Which of the following is true concerning the treasury stock approach in accounting for a subsidiary's investment in parent company stock?
A. The original cost of the subsidiary's investment reduces long-term liabilities.
B. The cost of parent shares is treated as if the shares are no longer outstanding.
C. The subsidiary must apply the equity method in accounting for the investment if the treasury stock approach is used.
D. The treasury stock approach increases total stockholders' equity.
E. The cost of parent shares is treated as if the shares are no longer issued.

Answers

Answer 1

The cost of parent shares is treated as if the shares are no longer outstanding. The correct option is B

The treasury stock approach in accounting for a subsidiary's investment in parent company stock involves treating the investment as if the parent company's shares are no longer outstanding. This means that the subsidiary's original cost of the investment is treated as a reduction in long-term assets rather than as an investment in the parent company's stock. This approach does not require the subsidiary to apply the equity method in accounting for the investment, nor does it increase total stockholders' equity.The correct option is B

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Related Questions

When a company receives an interest-bearing note receivable, it will.

Answers

When a company receives an interest-bearing note receivable, it will first record the transaction in its books of accounts. This involves creating a new asset account for the note receivable


The company will then need to calculate the amount of interest that will accrue on the note over its term. This calculation will be based on the interest rate specified in the note, as well as the principal amount of the note and the length of time it will be outstanding.

As the note accrues interest, the company will record this interest income in its books of accounts, debiting the note receivable account and crediting the interest income account. This process will continue until the note is paid in full, at which point the company will debit the cash account for the final payment and credit the note receivable account for the full amount of the note.

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according to the ceo of hanover insurance, learning organizations require that everyone feels and supports a compelling purpose. what is the most difficult aspect of creating this learning organization? group of answer choices communicating an image of the future that draws people in and speaks to them. putting systems in place for training. find the resources for the necessary educational training. getting the shareholders to agree with the ceo.

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Creating a learning organization that is built around a compelling purpose is a complex task that requires careful planning, implementation, and commitment from everyone involved.

One of the most difficult aspects of creating this kind of organization is communicating an image of the future that draws people in and speaks to them.

This involves creating a clear and inspiring vision of what the organization wants to achieve, why it is important, and how everyone can contribute to making it happen.
Communicating this vision requires effective leadership and communication skills, as well as the ability to inspire and motivate people to work together toward a common goal.

Leaders must be able to articulate the vision in a way that resonates with everyone, from employees to shareholders, and creates a sense of excitement and urgency about the future.
Another challenging aspect of creating a learning organization is putting systems in place for training.

This involves identifying the skills and knowledge that are necessary for success in the organization, designing training programs that are engaging and effective, and ensuring that everyone has access to the resources they need to learn and grow.
Finding the resources for the necessary educational training can also be a difficult task, as it may require significant investments in technology, facilities, and personnel.

Leaders must be able to make the case for these investments and demonstrate the value they will bring to the organization.

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in a historic sense, globalism is the economic policy of applying tariffs on imported goods for government funding to reduce or eliminate the need for taxation on domestic industries. T/F

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In a historic sense, globalism refers to the process of increased interconnectedness and integration of economies, societies, and cultures across the world. False

It involves the increasing flow of goods, services, capital, information, and people across borders, facilitated by advancements in technology, transportation, and communication. Globalism is often associated with the expansion of international trade, the rise of multinational corporations, and the growth of international financial markets.

The policy of applying tariffs on imported goods for government funding is known as protectionism, which is often seen as the opposite of globalism.

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suppose an industry has 3 firms each with 20% of sales, and 5 firms each with 8% of sales. the hhi for this industry is

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The HHI for this industry is based on the information provided by calculating HHI formula = 1520

The HHI is a formula to determine how concentrated a market's firms' markets are. We square the shares of each company in the market and add them up to determine the HHI. Thus, the equation is

(S1)^2 + (S2)^2..............................(SN)^2

In this question we have 3 firms with 20% share and 5 firms with 8% share so we will put these market shares in the formula

3*(20^2)+5*(8^2)=1520

The Herfindahl-Hirschman Index (HHI), a popular indicator of market concentration, is frequently used before to and after merger and acquisition (M&A) transactions to assess market competitiveness.

The index gauges a company's size in relation to the size of the industry it operates in as well as its level of competition. The market share of each company that competes in a market is squared, and the resulting numbers are then added to determine the HHI.

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you have a 25-year maturity, 10.2% coupon, 10.2% yield bond with a duration of 10 years and a convexity of 135.7. if the interest rate were to fall 127 basis points, your predicted new price for the bond (including convexity) is $ . group of answer choices 1,126.19 1,162.19 1,115.25 1,151.25

Answers

The predicted new price for the bond (including convexity) if the interest rate were to fall 127 basis points is $1,126.19. To calculate the predicted new price of the bond with convexity included, we can use the following formula:

New price = current price + (change in yield * duration) + (1/2 * convexity * change in yield 2)

Plugging in the given values:

Current price: unknown
Change in yield = -1.27%
Duration: 10 years
Convexity = 135.7

First, we need to calculate the change in yield in decimal form:

-1.27% = -0.0127

Now we can solve for the new price:
New price = current price + (-0.0127 * 10) - (1/2 * 135.7 * (-0.0127)^2)
New price = current price - 0.127 - 0.0001087
New price = current price - 0.1271087

We know the predicted new price is $, so we can set up an equation:
$ = current price - 0.1271087
Solving for current price:
Current price = $ + 0.1271087
Current price = $1,151.25 + 0.1271087
Current price = $1,151.3771

Therefore, the predicted new price for the bond (including convexity) if the interest rate were to fall 127 basis points is $1,126.19.

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true or false: if alternatively jabari's hooknladder were a competitive firm and $100,000 were the market price for an engine, increasing production would not affect the price at which the company is able to sell engines.

Answers

False.

If Jabari's Hooknladder were a competitive firm and the market price for an engine is $100,000, increasing production would likely affect the price at which the company is able to sell engines. In a competitive market, firms are price takers and have no control over the market price. If Jabari's Hooknladder increases production, it will add more supply to the market. This increased supply will likely drive down the market price of engines as consumers will have more options to choose from. Thus, if Jabari's Hooknladder wants to maintain its market share, it will have to reduce the price of its engines.

In a competitive market, firms are price takers, meaning they have no control over the market price. The market price is determined by the intersection of supply and demand. If Jabari's Hooknladder were a competitive firm and the market price for an engine is $100,000, the firm would have to sell its engines at this price to remain competitive. However, if Jabari's Hooknladder were to increase its production, it would add more supply to the market. This increased supply would likely shift the supply curve to the right, leading to a new intersection of supply and demand at a lower price. In other words, the market price of engines would decrease due to the increase in supply. If Jabari's Hooknladder wants to maintain its market share, it will have to reduce the price of its engines to match the new market price. This is because consumers will have more options to choose from, and if Jabari's Hooknladder does not reduce its prices, consumers may choose to buy from a competitor instead. In conclusion, if Jabari's Hooknladder were a competitive firm and the market price for an engine is $100,000, increasing production would likely affect the price at which the company is able to sell engines. The increased supply would likely drive down the market price, and Jabari's Hooknladder would have to reduce its prices to remain competitive. Thus, the statement "if alternatively Jabari's Hooknladder were a competitive firm and $100,000 were the market price for an engine, increasing would not affect the price at which the company is able to sell engines" is false.

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public relations group of answer choices should be used mostly to counteract any competitive promotions or negative publicity. is paid communication that helps enhance a company's image by highlighting its philanthropic efforts. should be used solely to respond to emergencies that could significantly damage the company's reputation. is generally not given much weight because the information is generated by the company itself. is an element of promotion that should be handled on a continuous basis.

Answers

The correct option for the given statement is "public relations group should be used mostly to counteract any competitive promotions or negative publicity." However, it is important to note that public relations is not just about countering negative publicity but also about building and maintaining a positive image of the company in the eyes of the public.

Paid communication that helps enhance a company's image by highlighting its philanthropic efforts is known as corporate social responsibility (CSR) and is a part of a company's overall public relations strategy. CSR can help improve a company's reputation and build trust with stakeholders, including customers, employees, and investors.
While public relations can be used to respond to emergencies that could significantly damage the company's reputation, it should not be the sole purpose of PR. Instead, PR should be handled on a continuous basis, proactively building and maintaining relationships with the public and various stakeholders.
It is not true that information generated by the company itself is generally not given much weight. PR professionals are trained to communicate information in a way that is credible and valuable to the public. It is important for companies to be transparent and honest in their communication with the public to build trust and credibility.
In conclusion, public relations is an important element of promotion that should be handled on a continuous basis, not just to counteract negative publicity. PR can be used to build and maintain a positive image of the company, including through CSR efforts, and should be approached with transparency and credibility.

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as a result of the new minimum wage, will the marginal revenue product of the last worker hired by ray's stable increase, decrease, or stay the same?

Answers

The marginal revenue product (MRP) refers to the additional revenue generated by the last worker hired. As the new minimum wage is implemented, the wage paid to the last worker hired by Ray's Stable will increase. This means that the cost of labor will increase, resulting in a decrease in the MRP.

To understand this concept better, we can look at the relationship between wages and MRP. When the wage paid to workers is low, the MRP is likely to be high. This is because the cost of labor is low, and the revenue generated by the worker is higher than the wage paid. However, as the wage increases, the cost of labor increases, which means that the MRP will decrease.

Therefore, it is safe to say that as a result of the new minimum wage, the marginal revenue product of the last worker hired by Ray's Stable will decrease. This decrease in MRP may lead to a reduction in profits for the stable, as they may not be able to generate as much revenue as before. However, this will also depend on the elasticity of demand for their services and their ability to adjust their pricing strategy accordingly.

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Why is it important to know how much output is being produced? Who uses such information?

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It is essential to know how much output is being produced to understand the current state of the economy, identify trends, and plan for the future. The measure of output, also known as Gross Domestic Product (GDP), is the most widely used indicator of a country's economic performance.

It is calculated by summing up the total value of all goods and services produced within a country's borders during a specific period, usually a quarter or a year.Governments, policymakers, and investors use GDP and other output measures to make informed decisions about economic policies and investments. For example, central banks use GDP data to set interest rates, which can impact inflation, unemployment, and economic growth. Businesses also use GDP data to inform decisions about expanding or contracting their operations based on the current state of the economy. Overall, understanding the level of output being produced is crucial for assessing the current state of the economy and making informed decisions about future economic policies and investments.

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what is considered a valid reason for small businesses to insure the lives of its major stockholders

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A valid reason for small businesses to insure the lives of their major stockholders is to protect the company from financial loss and instability in the event of their death.

When a major stockholder passes away, it can have significant consequences for a small business. To minimize the potential risks, small businesses may take out key person life insurance policies on the lives of their major stockholders. These policies provide financial protection to the business in the event of a major stockholder's death.

Step-by-step explanation:

1. Identify major stockholders: These are individuals who have a significant ownership stake in the business and play a crucial role in its success.

2. Assess the financial risk: Determine the potential financial impact on the business in case a major stockholder passes away. This includes loss of income, decreased sales, and difficulty in securing new investments.

3. Purchase key person life insurance: The business takes out a life insurance policy on the major stockholder, with the company as the beneficiary. This helps ensure that the business will receive a payout in the event of the stockholder's death.

4. Utilize insurance payout: In the event of a major stockholder's death, the company can use the insurance payout to help stabilize the business, cover expenses, pay off debts, and potentially find a suitable replacement.

In conclusion, insuring the lives of major stockholders is a valid strategy for small businesses to protect themselves from financial loss and maintain stability in the event of their death. This is especially important for small businesses that rely heavily on the contributions of a few key individuals.

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if the united states system of incom taxation, the reason shareholders normally have to pay income taxes

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In the United States, shareholders of corporations are typically required to pay income taxes on any dividends they receive from the corporation.

A corporation is a legal entity that is separate from its owners, who are known as shareholders. It is created by a group of individuals or entities coming together to form a company, which is then granted legal recognition as a separate entity by the government. This allows the corporation to enter into contracts, sue or be sued, own assets, and pay taxes in its own name, rather than in the names of its shareholders.

Corporations have several advantages, including limited liability for their shareholders, which means that they are only responsible for the amount they have invested in the company. This protects their personal assets from being used to pay the corporation's debts or legal liabilities. Additionally, corporations can issue stocks or shares to raise capital, allowing them to expand their operations or invest in new ventures.

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Despite the increase of automation, which jobs are on the rise?.

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Although automation has impacted numerous industries and led to the loss of certain jobs, there are still several professions that are on the rise.

According to recent studies, jobs in healthcare, technology, and renewable energy are experiencing growth. Healthcare jobs such as physician assistants, nurse practitioners, and medical technologists are in high demand due to an aging population and the need for more healthcare professionals. Technology jobs such as software developers, data scientists, and cybersecurity analysts are also on the rise as companies continue to rely more on technology to run their operations. Finally, renewable energy jobs such as solar panel installers, wind turbine technicians, and environmental engineers are in demand due to the growing need for sustainable energy sources. Overall, while automation may have impacted certain jobs, it has also created new opportunities in growing industries.

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devonshire company borrowed $250,000 cash on april 1, 2022, and signed a one-year, 12% interest-bearing note payable. the interest and principal are both due on march 31, 2023. assume that the appropriate adjusting entry was made on december 31, 2022 and that no adjusting entries have been made during 2023. what is the amount of interest expense to be recorded when the interest and principal are paid on march 31, 2023? multiple choice $30,000 $22,500 $20,000 $7,500

Answers

The interest and principal are paid on March 31, 2023, is $22,500.

The amount of interest expense to be recorded when the interest and principal are paid on March 31, 2023, can be calculated as follows:

Interest expense for 9 months (April 1, 2022, to December 31, 2022):

= 250 thousand dollars × 12 % × 9/12

= $22,500

It is important to note that the adjusting entry made on December 31, 2022, would have recorded $7,500 as interest expense for the three months from October 1, 2022, to December 31, 2022. This entry would have increased the interest expense account and increased the interest payable liability account.

However, since no adjusting entries have been made during 2023, the interest payable liability account would have remained unchanged, and the full amount of $22,500 ($7,500 + $15,000) would be recorded as interest expense when the interest and principal are paid on March 31, 2023, is $22,500.

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How much cash can you deposit in the bank without being questioned.

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In the United States, banks are required to report cash transactions exceeding $10,000 to the Internal Revenue Service (IRS) under the Bank Secrecy Act.

This means you can generally deposit up to $10,000 without being questioned. However, keep in mind that banks are also obligated to report any suspicious activities, including regular deposits below this threshold if they believe it is an attempt to avoid reporting requirements, a practice known as "structuring."

It's important to follow the law and declare any income accurately, as banks work closely with the IRS and other agencies to combat money laundering, tax evasion, and other financial crimes.

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A perfectly competitive industry achieves allocative efficiency when:.

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A perfectly competitive industry achieves allocative efficiency when the price of the good or service equals the marginal cost of production.

This is because in a perfectly competitive market, firms have no market power and must take the market price as given. As a result, they will produce at the point where marginal cost equals price, ensuring that resources are allocated efficiently and no one is willing to pay more than the cost of producing the good. Allocative efficiency ensures that the economy is producing the right mix of goods and services to maximize consumer welfare. In a perfectly competitive market, there is no deadweight loss, meaning that all gains from trade are captured by buyers and sellers. However, in the real world, markets are rarely perfectly competitive, and therefore, may not always achieve allocative efficiency.

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what is the goal of industrial product design? group of answer choices to communicate information through visual imagery to involve the viewer in the creative process to make beautiful, useful, and sustainable commodities to increase the legibility of typefaces and logos

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The goal of industrial product design is to create beautiful, useful, and sustainable commodities that fulfill the needs and desires of consumers while also taking into account the limitations and possibilities.

In addition to creating products that meet consumer needs, industrial designers also strive to make products that are environmentally sustainable. This can involve designing products that use fewer resources, are made from sustainable materials, and are recyclable or biodegradable.


Overall, the goal of industrial product design is to create products that are both functional and visually appealing, while also taking into account sustainability and the needs of consumers.

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the given statements refer to the pricing, economic efficiency, and resource allocation for monopolistically competitive firms. label the statements as being either true or false. each term is used more than once.

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Pricing, economic efficiency, and resource allocation for monopolistically competitive firms

Monopolistically competitive firms are those that operate in a market with many other firms, selling products that are slightly differentiated from each other. In this type of market structure, firms have some market power and can set prices to a certain extent.

- Pricing: True. Monopolistically competitive firms have some control over their prices due to their product differentiation. They can charge a premium for their products, but this also depends on the elasticity of demand for their particular product.

- Economic efficiency: False. Monopolistically competitive markets are not considered economically efficient because there is some degree of market power and firms are not producing at the lowest possible cost. This can result in higher prices for consumers and lower levels of output compared to a perfectly competitive market.

- Resource allocation: True. In a monopolistically competitive market, firms will allocate resources based on their particular product and the preferences of consumers. They will invest in advertising, research and development, and other activities to differentiate their product and gain a competitive advantage.

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when should you use awareness based bidding strategies?

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Awareness-based bidding strategies are effective when a marketer's goal is to create brand awareness among a large audience, rather than focusing on driving conversions or sales.

These strategies are particularly useful for businesses that are new to the market or for those who want to introduce a new product or service. This type of bidding strategy helps to reach as many people as possible and to increase visibility for a brand or product.Awareness-based bidding strategies often prioritize reaching a large number of people over optimizing for a specific action, such as a click or conversion. Therefore, they may be less effective for businesses that are looking to drive immediate sales or conversions. However, they can be useful for businesses that are looking to build their brand and establish themselves in the market. Ultimately, the decision to use awareness-based bidding strategies should be based on a business's specific goals and marketing objectives.

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the fed's authority to establish and enforce credit rules for financial institutions and private investors is done through _____

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The Federal Reserve's authority to establish and enforce credit rules for financial institutions and private investors is done through its monetary policy.

This policy is carried out by the Federal Open Market Committee (FOMC), which is responsible for setting the federal funds rate, the interest rate at which banks lend reserves to each other overnight. By adjusting this rate, the Fed can influence the supply of money and credit in the economy, which can in turn impact inflation, employment, and economic growth. The Fed also has regulatory authority over banks and other financial institutions, which allows it to set standards for lending practices and capital requirements to ensure the safety and stability of the financial system.

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all of the following are associated with transactional leaders except question 18 options: a) making decisions. b) evaluating performance. c) overseeing routine work. d) executing change. e) assigning work.

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Executing change is not typically associated with transactional leaders.

Transactional leadership is characterized by a focus on maintaining the status quo, overseeing routine work, assigning tasks, making decisions based on predetermined rules, and evaluating performance based on established standards. Some transactional leaders may still execute change when it aligns with their goal of maintaining order and efficiency. Additionally, executing change is often associated with transformational leadership, which focuses on inspiring and motivating followers to pursue a shared vision of the future.
Transactional leaders primarily focus on making decisions, evaluating performance, overseeing routine work, and assigning work, but they are generally not involved in executing significant changes in the organization.

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mast company reports net income of $337,500 for the year ended december 31. it also reports $110,600 depreciation expense and a $11,950 loss on the sale of equipment. its comparative balance sheet reveals a $48,000 increase in accounts receivable, a $12,150 decrease in prepaid expenses, a $18,450 increase in accounts payable, and a $15,100 decrease in wages payable. calculate the net increase in cash for the year.

Answers

To calculate the net increase in cash for the year, we need to consider the changes in all the cash inflows and outflows that have taken place during the year.


Here are the steps to calculate the net increase in cash for the year:

1. Start with the net income of the company, which is $337,500.

2. Add back the depreciation expense of $110,600, as this is a non-cash expense and doesn't affect the cash balance of the company.

3. Subtract the loss on the sale of equipment of $11,950, as this is a cash outflow.

Net income + Depreciation - Loss on sale of equipment
= $337,500 + $110,600 - $11,950
= $436,150

4. Next, we need to consider the changes in the company's working capital accounts, as these affect the cash balance of the company.

- Accounts receivable increased by $48,000, which means that the company received less cash than it earned from sales. This is a cash outflow.

- Prepaid expenses decreased by $12,150, which means that the company used cash to pay for expenses in advance. This is a cash outflow.

- Accounts payable increased by $18,450, which means that the company delayed payment to its suppliers. This is a cash inflow.

- Wages payable decreased by $15,100, which means that the company paid its employees less than it owed them. This is a cash inflow.

Net increase in cash from working capital changes
= -$48,000 - (-$12,150) + $18,450 + $15,100
= -$53,500

5. Finally, we can calculate the net increase in cash for the year by adding up the cash inflows and outflows:

Net increase in cash
= Net income + Depreciation - Loss on sale of equipment + Net increase in cash from working capital changes
= $436,150 - $53,500
= $382,650

Therefore, the net increase in cash for the year is $382,650.

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a di has assets of $10 million consisting of $1 million in cash and $9 million in loans. the di has core deposits of $6 million, subordinated debt of $2 million, and equity of $2 million. page 383 increases in interest rates are expected to cause a net drain of $2 million in core deposits over the year. a. the average cost of deposits is 6 percent and the average yield on loans is 8 percent. the di decides to reduce its loan portfolio to offset this expected decline in deposits. what will be the effect on net interest income and the size of the di after the implementation of this strategy? b. if the interest cost of issuing new short-term debt is expected to be 7.5 percent, what would be the effect on net interest income of offsetting the expected deposit drain with an increase in interest-bearing liabilities? c. what will be the size of the di after the drain if the di uses this strategy? d. what dynamic aspects of di management would support a strategy of replacing the deposit drain with interest-bearing liabilities?

Answers

If the DI decides to reduce its loan portfolio by $2 million, the new loan balance would be $7 million. The interest income from loans would decrease from $720,000 to $560,000 (7 million * 8%), resulting in a decrease in net interest income.

However, the decrease in interest expenses due to the reduction in deposits would offset this decline. As a result, the net interest income would remain unchanged at $120,000 (560,000 - 440,000). The size of the DI would decrease to $8 million ($10 million - $2 million).

b. If the DI decides to offset the expected deposit drain by increasing interest-bearing liabilities, the interest expense would increase by $150,000 (2 million * 7.5%). As a result, the net interest income would decrease to -$30,000 (560,000 - 590,000). The size of the DI would remain unchanged at $10 million.

c. If the DI uses the loan portfolio reduction strategy, the size of the DI would decrease to $8 million. If the DI uses the increase in interest-bearing liabilities strategy, the size of the DI would remain unchanged at $10 million.

d. The dynamic aspects of DI management that would support a strategy of replacing the deposit drain with interest-bearing liabilities include managing interest rate risk, maintaining liquidity, and meeting regulatory requirements. By managing interest rate risk, the DI can ensure that the interest income from the increased interest-bearing liabilities is sufficient to offset the higher interest expense. Maintaining liquidity ensures that the DI has enough cash to meet deposit withdrawals and other obligations. Meeting regulatory requirements includes maintaining appropriate capital levels and adhering to regulations related to interest rate risk and liquidity management.

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during the new deal, the agricultural adjustment administration (aaa) paid farmers to . a) increase the production of their crops; b) reduce the production level of their crops; c) maintain the same level of crop production that they had grown in previous years; d) destroy all of their crops every year.

Answers

During the New Deal, the Agricultural Adjustment Administration (AAA) paid farmers to reduce the production level of their crops. Option b is correct.

The goal of this policy was to stabilize crop prices by reducing surpluses that were driving down prices and causing financial hardship for farmers. The AAA paid farmers to take land out of production, reduce acreage planted, and destroy crops or livestock. The program was controversial and faced legal challenges, but it did succeed in raising crop prices and increasing farm income in the short term. Hence, option b is correct choice.

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Using the aging of receivables method, an unadjusted Allowance for Doubtful Accounts will have a credit balance when the amount of write offs recorded during the period is ______ the amount allowed in the prior accounting period.

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The aging of receivables method is a technique used to estimate the amount of bad debt expense for a company. It involves analyzing the age of a company's accounts receivable balances and applying a percentage to each age category based on historical collection experience.

This method is commonly used because it provides a more accurate estimate of the allowance for doubtful accounts.
When using the aging of receivables method, the unadjusted allowance for doubtful accounts will have a credit balance when the amount of write offs recorded during the period is less than the amount allowed in the prior accounting period. This means that the company has overestimated the amount of bad debt expense in the previous accounting period and has written off less than expected. As a result, the unadjusted allowance for doubtful accounts has a credit balance that needs to be adjusted in the current period.
To adjust the unadjusted allowance for doubtful accounts, the company needs to recognize an expense for the difference between the amount allowed in the prior accounting period and the actual write-offs recorded. This will decrease the credit balance of the allowance for doubtful accounts and reflect a more accurate estimate of the bad debt expense for the current period.
In summary, the aging of receivables method is a useful technique for estimating the allowance for doubtful accounts. When the unadjusted allowance for doubtful accounts has a credit balance, it means that the company needs to adjust the allowance to reflect the actual write-offs recorded and the estimated bad debt expense for the current period.

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a savings account at xyz bank offers $4$% interest, compounded annually. how much money must i invest today in order for the account to grow to $\$5000$ in ten years? round your answer to the nearest whole dollar.

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First, let's discuss the formula for calculating compound interest. The formula is A = P(1 + r/n)^(nt), where A is the ending amount, P is the principal (initial amount), r is the annual interest rate, n is the number of times the interest is compounded per year, and t is the number of years.

In this case, the interest is compounded annually, so n = 1. We want to find P, so we can rearrange the formula to solve for P: P = A/(1 + r/n)(nt). Next, we can plug in the values we know from the problem. A = $5000$, r = $4$%, n = 1, t = 10. Plugging these values into the formula gives P = $3579.81. However, the problem asks us to round to the nearest whole dollar, so the final answer is $\boxed{\$3580}$.

In conclusion, to grow a savings account to $\$5000$ in ten years with a $4$% annual interest rate compounded annually, you must invest $\$3580$ today. Therefore, to achieve $5000 in ten years with a 4% interest rate compounded annually, you must invest approximately $3359 (rounded to the nearest whole dollar) today.

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the ncaa is an example of which market failure? question 34 options: derived demand (for labor) monopsony monopoly wage discrimination

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The NCAA (National Collegiate Athletic Association) is an example of monopsony, which is a type of market failure. Monopsony occurs when there is only one buyer of a good or service, and this buyer has market power to set the price for the good or service.

In the case of the NCAA, they are the sole buyer of college sports labor, as college athletes are not allowed to receive compensation beyond scholarships. This gives the NCAA significant market power to determine the terms and conditions of employment for college athletes, including their compensation and benefits.

As a result, college athletes may not receive fair compensation for their labor, and may be exploited by the NCAA. This is a form of market failure, as the market is not producing an efficient outcome that maximizes the welfare of all parties involved.

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Drysdale Co. (a U.S. firm) is considering a new project that would result in cash flows of 5 million Argentine pesos in 1 year under the most likely economic and political conditions. The spot rate of the Argentina peso in 1 year is expected to be $.40 based on these conditions. However, it wants to also account for the 10 percent probability of a political crisis in Argentina, which would change the expected cash flows to 4 million Argentine pesos in 1 year. In addition, it wants to account for the 20 percent probability that the exchange rate may only be $.36 at the end of 1 year. These two forms of country risk are independent. Drysdale’s required rate of return is 25 percent and its initial outlay for this project is $1.4 million. Show the distribution of possible outcomes for the project’s net present value.

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So the distribution of possible outcomes for the project's net present value is $430,400, with a range of $232,000 to $520,000, depending on the scenario that plays out.

Distribution of possible outcomes for the project's net present value, we need to calculate the expected cash flows under different scenarios and then discount them back to their present values using Drysdale's required rate of return of 25%.

Under the most likely economic and political conditions, the project will generate cash flows of 5 million Argentine pesos in 1 year. At an exchange rate of $.40, this is equivalent to $2 million. Discounting this back to its present value using a rate of 25%, we get:

NPV = -1.4 + (2,000,000 / 1.25) = $520,000

In the event of a political crisis in Argentina, the project's cash flows would be reduced to 4 million Argentine pesos, or $1.6 million at an exchange rate of $.40. Discounting this back to its present value, we get:

NPV = -1.4 + (1,600,000 / 1.25) = $248,000

cash flows would still be 5 million Argentine pesos, but this would be equivalent to only $1.8 million. Discounting this back to its present value, we get:

NPV = -1.4 + (1,800,000 / 1.25) = $232,000

NPV calculations by the probability of its corresponding scenario occurring. The probability of the most likely scenario occurring is 70% (100% - 10% - 20%), the probability of a political crisis occurring is 10%, and the probability of an unfavorable exchange rate is 20%. Therefore, the distribution of possible outcomes for the project's net present value is:

NPV = ($520,000 x 0.7) + ($248,000 x 0.1) + ($232,000 x 0.2)

= $430,400

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A decrease in the price level shifts the ______ curve to the right, and the aggregate demand curve ______.

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A decrease in the price level shifts the aggregate demand (AD) curve to the right, and the aggregate demand curve increases.

The option (A) is correct.

The AD curve is a graphical representation of the connection between the cost level and the amount of genuine Gross domestic product requested in an economy. A decline in the cost level brings down the expense of labor and products, making them more reasonable and appealing to buyers, bringing about an expansion popular.

As the AD curve shifts to the right, there is an expansion in the amount of labor and products requested at some random cost level. This is because, as costs decline, customers are seriously willing and ready to burn through cash, which drives up total interest.

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This question is not complete, Here I am attaching the complete question:

A decrease in the price level shifts the ______ curve to the right, and the aggregate demand curve ______.

(A) aggregate demand (AD) ; increases

(B) IS; does not shift

(C) LM: shifts to the right

(D) LM; does not shi

A bank loans greg’s ice cream $250,000 to remodel a building near campus to use as a new store. On their respective balance sheets, this loan is:.

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On the bank's balance sheet, the $250,000 loan to Greg's ice cream will be recorded as an asset, specifically a loan receivable.

Why is it receivable?

This is because the bank expects to receive repayment of the loan with interest over time, generating income for the bank. On the other hand, on Greg's ice cream's balance sheet, the loan will be recorded as a liability, specifically a long-term loan payable.

This is because Greg's ice cream owes the bank the principal amount plus interest over the term of the loan.

The loan will have an impact on both balance sheets, increasing the bank's assets and Greg's ice cream's liabilities.

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Comments on Cost Approach
Miscellaneous
The Comments space may also be used for miscellaneous cost approach comments.

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The cost approach is a method used to estimate the value of a property by calculating the cost of rebuilding or replacing it, less any depreciation or obsolescence. This method is based on the idea that a property's value is closely linked to the cost of constructing a similar property from scratch.

Some important factors to consider when using the cost approach include the cost of materials and labor, the age and condition of the property, and the level of depreciation or obsolescence that the property has experienced. It is also important to take into account any changes in building codes or regulations that may affect the cost of construction.

While the cost approach can be a useful tool for estimating the value of a property, it is important to remember that it is only one of several methods used by appraisers and may not always provide an accurate estimate of the property's value. It is important to consider the other methods used to value a property, such as the income approach and the sales comparison approach, in order to arrive at a more complete picture of its value.

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