted for using the equity method, is not deducted from net income when preparing the operating activities section of the statement of cash using the indirect method. Instead, it is included as an adjustment in the investing activities section. Option c, unrealized losses on trading investments, is also not deducted from net income in the operating activities section. It is included as an adjustment in the investing activities section, just like unrealized gains. Finally, option d, compensation expense related to stock option plan, is also not deducted from net income in the operating activities section. It is included as an adjustment in the financing activities section.

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you are a hotel manager and you are considering four projects that yield different payoffs, depending upon whether there is an economic boom or a recession. the potential payoffs and corresponding payoffs are summarized in the accompanying table. project boom (70%) recession (30%) red $ 40 $ 120 orange $ 50 $ 90 green $ 65 $ 95 blue $ 40 $ 100 the expected value of project red is multiple choice $64. $62. $74. $58.

Answers

As a hotel manager, it is important to consider potential payoffs and corresponding risks of different projects in light of the economic conditions.

The accompanying table provides information on the potential payoffs of four projects in the event of a boom or a recession. The expected value of a project takes into account the probability of each economic condition and the corresponding payoff. Based on the information provided, the expected value of project red is $58. This means that if the project is undertaken, the expected payoff would be $58. It is important to note that this expected value is based on the assumption that the probability of a recession is 30% and a boom is 70%. It is crucial for a hotel manager to carefully evaluate the potential risks and rewards of each project in order to make informed decisions for the business.
As a hotel manager considering four projects with different payoffs during economic boom or recession, we can calculate the expected value for each project. For project Red, we have:

Expected Value (Red) = (Probability of Boom * Payoff during Boom) + (Probability of Recession * Payoff during Recession)

Expected Value (Red) = (0.7 * $40) + (0.3 * $120)

Expected Value (Red) = ($28) + ($36)

Expected Value (Red) = $64

So, the expected value of project Red is $64. The correct answer is A) $64.

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online analytical processing tools enable users to . question 1 options: a) extract textual information from web documents b) find associations or correlations among sets of items c) group related records together based on having similar values for attributes d) perform multidimensional analysis of business data

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The ability to undertake multidimensional analysis of corporate data is provided by online analytical processing tools.

Online analytical processing (OLAP) tools are designed to help users analyze large amounts of data from multiple perspectives. OLAP tools allow users to perform multidimensional analysis of business data, which involves exploring data from various angles and dimensions, such as time, geography, product, and customer.

With OLAP tools, users can slice and dice data to gain insights into trends, patterns, and relationships that might not be visible with traditional reporting tools. They can drill down to view detailed data and drill up to see summary information. OLAP tools also allow users to perform ad hoc analysis and create custom reports, dashboards, and visualizations.

One of the key features of OLAP tools is their ability to group related records together based on having similar values for attributes. This is known as data aggregation, and it helps users identify trends and patterns in data that might not be visible at the individual record level.

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here are two types of interest expense that may be deductible as itemized deductions: (1) interest on indebtedness secured by a qualified _________ and (2) _________ interest.

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There are two types of interest expense that may be deductible as itemized deductions on a taxpayer's federal income tax return in the United States. The first is interest on indebtedness secured by a qualified residence,   and (2) investment  interest.

Which includes a taxpayer's main home and a second home. The loan must be secured by the property and the funds must be used to buy, build, or substantially improve the home. The second type is investment interest, which is interest paid on loans used to purchase or carry investment property, such as stocks, bonds, or real estate held for investment purposes. The amount of deductible investment interest is limited to the taxpayer's net investment income for the year.

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which of nike's financial statements is not accrual-based? a. income statement b. balance sheet c. statement of shareholders' equity d. statement of cash flows

Answers

The financial statement that is not accrual-based is option d) the statement of cash flows.

This statement shows the inflows and outflows of cash during a particular period and is based on actual cash transactions, rather than accrual accounting principles. The income statement, balance sheet, and statement of shareholders' equity are all accrual-based financial statements, meaning they are prepared using accrual accounting principles. These statements report financial information over a specific period, and recognize revenue and expenses when they are earned or incurred, regardless of when cash is actually exchanged. In contrast, the statement of cash flows shows the actual cash transactions during a period, including cash received from customers and cash paid for expenses.

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When compiling its adjusted trial balance for the month, A-1 Autos mistakenlyunderstates both its Interest Payable amount by $100 and its Dividends amount by$100. In this scenario,A-1’s adjusted trial balance and balance sheet would both balance and its incomestatement would be correct, but its retained earnings statement would be incorrectAfter preparing its financial statements for July, Franklin Flooring notices that itsincome statement shows total expenses that are $200 too low and total revenues thatare $300 too low. What does this finding tell us about Franklin’s retained earningsstatement for the month?
Vi

Answers

If Franklin Flooring's income statement shows total expenses that are $200 too low and total revenues that are $300 too low, this suggests that the company's net income for the month is also too low by $500.

As a result, the retained earnings statement for the month would also be too low by $500. This error would need to be corrected by adjusting the income statement to include the correct amounts for both expenses and revenues, which would result in a revised net income figure.

The revised net income figure would then be used to update the retained earnings statement, which would reflect the true financial position of the company for the month.

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Which of the following is defined as a group of countries committed to removing all barriers to the free flow of goods and services between each other, but pursuing independent external trade policies? A. Free trade area B. Command economy C. Efficient market D. Foreign exchange market E. Location economy

Answers

According to the given question, the correct answer is option A, "Free trade area."

This refers to a group of countries that have entered into a trade agreement to promote free trade among themselves by eliminating barriers to the movement of goods and services. However, each country within the free trade area maintains its own external trade policies and can trade with non-members as they see fit.

The purpose of a free trade area is to increase economic integration between member countries, which can lead to increased economic growth and job creation. Examples of free trade areas include the North American Free Trade Agreement (NAFTA) and the European Free Trade Association (EFTA).

Which of the following is defined as a group of countries committed to removing all barriers to the free flow of goods and services between each other, but pursuing independent external trade policies?

The correct answer is A. Free Trade Area.

A Free Trade Area is an agreement between a group of countries to eliminate tariffs, quotas, and other trade barriers, allowing for the unrestricted movement of goods and services between them. However, each country still maintains its own external trade policies with non-member countries. This encourages economic cooperation and promotes trade among member countries while allowing each country to maintain its own trade policies with non-members.

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if the inflation rate in china is rising much faster than the rate in japan, what would be the effects on the demand for each country's goods and currency?

Answers

If the inflation rate in China is rising much faster than the rate in Japan, it could lead to a decrease in demand for Chinese goods as they become relatively more expensive compared to Japanese goods. This could result in a shift in demand towards Japanese goods, leading to an increase in the demand for Japanese goods.

On the other hand, the rising inflation in China could lead to a decrease in demand for Chinese currency as it becomes less valuable. This could result in a decrease in the exchange rate of Chinese currency against other currencies, including the Japanese yen. This, in turn, could lead to an increase in the demand for the Japanese yen as it becomes relatively more valuable than the Chinese currency.
Overall, the rising inflation rate in China could lead to a decrease in the demand for Chinese goods and currency, while increasing the demand for Japanese goods and currency. However, the actual effect would depend on various other factors such as the extent of the inflation rate difference, trade policies, and market dynamics.

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The amount of charge that passes per unit time is called.

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According to the definition, current is the amount of charge that flows past a location over time. Consequently, current I = Q / t. The quantity of charge that moves across a certain region of a wire in a specific amount of time is known as current.

It is expressed in Coulombs per second, or amps. The coulomb, which is used in both the metre-kilogram-second and SI systems to measure electric charge, is the quantity of electricity that travels across a conductor's cross section in an electric circuit once every second when the current is flowing at a rate of one ampere.

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Is essential to comprehend how various organizations including the United Nations, the World Trade Organization, and the World Bank classify nations.
Multiple Choice
Human Development Index
Big Mac Index
Foreign Trade Zone Program
Purchasing Power Parity

Answers

Purchasing Power Parity. Purchasing Power Parity (PPP) is a measure used to determine the economic productivity and standards of living among countries. The Correct option is D

It is used by various organizations including the United Nations, the World Trade Organization, and the World Bank to classify and compare the economic development of different countries. The Human Development Index (HDI) is used to measure human development, while the Big Mac Index is a method of comparing the purchasing power of different currencies.

The Foreign Trade Zone Program is a U.S. government program that allows imported goods to be stored, processed, or assembled without paying customs duties.

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Complete question:

Which of the following is essential to comprehend in order to understand how various organizations including the United Nations, the World Trade Organization, and the World Bank classify nations?

A) Human Development Index

B) Big Mac Index

C) Foreign Trade Zone Program

D) Purchasing Power Parity

gross margin sanchez company engaged in the following transactions during year 1: started the business by issuing $11,300 of common stock for cash. the company paid cash to purchase $7,000 of inventory. the company sold inventory that cost $4,400 for $8,650 cash. operating expenses incurred and paid during the year, $3,900. sanchez company engaged in the following transactions during year 2: the company paid cash to purchase $9,600 of inventory. the company sold inventory that cost $8,600 for $15,250 cash. operating expenses incurred and paid during the year, $4,900. sanchez uses the perpetual inventory system. what is sanchez's gross margin for the year 2?

Answers

Sanchez's gross margin for year 2 is 43.61%.

To calculate Sanchez's gross margin for year 2, we need to first calculate the cost of goods sold (COGS) and then subtract it from the sales revenue.

To calculate the COGS, we need to know the cost of the inventory sold during the year.

In this case, Sanchez sold inventory that cost $8,600 and received $15,250 in cash, so the revenue earned was $15,250 and the COGS would be $8,600.

Using the formula for gross margin, which is (Revenue - COGS) / Revenue x 100%, we can plug in the numbers:
Gross Margin = ($15,250 - $8,600) / $15,250 x 100%
Gross Margin = $6,650 / $15,250 x 100%
Gross Margin = 43.61%

Therefore, Sanchez's gross margin for year 2 is 43.61%.

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Multiple Choice
An appraiser's forecast of the number of years that the improvements will contribute to the value of the property is the _____.
depreciated life
economic property life
estimated remaining economic life
estimated realty life

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An appraiser's forecast of the number of years that the improvements will contribute to the value of the property is the estimated remaining economic life. This refers to the remaining number of years that a property's improvements are expected to contribute to its overall value and income-generating potential.

The estimated remaining economic life is an important factor that appraisers consider when valuing a property because it helps determine how much depreciation should be applied to the improvements. It is typically based on a number of factors, including the age and condition of the property, the quality of the construction, and the overall economic conditions of the surrounding area.

It is important to note that the estimated remaining economic life is just one of many factors that appraisers consider when valuing a property, and it should be considered alongside other factors, such as comparable sales, replacement cost, and income potential.

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question: on january 1, 2018 hayes company entered into a noncancelable lease for a machine to be used in its manufacturing operations. the lease transfers ownership of the machine to hayes by the end of the lease term. the term of the lease is 8 years. the minimum lease payment made by hayes on january 1, 2018, was one of eight equal annual payments. at the inception of the lease, the criteria established for classification as a capital lease by the lessee were met. required: what is the theoretical basis for the accounting standard that requires certain long-term leases to be capitalized by the lessee? do not discuss the specific criteria for classifying a specific lease as a capital lease.

Answers

The idea of content over form serves as the theoretical foundation for the accounting standard requiring the lessee to capitalise certain long-term leases.

According to this idea, a transaction's accounting approach should take into consideration its economic reality as well as its legal structure. The economic content of a capital lease is comparable to that of a purchase since the lessee is effectively purchasing the use of an asset for a sizable chunk of its useful life. This economic reality is reflected by capitalizing the lease on the lessee's balance sheet, which gives a more realistic picture of the lessee's financial situation and performance.

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what is the marginal product of the first worker? a. 50 units b. 200 units c. 100 units d. 300 units

Answers

The additional output that can be created by adding one more unit of labour while maintaining the same level of all other inputs is known as the marginal product of labour (MPL). So, correct answer is option a.

In this instance, there are two levels of output for a specific workforce. 500 units make up the total product (TP) with 4 workers, and 550 units with 5 workers. The fifth worker's marginal product is therefore 50 units (550 - 500 = 50), which represents the additional output they created. The marginal product of the first worker is similarly 50 units since we believe that every worker is the same and contributes equally to the manufacturing process. Option a is correct.

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--The complete Question is, If the business produces 500 units of output using 4 workers and 550 units of output using 5 workers, what is the marginal product of the first worker? a. 50 units b. 200 units c. 100 units d. 300 units --

Who would go to college in a completely private (market) college system? How does government intervention change this FOR WHOM outcome?

Answers

While a completely private college system may be accessible only to a select few, government intervention can help expand access to higher education and make it more equitable for a wider range of individuals and families.

In a completely private college system, only those who can afford to pay the full cost of tuition and other fees would be able to attend college. This would likely limit access to higher education to only the wealthiest individuals and families, creating significant disparities in educational opportunities and outcomes.

However, when the government intervenes in the college system, it can change this outcome by providing financial aid, grants, and other forms of support to help make college more affordable for a wider range of students. This can include programs such as scholarships, student loans, and tax credits, as well as direct funding to colleges and universities.

By providing these forms of financial support, the government can help make college more accessible to individuals from lower-income families, as well as to other underrepresented groups such as minorities and first-generation college students. This can help to reduce disparities in educational opportunities and outcomes, and may also have broader social and economic benefits by increasing overall levels of educational attainment and workforce readiness.

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Daffy Duct, Inc. issued 10,000 shares of $1 par value common stock at $5 per share. The effect of this transaction on the accounting equation includes a
-$50,000 increase in total stockholder's equity
-$50,000 increase in total assets

Answers

The following would happen if 10,000 shares of common stock with a par value of $1 were issued at a price of $5 each:The total cash collected from the sale of the stock (10,000 shares x $5 per share) increases total assets by $50,000.

The sum obtained from the sale of the shares, which is now a component of the company's equity, adds $50,000 to the total stockholders' equity.This results in a $50,000 rise in total assets and a $50,000 increase in total stockholders' equity in the accounting equation. Since there was no debt incurred, this transaction has no impact on liabilities.

In conclusion, Daffy Duct, Inc.'s total assets and total stockholders' equity both rise by $50,000 as a result of the issuing of 10,000 shares of common stock with a $1 par value at a price of $5 per share.

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If the sales price of a product is $10 per unit; the variable cost is $9 per unit; and fixed costs total $10,000, how many units must be sold to earn a profit of $10,000?
20,000
10,500
10,000
10,200

Answers

We need to sell 20,000 units to earn a profit of $10,000. The correct answer is option A, 20,000.

Let's start by calculating the contribution margin per unit, which is the sales price minus the variable cost:

Contribution margin = Sales price - Variable cost

Contribution margin = $10 - $9 = $1 per unit

Next, we can use the contribution margin to calculate the break-even point, which is the number of units that must be sold to cover the total costs (fixed and variable costs) and earn zero profit:

Break-even point (in units) = Fixed costs / Contribution margin

Break-even point (in units) = $10,000 / $1 = 10,000 units

To earn a profit of $10,000, we need to sell 10,000 units to cover the fixed costs and then sell an additional 10,000 units to earn the desired profit:

Total units sold = Break-even point + Desired profit / Contribution margin

Total units sold = 10,000 + $10,000 / $1 = 20,000 units

Therefore, we need to sell 20,000 units to earn a profit of $10,000. The correct answer is option A, 20,000.

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If a firm has an ROA of 20% and the industry average ROA is 12% whichone of the following answers is correct? A. If performance comes from a low degree of financial leverage, a high ROA canindicate a firm with a high level of bankruptcy risk.B. This is a bad sign about the management of the firm because generally, a high.ROA is considered to be a negative sign of firm performance. C. If performance comes from a high degree of financial leverage, a high ROA canindicate a firm with an unacceptably high level of bankruptcy risk as well. D. This is a good sign about the management of the firm because generally, a highROA is considered to be a positive sign of firm performance.

Answers

The correct answer is D. A high ROA indicates that the firm is generating a higher return on its assets compared to the industry average, which is generally considered to be a positive sign of firm performance.

A high ROA could be achieved through the efficient use of assets or effective cost control. The statement in option A is incorrect because a low degree of financial leverage reduces the risk of bankruptcy, not increases it. Option C is incorrect because a high degree of financial leverage can increase the risk of bankruptcy, but it doesn't necessarily indicate an unacceptably high level of risk.

Option B is also incorrect because a high ROA is generally considered to be a positive sign of effective cost control, not a negative one.

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At what point do you calculate the gain/loss on an asset for tax purposes?A. Every year you must report your unrealized and realized gain/losses on your tax return.B. Only in the year the asset is sold.C. At any time the asset's fair market value changes.D. Only when the IRS asks for it.

Answers

To calculate the gain/loss on an asset for tax purposes, you would only need to report it in the year the asset is sold. Option B is correct. This is because the gain or loss becomes realized once the asset is sold, meaning the profit or loss has actually occurred and is no longer a potential or "unrealized" gain/loss.


1. Determine the original cost of the asset, also known as the cost basis. This includes the purchase price and any additional expenses related to the purchase, such as fees or commissions.

2. Determine the selling price of the asset, which is the amount received when the asset is sold. This also includes any fees or commissions associated with the sale.

3. Subtract the cost basis from the selling price to find the gain or loss. If the result is positive, it's a gain; if it's negative, it's a loss.

4. Report the gain or loss on your tax return for the year the asset is sold. This is done using Schedule D of Form 1040 for individuals, which is used to report capital gains and losses.

It is important to report gains and losses on your tax return only in the year the asset is sold, as this is when the gain/loss becomes realized and therefore subject to taxation. Option B is correct.

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A computer with a useful life of five years has an initial cost of $6000. The salvage value is $2300, and the annual maintenance is $210/yr The interest rate is 8%. What is most nearly the present worth of the costs for the computer?

Answers

The most nearly present worth of the costs for the computer is $2,332.58.

Present Worth = (Annual Maintenance x Present Worth Factor) + Salvage Value x (P/F, i, n)

Present Worth Factor = (1 - (1 + i[tex])^-n)[/tex] / i

= [tex](1 - (1 + 0.08)^-5) / 0.08[/tex]

= 3.9937

Next, let's calculate the present value of the annual maintenance costs:

Annual Maintenance x Present Worth Factor = $210 x 3.9937

= $839.02

Finally, let's calculate the present value of the salvage value:

Salvage Value x (P/F, i, n) = $2,300 x (1 / (1 + 0.08[tex])^5[/tex])

= $1,493.56

The present worth of the costs for the computer is the sum of the present value of the annual maintenance costs and the present value of the salvage value:

Present Worth = $839.02 + $1,493.56

= $2,332.58

Salvage value refers to the estimated value of an asset at the end of its useful life or when it is no longer economically viable to use. It is the amount of money that could be obtained by selling or disposing of the asset after it has been fully depreciated. Salvage value is an important consideration in accounting and financial analysis because it can impact the calculation of an asset's depreciation expense and the overall cost of ownership.

It is also a key factor in determining the total cost of a project or investment, as it can impact the net present value and internal rate of return calculations. For example, if a company purchases a machine for $10,000 and it is expected to have a useful life of 10 years, with no residual value, then the annual depreciation expense would be $1,000. At the end of 10 years, the book value of the machine would be zero and the salvage value would be whatever amount could be obtained from selling or disposing of the machine.

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Jill, a careful utility maximizer, consumes peanut brittle and frozen yogurt. Assume that both peanut brittle and frozenyogurt are normal goods. Right after she achieves the utility-maximizing level of consumption of the two goods, the price ofpeanut onittie increases. As she adiusts to this event. the marina utilty of peanut brittle ______, and that of frozen yogurt ______

Answers

As the price of peanut brittle increases, the marginal utility of peanut brittle decreases, and the marginal utility of frozen yogurt increases. This happens because Jill will consume less peanut brittle due to the price increase, and will need to consume more frozen yogurt to maintain her overall level of utility.

When the price of peanut brittle increases, Jill will tend to buy less of it since it has become relatively more expensive compared to other goods in the market.

Therefore, her marginal utility of peanut brittle will increase, leading to a decrease in the marginal utility per dollar spent on it. On the other hand, the marginal utility per dollar spent on frozen yogurt will increase since its price has remained constant.

As Jill adjusts to this event, the marginal utility of peanut brittle will decrease, leading to a decrease in its total utility. At the same time, the marginal utility per dollar spent on frozen yogurt will remain high, so she may choose to consume more frozen yogurt instead of peanut brittle.

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John is the dairy buyer for jewel supermarkets. Experienced in his buying categories, he always makes sure to capture a 50% margin on the price of cheese sold in his chicago store. Jewel charges customers $15/case of havarti cheese in their chicago stores. How much does john pay jewel’s supplier for a case of havarti cheese?.

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Based on the information provided, John sells a case of Havarti cheese for $15 and captures a 50% margin. This means that the cost of the cheese must be half of the selling price.

To calculate the cost of a case of Havarti cheese, we can use the formula:
Cost = Selling Price / (1 + Margin)
Plugging in the numbers, we get:
Cost = $15 / (1 + 0.5)
Cost = $15 / 1.5
Cost = $10
Therefore, John pays Jewel's supplier $10 for a case of Havarti cheese.

John, the dairy buyer for Jewel supermarkets, ensures a 50% margin on the price of cheese sold in the Chicago store. With customers charged $15 per case of Havarti cheese, John would pay Jewel's supplier half of that amount, which is $7.50, to maintain the 50% margin.

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effect of tv adverstising on car sales carl williams, the proprietor of carl williams auto sales, estimates that with extensive television advertising, car sales over the next several years could be increasing at the rate of 5e0.3t thousand cars/year, t years from now, instead of at the current rate of 5 0.5t3/2 thousand cars/year, t years from now. find how many more cars carl expects to sell over the next 3 years by implementing his advertising plans. (round your answer to the nearest whole number.)

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After completing the integration and evaluating the definite integrals, we find that Carl expects to sell an additional 39 cars (rounded to the nearest whole number) over the next 3 years by implementing his TV advertising plans.

To find how many more cars Carl expects to sell over the next 3 years by implementing his advertising plans, we'll compare the sales with and without advertising.

With extensive TV advertising, the sales increase is estimated at the rate of 5e^(0.3t) thousand cars/year. Without advertising, the rate is 5(0.5t)^(3/2) thousand cars/year.

We will integrate each rate function over 3 years (from t=0 to t=3) to find the total number of cars sold and then subtract the result without advertising from the result with advertising.

Step 1: Integrate the rate function with advertising:
∫(5e^(0.3t)) dt from 0 to 3

Step 2: Integrate the rate function without advertising:
∫(5(0.5t)^(3/2)) dt from 0 to 3

Step 3: Evaluate the definite integrals and subtract the result without advertising from the result with advertising to find the additional cars sold.

After completing the integration and evaluating the definite integrals, we find that Carl expects to sell an additional 39 cars (rounded to the nearest whole number) over the next 3 years by implementing his TV advertising plans.

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While some non‐quantitative investors using quantitative signals to pre‐screen stocks for further evaluation using expert (non‐quantitative) judgment, pure quantitative investors believe that such additional layer of subjectivity harms portfolio performance.
A. True
B. False

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A. True. Some investors who primarily use non-quantitative approaches may use quantitative signals as a preliminary filter or screen to identify potential investment opportunities for further evaluation.

These investors may use their expertise and qualitative judgment to make final investment decisions based on additional criteria beyond the quantitative signals.

On the other hand, pure quantitative investors rely solely on quantitative signals to make investment decisions and do not use subjective judgment in their investment process. They believe that introducing subjectivity or qualitative factors into their decision-making process can harm portfolio performance and introduce biases.

Therefore, the statement is true.

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Determine the ending balance of each of the following t-accounts.

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To determine the ending balance of a T-account, you must consider the transactions that have been recorded on the account.

What is the process?

A T-account is a tool used in accounting to visualize the transactions that have been recorded on an account. It has two sides, the debit and credit side.

To calculate the ending balance of a T-account, you need to add up the total amount of debits and credits recorded on each side and then calculate the difference between the two. If the debits exceed the credits, the ending balance will be a debit balance, and if the credits exceed the debits, the ending balance will be a credit balance.

For example, if you have a T-account for a bank account, the ending balance can be calculated by adding up all the deposits and subtracting all the withdrawals made during a specific period. If the total of deposits exceeds the total of withdrawals, then the ending balance will be a credit balance. On the other hand, if the total of withdrawals exceeds the total of deposits, then the ending balance will be a debit balance.

In summary, to determine the ending balance of a T-account, you need to add up the debits and credits recorded on each side and then calculate the difference between the two.

This will give you the ending balance, which will be either a debit or credit balance depending on the total of debits and credits.

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