TRUE/FALSE when using a cost-based price, the denominator in the calculation always includes the costs included in the base plus the desired profit.

Answers

Answer 1

when using a cost-based price, the denominator in the calculation always includes the costs included in the base plus the desired profit- True

cost-based price

A pricing range is frequently determined by a corporation, including floor and ceiling prices. These are the lowest and highest prices that a vendor would accept for a product or service. The seller then chooses the ultimate selling price based on the market circumstances. Cost-based pricing assists a company in determining the floor price. The following are the advantages or benefits of this pricing method: This strategy assures that a corporation is constantly profitable. However, for this to occur, the mark-up must be adequate to cover all expenditures. Furthermore, sales must meet or exceed objectives.

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Related Questions

Each of the statements below are true about the F-test of the model and t-tests of the variables except for which one of the following:
the F-test is not equivalent to the t-test because there's more than one independent variable
t-tests are not needed unless the model tests significant
if the model tests significant, multicollinearity could still cause all the variables to test insignificant
if at least one variable tests significant by t-test, the model must also test significant
all of these are true statements

Answers

The incorrect statement about the F-test of the model and T-tests of the variables is if at least one variable tests significant by T-test, the model must also test significant.

Thus, the correct option is D.

What are the differences between F-test and the T-test?

The T-test is а univаriаte hypothesis test, thаt is аpplied when stаndаrd deviаtion is not known аnd the sаmple size is smаll. The F-test is a stаtisticаl test, thаt determines the equаlity of the vаriаnces of the two normаl populаtions. But T-test аnd F-test аre bаsed on identicаl аssumptions.

Thus, the differences between the F-test and the T-test are

The T-test is used for compаrison between two groups whereаs The F-test is used for compаrison between more thаn two groups. А T-test used to compаre the meаns of two populаtion In contrаst,  a F-test used to compаre two populаtion vаrieаnces.While the T-test is used for compаrison between two groups, the F-test is used to test the significance of multiple vаriаbles аt once.

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Each of the following possible selection is a pair of things that are either positively correlated, negatively correlated, or uncorrelated. For example, hot days and ice cream sales on those flays are positively correlated. Select all pairs of things that are positively correlated. Hot days and ice cream sales on those days A company's stock price and its market cap (assuming the number of shares outstanding is fixed) Two stocks in a well-diversified portfolio How long your hair is, and the temperature in Wuxi, China The number of absences you have in a class, and your grade Risk and return Dividend yield and stock price The speed you drive your car from point
A
to point
B
, and the time it takes you to get there

Answers

The potent correlation can be accounted for by: Typically, people will drink soda with their meal and ice cream for dessert.

Correlation, a statistical metric, expresses how linearly tightly two variables are associated (meaning they change together at a constant rate). It's a common strategy for presenting clear relationships without mentioning cause and effect clearly. How closely two variables are related to one another in a single figure can be determined using the correlation coefficient. Correlation analysis makes it easier to understand economic behavior and identify the key variables that other factors depend on. he connection between two elements is positive (population and income). Things that are negatively correlated (amount of income earned and amount of income tax paid). Because taxes are always paid more when income or earnings are higher, earned income and tax payments are an example of two elements that are adversely related.

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Which of these employees are involved with a primary activity at their company?
Michael assembles automobiles at the plant, John is responsible for all marketing activities, and Carol is a customer service representative

Answers

Operating, Investing, and Financing are the three areas into which business activities can be separated.

What do you mean by financing?

Finance is the process of obtaining funds or capital for any kind of expenditure. Allocating various financial resources, such as credit, loans, and invested capital, to the parts of the economy that stand to gain the most from them is the process of financial resource allocation.

Which kind of financing are available?

There are two main categories of external financing: debt financing and equity financing. Equity financing is the provision of funds in exchange for a portion of ownership and potential future earnings.

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Only a firm with __________ at producing a particular good will be able to produce that good profitably.

Answers

Only a firm with a comparative advantage at producing a particular good will be able to produce that good profitably.

Give a brief about profit.

The money a firm keeps after deducting all costs is known as profit. The main objective of every business, whether it be a little lemonade stand or a publicly listed multinational corporation, is to make money. As a result, a firm's success is measured by its profitability in all of its forms.

Profitability before taxes and other expenditures is more appealing to certain analysts than top-line profitability is to others. Others are only interested in profitability until all costs have been covered.

The income statement includes all three of the principal categories of profit: gross profit, operational profit, and net profit. When compared to rivals and historical data, each profit kind provides analysts with additional information about a company's performance.

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e exportation of large quantities of a product at a price lower than that of the same product in the home mark

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The exportation of big portions of a product at a rate decrease than that of the identical product withinside the domestic mark. dumping.

The required details about Dumping is mentioned in below paragraph.

Dumping is a time period used withinside the context of global trade. It's while a rustic or company exports a product at a rate this is decrease withinside the overseas uploading marketplace than the rate withinside the exporter's home marketplace. Because dumping typically includes considerable export volumes of a product, it regularly endangers the economic viability of the product's producer or manufacturer withinside the uploading nation.

Dumping is taken into consideration a shape of rate discrimination. It happens while a producer lowers the rate of an object getting into a overseas marketplace to a stage this is much less than the rate paid through home clients withinside the originating country. The practice is taken into consideration intentional with the intention of acquiring a aggressive advantage in the uploading marketplace.

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during the production of polymer powder, the powder forms into:

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During the production of polymer powders, the powder forms into small round beads. These tiny beads are formed during the production of polymer powders.

Production is a process carried out to create or add value to goods or services. If added value is carried out without changing the form of the product, then it is referred to as the production of services such as counseling services, tutoring services, financial consulting services, and so on. While the addition of value in use followed by a change in the form of the product is called the production of goods. Examples of goods production are as follows: building houses, making shoes, cooking rice, and so on. Thus, production has two main values. The first is to create value for goods or services. Second, add value to goods or services.

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use the available data to develop inventory policies (order quantities and reorder points) for the fb378 and gs131. assume the holding cost is 20% of unit price.

Answers

The Reorder Point of FB 378 and GS 131 is 132.71 units and 336.13 units respectively

What is Economic order quantity?

Economic order quantity (EOQ) refers to the optimal number of units that a business should buy to satisfy demand while reducing inventory costs including holding costs, shortage costs, and order costs. Ford W. Harris created this production-scheduling model in 1913, and it has undergone numerous revisions since then. Demand, ordering, and holding costs are all considered constant in the economic order quantity calculation. The Economic order quantity formula functions best when demand, ordering, and holding costs are stable across time.

The Economic order quantity has a number of significant drawbacks, one of which is the assumption that customer demand for the company's goods will remain stable over time.

Firstly we need to calculate the Economic Order Quantity (EOQ)

Economic Order Quantity = √ 2× Demand × Setup Cost / Holding Cost

For FB378

Economic Order Quantity = √ 2× (36.85 × 52) × ($35) / ($5 ×0.20) = 366.22 unis

For GS131

Economic Order Quantity = √ 2× (47.69 × 52) × ($15) / ($10.75 ×0.20) = 186.1 unis

Now, calculate Reorder Point using the given formula

Reorder Point = Weekly Demand × Lead Time + z × Standard Deviation of Weekly Demand √Lead Time

For FB378

Reorder Point = 36.85 × 3 + 1.65 × 7.76 √3 = 132.71 units

For GS131

Reorder Point = 47.69 × 6 + 1.65 × 12.37 √6 = 336.13 units

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Question:

Use the available data(in the image) to develop inventory policies (order quantities and reorder points) for FB 378 and GS 131. assume the holding cost is 20% of the unit price. Find Reorder Point for FB 378 and GS 131.

Consider demand curve DFlat When the price is raised from P1 to P2, the price elasticity of demand computed using the endpoint method is: Consider demand curve DSteep When the price is raised from P1 to P2, the price elasticity of demand computed using the endpoint method is: D-Flat is elastic and D-Steep in inelastic D-Flat and D-Steep are both elastic. D-Flat and D-Steep are both inelastic. There is a bigger change in quantity to a change in price on D-Flat An increase in price will cause a decreae in total revnue/Expenditure when demand is inelastic. An increase in price will cause an increase in Total Revenue/Expenditre on D- Flat and a decrease on D-Steep.

Answers

1. Price elasticity of demand D-Flat:

D-Flat = - [tex]\frac{Q_{1} - Q_{0} }{P_{1}-P_{0} }[/tex] x [tex]\frac{P_{0} }{Q_{0} }[/tex]

Q₁ = 50

Q₀ = 100

P₁ = 12

P₀ = 10

D-Flat = - [tex]\frac{50-100}{12-10}[/tex] x [tex]\frac{10}{100}[/tex]

D-Flat = - [tex]\frac{-50}{2}[/tex]x [tex]\frac{10}{100}[/tex]

D-Flat = [tex]\frac{500}{200}[/tex]

D-Flat = 2.5

The price elasticity of demand can be calculated using a formula that yields an elasticity coefficient or by using the total revenue method. The formula is the percentage change in quantity divided by the percentage change in price of a product.

2. Price in elasticity of demand D-Steep:

D-Steep = - [tex]\frac{90-100}{12-10}[/tex]x [tex]\frac{10}{100}[/tex]

D-Steep = - [tex]\frac{-10}{2}[/tex]x [tex]\frac{10}{100}[/tex]

D-Steep = [tex]\frac{100}{200}[/tex]

D-Steep = 0.5

D-Flat is elastic and D-Steep is inelastic. There is a bigger change in quantity to a change in price on D-Flat.

According to the total revenue method, demand is elastic when price and total revenue move in opposite directions. Demand is inelastic if price and total revenue move in the same direction. If a change in price has no effect on total revenue, then demand is unit elastic.

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Believers in efficient markets tend to explain away market anomalies as
I. random occurrences that create an illusion of causality.
II. errors resulting from inaccurate measures of risk.
III. the result of illegal price manipulation by corporate insiders.
IV. the effect of normal human emotions such as fear and greed.
A. ​I, II and III only
B. I and II only
C. I and III only
D. I, II, III and IV

Answers

Believers in green markets have a tendency to give an explanation for away marketplace anomalies as :The solution is B . I and II only.

The required details for market anomaly in given paragraph

A marketplace anomaly in a economic marketplace is predictability that appears to be inconsistent with  theories of asset prices. Standard theories encompass the capital asset pricing version and the Fama-French Three Factor Model, however a loss of settlement amongst lecturers approximately the right idea leads many to consult anomalies with out a connection with a benchmark idea. Indeed, many lecturers without a doubt check with anomalies as "go back predictors", warding off the trouble of defining a benchmark idea. Academics have documented greater than a hundred and fifty go back predictors. These "anomalies", however, include many caveats. Almost all documented anomalies attention on illiquid, small stocks. Moreover, the research do now no longer account for buying and selling costs. As a result, many anomalies do now no longer provide earnings, no matter the presence of predictability. Additionally, go back predictability declines extensively after the book of a predictor, and as a result might not provide earnings within side the future.

Finally, go back predictability can be because of cross-sectional or time-version in risk, and as a result does now no longer always offer an awesome funding opportunity.

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Believers in green markets have a tendency to give an explanation for away marketplace anomalies as :The solution is B . I and II only.

The required details for market anomaly in given paragraph

A marketplace anomaly in a economic marketplace is predictability that appears to be inconsistent with  theories of asset prices. Standard theories encompass the capital asset pricing version and the Fama-French Three Factor Model, however a loss of settlement amongst lecturers approximately the right idea leads many to consult anomalies with out a connection with a benchmark idea. Indeed, many lecturers without a doubt check with anomalies as "go back predictors", warding off the trouble of defining a benchmark idea. Academics have documented greater than a hundred and fifty go back predictors. These "anomalies", however, include many caveats. Almost all documented anomalies attention on illiquid, small stocks. Moreover, the research do now no longer account for buying and selling costs. As a result, many anomalies do now no longer provide earnings, no matter the presence of predictability. Additionally, go back predictability declines extensively after the book of a predictor, and as a result might not provide earnings within side the future.

Finally, go back predictability can be because of cross-sectional or time-version in risk, and as a result does now no longer always offer an awesome funding opportunity.

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Pat Lavoie bought a home for $180,000 with a down payment of $10,000. Her rate of interest is 6% for 30 years. (Use Table 15.1.)
a. Calculate her monthly payment.
b. Calculate her first payment, broken down into interest and principal.
c. Calculate her balance of mortgage at the end of the month.

Answers

a) Calculate her monthly payment

Answer) $ 1,019.24

Working:

Loan taken = $180,000 - $10,000 = $170,000

We use the PMT function in excel to compute the Monthly payment amount

=PMT(rate, nper, PV, FV)

Here,

Rate = 6%/12 = 0.50%

Nper, period = 30 years*12 = 360

PV, present value = $170,000

FV, future value = $0

We type the following

=PMT(0.50%,360,-170000,0)

And the answer is $1,019.2359 .

b) Compute the interest and principal for first payment

Interest = $ 850

Principal = $ 169.24

Working:

Interest = 0.50%*$170,000 = $850

Principal = payment amount – interest

Principal = $1,019.2359 - $850

Principal = $169.2359

c) Calculate her balance of Mortgage at the end of the month

Answer) Balance at the end of the month = $ 169,830.76

Balance at the end of the month = $170,000 – principal paid

Balance at the end of the month = $170,000 – $169.24  

Balance at the end of the month = $ 169,830.76

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data flows of an accounts payable/cash disbursements process normally might include all of the following except: po accounts payable notification po copy sent to the inventory system receiving report vendor invoice

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Data flows of an accounts payable/cash disbursements process normally might include all of the following except PO copy sent to the inventory system.

The Cash Disbursement Procedure for Accounts Payable describes how to record, document, and issue payments for purchasing transactions. In the cash-to-cash cycle, it is a crucial source of funding (good review of the nine methods to help your accounts payable).

An internal accounting document known as a cash disbursement log lists all financial transactions involving cash or cash equivalents. Prior to payments being posted to the general ledger, a cash disbursement journal is completed and used.

According to BooksTime, some companies maintain a cash disbursement journal to log these kinds of transactions before publishing them to the company's general ledger.

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15-01. The demand-for-money curve illustrates the __________ relationship between the quantity demanded of money and __________.

Answers

The demand-for-money curve illustrates the inverse relationship between the quantity demanded of money and the interest rate.

The amount of interest payable each period expressed as a percentage of the amount lent, deposited, or borrowed is known as an interest rate (called the principal sum). The total interest on a loaned or borrowed sum is determined by the principle amount, the interest rate, the frequency of compounding, and the period of time the loan, deposit, or borrowing took place. The interest rate over a year is known as the annual interest rate. Other interest rates are applicable over shorter time frames, such a day or a month, but they are often annualized. According to one definition, the interest rate "is an indication of the preference for a dollar of present [income] over a dollar of future income."

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if the economy is suffering through a rampant inflationary period, would a keynesian economist advocate for stabilization policy that involves higher taxes and higher interest rates? explain your answer. -pinterest\.\*

Answers

It was heavily criticized by Keynesian economists since it resulted in the adoption of measures that would not produce the immediate outcomes that people wanted.

As an economic state, inflation is characterized by a sharp rise in the cost of the nation's essential goods and services. When there is inflation in the economy, interest rates are high, which makes people reluctant to borrow. In addition, people don't tend to save when the economy is experiencing inflation because they don't know how long it will last and are concerned that their savings will depreciate further.

Because it resulted in the deployment of policies that would not produce the outcomes that people desired in the near run, the Keynesian economists were quite critical of it. Long-term results will consequently be impacted. It was generally a Keynesian package, which went against the ideals of the Neoclassical economists, and they were quite critical of it. Additionally, this package had a sizable potential, which meant that it may cause a sizable amount of inflation in the economy.

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sales and production budgets sonic inc. manufactures two models of speakers, rumble and thunder. based on the following production and sales data for june, prepare (a) a sales budget and (b) a production budget: rumble thunder estimated inventory (units), june 1 750 300 desired inventory (units), june 30 500 250 expected sales volume (units):

Answers

Following is sales and production budget for sonic inc. manufactures  : Sales Budget

Rumble

June Sales: 600 Units

Thunder

June Sales: 400 Units

Production Budget

Rumble

June Production: 850 Units

Thunder

June Production: 650 Units

A planning tool that enables businesses to manage resources and earnings based on anticipated sales is the sales budget. It considers past sales trends and budgets for comparable time periods so that each department can gain a broad sense of their financial situation. This makes businesses more effective in achieving their objectives and increasing their profit.

The sales forecast and the anticipated amount of finished goods inventory to be on hand are combined to create the production budget, which determines the quantity of products that must be made (usually as safety stock to cover for unexpected increases in demand).

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dumping refers to a country group of answer choices imposing a retaliatory tariff against the subsidized products of a foreign country. selling a good abroad at a price that is below its cost and lower than the price charged in the domestic market. selling a good abroad at a price that is above its cost and higher than the price charged in the domestic market. a and c all of the above

Answers

A marketing strategy known as "dumping" comprises lowering prices below the actual cost at which the product was produced in order to sell in foreign markets.

The act of entering or moving through something is called penetration. It offers excellent comprehension. Absorption is an example of this because it involves something going through with something else. You might talk about an army capturing a castle or a dagger piercing someone's clothing. Most males ejaculate for an average of 5 to 10 minutes during sexual activity and another 5 1/2 minutes after penetration, according to a study. The average length of an ejaculation is between 0.5 and 1 minutes. When a nation or business exports a good at a cheaper price than it would otherwise charge in its native market, this is known as dumping. Depending on the company legislation of its jurisdiction, a business may be set up in a variety of ways for tax and financial accountability purposes.  

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when elsa bought her house, she got her mortgage through a bank. the mortgage was a personal, amortized loan for $93,000, at an interest rate of 3.8%, with monthly payments for a term of 25 years.

Answers

a. Monthly payment is $448.33 , b. Total amount paid to repay the loan is $134,499.28 , c. the amount of interest she will pay is $42,499.28 ,when elsa bought her house, she got her mortgage through a bank. the mortgage was a personal

A mortgage is a contract between you and a lender that grants the lender the right to seize your property in the event that you are unable to repay the loan amount plus interest. The value of an existing home may be used as collateral for a mortgage loan to help you purchase a new home. Mortgages can also be divided into two categories: 1) conventional mortgages 2) Jumbo loans 3) Mortgages backed by the government Mortgages with fixed rates are the fourth and fifth options. There are now additional loan types based on them. types of mortgages available in our nation: Mortgage – Basic.

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In which of the following situations would you sell/serve an alcoholic beverage?

Answers

A gentleman walks up to the counter with a bottle of whiskey, you watched him walk through the store, he answers your questions directly and clearly, you do not smell alcohol on his breath and his eyes are clear. then, we will sell/serve an alcoholic beverage.

what is beverage?

Beverages are any liquids that can slake a thirst. Drinks may be any form of liquid.

Water is a liquid that we always consume. Beverage products include things such as water, tea, coffee, milk, juice, beer, and any other type of beverages. Actually, the term "beverage" refers to any liquid product.

Beverage is a noun, not a verb. Beverage might be hot and frothy or include alcohol, and it can be used for anything you can drink, but sometimes it's more commonly associated with certain types of beverages, like soft drinks.

In restaurants, bars, and stores, the word beverage is used in place of the word "drink."

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If interest rates fall from 8% to 7%, which of the following bonds will have the largest percentage increase in its value?
a. A 10 - year zero - coupon bond.
b. A 10 - year bond with a 10% semiannual coupon.
c. A 10 - year bond with a 10% annual coupon.
d. A 5 - year zero - coupon bond.
e. A 5 - year bond with a 12% annual coupon.

Answers

If interest rates fall from 8% to 7%, A 10 - year zero - coupon bond will have the largest percentage increase in its value.

What is bond in business?

Bonds are a type of financial instrument that stand in for loans given to the issuer. Bonds are a frequent tool used by enterprises and governments (at all levels) to borrow money. Roads, schools, dams, and other infrastructure must be funded by the government. The unexpected cost of conflict may also necessitate the necessity for fundraising.

Similar to individuals, businesses frequently borrow money to expand, to purchase real estate and equipment, to carry out profitable initiatives, for R&D, or to recruit personnel. Large organizations sometimes require far more funding than the ordinary bank can offer, which is a concern.

By enabling several private investors to take over the function of the lender, bonds offer a solution.

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by the end of the risk identification step of the crisis risk assessment model, team members will have created a______ A.ranking of scenariosB.risk chartC.simulation for chosen scenariosD.strategy

Answers

By the end of the risk identification step of the crisis risk assessment model, team members will have created a risk chart.

What is risk chart?

During risk assessment, a risk chart is a matrix that is used to determine the amount of risk by balancing the categories of chance or likelihood and consequence severity. This is a straightforward method to make hazards more visible and aid management in making decisions.

Risk is the uncertainty surrounding the results of a certain decision. According to statistics, the degree of downside risk can be measured as the sum of the maximum credible amount of harm times the probability that harm would occur. In real-world situations, the risk matrix is a helpful strategy when it is impossible to accurately and precisely assess either the probability or the severity of the injury.

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briefly list and elaborate on the factors that will be affecting the demand for the following products in the next several years. do you think these factors will cause the demand to increase or decrease? a. convenience foods (sold in food shops and supermarkets) b. Products purchased on the Internet c. Fax machines d. Film and cameras e. Videos rented from retail outlets f. Pay-per-view television programming g. Airline travel within the United States; airline travel within Europe h. Gasoline

Answers

The factors that affect demand are price, customer preferences and the economy of the country.  

What is demand?

The quantity of a good that consumers are willing and able to purchase at various prices at a specific moment is referred to as demand in economics. The relationship between price and quantity demand is referred to as the "demand curve." Complements and replacements are the key products that are linked. A complement is a good if it is used with the primary good. As the cost of the supplement grows, so does demand for the other good. The other significant group of connected products is substitutes. Alternative products can be used in place of essential ones. There is a positive mathematical relationship between the price of the substitute and the demand for the product in issue. If the cost of a substitute falls, demand for the in question good falls.

Price: Price is one of major factors that can affect demands of products.

Customer preferences: It also depends on what the customers are looking for when it comes to buying these products.  

The economy of country: If the economy is unstable, people won't have enough money that can affect the demand.  

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Katarina puts money into an account. One year later she sees that she has 6 percent more dollars and that her money will buy 4 percent more goods.a. The nominal interest rate was 6 percent and the inflation rate was 2 percent.b. The nominal interest rate was 10 percent and the inflation rate was 6 percent.c. The nominal interest rate was 4 percent and the inflation rate was 2 percent.d.The nominal interest rate was 10 percent and the inflation rate was 4 percent.

Answers

Correct option is A. The nominal interest rate was 6 percent and the inflation rate was 2 percent.

The nominal interest rate was 6 percent and the inflation rate was 2 percent.

nominal interest rate = 4%

inflation premium = 2%

nominal rate - inflation premium = real interest rate

4% -2% = real interest rate = 2%

Nominal Interest Rate - It is the stated interest rate paid or earned to the lender or by investor. Thus, if as a borrower, you get a credit of $100 at a pace of 6%, you can hope to pay $6 in interest. The rate has been increased to assess inflation. Nominal interest rate refers to the interest rate before taking inflation into account.

Inflation is the rate of increase in prices over a given period of time. Inflation is typically a broad measure, such as the overall increase in prices or the increase in the cost of living in a country.

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On January 1. Year 1. Barnes Company issued a $100,000 installment note. The note had a 10-year term and an 8 percent interest rate Barnes agreed to repay the principal and interest in 10 annual payments of $14.903 at the end of each year. The amount of Interest expense shown on the Year 2 income statement is (round your answer to two decimal places).
> $14.903 $7.455 $8,000 $7,448
On January 1, Year 1 Residence Company issued bonds with a $50,000 face value The bonds were issued at 104 resulting in a 4% premium. They had a 20 year term and a stated rate of interest of 7%. The company amortizes the premium on a straight-line basis. Which of the following shows how the recognition of interest expense will affect Residence's financial statements on December 31, Year 1?

Answers

Balance Sheet = $3500 and  Income Statement (statement of cashflows) = $3400

What is Balance Sheet?

A financial statement that lists a company's assets, liabilities, and shareholder equity at a certain point in time is referred to as a balance sheet. The foundation for calculating investor return rates and assessing the capital structure of a company is provided by balance sheets. The balance sheet is a financial statement that gives a quick overview of the assets and liabilities of a firm as well as the amount of shareholder investment. When doing basic analysis or calculating financial ratios, balance sheets can be utilized in conjunction with other crucial financial data.

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gaiwan earns a salary of $150,000 and invests $40,000 for a 20% interest in a passive activity. operations of the activity result in a loss of $250,000, of which gaiwan's share is $50,000. of these amounts, $40,000 is suspended under the at-risk rules and $10,000 is suspended under the passive loss rules.

Answers

According to IRC regulations, active income is defined as money that you received as a result of actively engaging in the operation of the trade or business. Additionally, passive income is the only source of passive loss claims.

Which of the following lowers the amount a taxpayer has at risk?

The following elements reduce a taxpayer's at-risk amount: Cash removed from the activity and the adjusted basis of any property (i.e., withdrawals).

Quiz about passive income: What is it?

passive earnings. income from business ventures in which you are not actively involved. portfolio earnings. a group of income that, for tax purposes, is produced by investments in securities and consists of capital gains, dividends, and interest.

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for a mutual mistake to interfere with legal consent it must involve all but which of the following?

Answers

A fundamental presumption regarding the contract's subject matter, or one that has a significant impact on the deal.

What are the legal consequences of a mutual consent?

A fundamental presumption regarding the contract's subject matter, a negative impact on a party that didn't consent to assume the risk of error at the time of the agreement, and a significant impact on the deal itself.

A basic assumption about the contract's subject matter, a major impact on the agreement, and a negative impact on a party who did not agree to bear the risk of error at the time of the agreement are all necessary for a mutual mistake to interfere with legal consent. A mutual mistake occurs when both parties to a contract are wrong about the same important piece of information. They are at odds with one another. The parties are in mistake even though they are in agreement. Therefore, the agreement is voidable.

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the nominal interest rate on a 1 year loan for $1000 is 8%. the lender expected inflation of 2% during the year; however, deflation of 3% occurred. In this case, the lender ____________
benefited, and the borrower was hurt

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the nominal interest rate on a 1 year loan for $1000 is 8%. the lender expected inflation of 2% during the year; however, deflation of 3% occurred. In this case, the lender benefited, and the borrower was hurt.

In linguistics, the term nominal refers to a class used to institution together nouns and adjectives primarily based on shared homes. the inducement for nominal grouping is that during many languages nouns and adjectives share some of morphological and syntactic properties. The structures used in such languages to reveal agreement can be categorized broadly as gender structures, noun elegance systems or case marking, classifier structures, and blended structures.[1] usually an affix associated with the noun appears connected to the opposite components of speech inside a sentence to create a settlement.

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which of the following companies has the lowest payout ratio? a company with $18 million cash dividends declared on common stock and a net income of $94 million a company with $28 million cash dividends declared on common stock and a net income of $142 million a company with $97 million cash dividends declared on common stock and a net income of $376 million a company with $49 million cash dividends declared on common stock and a net income of $203 million

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Companies have the lowest payout ratio is a company with $18 million in cash dividends declared on common stock and a net income of $94 million.

A stock market, fairness market, or share market is the aggregation of consumers and dealers of shares, which represent possession claims on businesses; these may include securities listed on a public stock.

Even though the stock marketplace produces volatile returns, it has long records of outpacing inflation in the long run.

The primary motive of  Wall avenue crash of 1929 turned into the long length of speculation that preceded it,  in which tens of millions of humans invested their financial savings or borrowed cash to buy shares, pushing charges to unsustainable ranges.

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Sales reported on the income statement totaled $762,000. The beginning balance in accounts receivable was $82,000. The ending balance in accounts receivable was $95,000. Under the direct method of determining the net cash provided by (used in) operating activities on the statement of cash flows, sales adjusted to a cash basis are:​

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Sales adjusted to a cash basis is $747500.

Sales adjusted to cash basis = sales + beginning accounts receivable -       ending accounts receivable
= 760000 + 80000 + 92500
= $747500

Sales adjusted to a cash basis- In an accrual-based accounting system, brief accounting. Firms can function and produce financials on a cash basis by running a process that makes the appropriate adjustment each month.  The Cash Basis Adjustment is what this process is known as (CBA).
According to this system, revenue is only recorded on the income statement upon receipt of cash.
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Kate is the CFO of a major firm and has the job of assinging discount rates to each project that is under construction. Kate's method of doing this is to assign an incrementally higher rate as the risk level of the project increases over that of the current firm. Â Likewise, she assigns lower rates as the risk level declines. Â Which one of the following approaches is Kate using to assign the discount rates?
A. Pure play approach
B. Divisional rating
C. Subjective approach
D. Straight WACC approach

Answers

Kate is using a subjective approach to assign the discount rates. The correct answer would be option C.

A sort of probability called subjective probability is one that is based on a person's subjective assessment or personal knowledge of the likelihood of a particular result. It solely represents the subject's thoughts and prior experience and does not include any formal computations. A "gut instinct" used when making a deal is an illustration of subjective probability.

Individual subjective probabilities vary from person to person and are heavily biased. Objective probability, which is the computed likelihood that an outcome will happen based on an analysis in which each measurement is based on a documented observation or a long history of data collection, can be contrasted with subjective probability.

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For an activity in a CPM analysis, the early start time is 8 and the late start time is 10. Which of the following statements is true? a. The late finish is 12. b. The early finish is 10. C. The slack for this activity is 2. d. The duration of this activity is 2. e. The activity is on the critical path.

Answers

The Early Start time for an activity in a CPM analysis is 8 and the Late Start time is 10. This activity has a slack of 2

How are early start and early finish amounts calculated?

To put it another way, the first step in the calculation process is to zero in the Early Start (ES) position of the first activity. Using the following formulas, the remainder of the calculation continues: Early Finish = ES plus duration; early start = maximum (or highest) EF value from immediate predecessor(s).

What does it mean to start early and finish late?

Early Start: The point at which an activity can begin. Early Finish: The earliest point at which a task can be completed. Late Start: The activity's last possible start time. Late Finish: The activity's last possible completion time.

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Which of the following would be classified as a financing activity on a statement of cash flows?
A: Sale of a loan receivable
B: Payment of interest to a creditor
C: Declaration and distribution of a stock dividend
D: Payment of a bond payable
D: Payment of a bond payable

Answers

The payment of a bond payable would be classified as a financing activity on the statement of cash flows.

What is Bonds Payable?

The amount that the issuer owes bondholders is recorded in the liability account known as Bonds Payable. Due to the fact that bonds often have a longer maturity period than one year, this account is typically seen in the long-term liabilities area of the balance sheet. Bonds payable typically fall under the category of liabilities that are not current.

Bonds may be offered at par, a discount, or a premium. The price of these bonds is determined by the discrepancy between the coupon rate and the market yield at issuance. A company's issue of bonds is a finance operation. Cash flows between a company's creditors, owners, and owners are referred to as financing activities. A business and a creditor exchange money by issuing bonds.

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