Henry Corporation is owned eighty percent (80%) by John and twenty percent (20%) by James who are unrelated to each other. At the time of a Complete Liquidation, Henry Corporation owned Land that had a Fair Market Value of $200,000 and a basis to Henry Corporation of $800,000. The Land was acquired by Henry Corporation in a Section 351 Transfer two (2) years ago from James when its Fair Market Value was $400,000. (Assume that there was no business purpose for the transfer). Pursuant to the Complete Liquidation, the Land is sold to an unrelated third party for $200,000 and the $200,000 proceeds of the sale are distributed proportionately (pro-rata) to John and James (ie. eighty percent (80%) to John and twenty percent (20%) to James). The Recognized Loss to Henry Corporation is:
$600,000.
$ -0-.
$400,000.
$200,000.

Answers

Answer 1

At the time of the complete liquidation, the land had a fair market value of $200,000 and a basis to Henry Corporation of $800,000. The Land was acquired by Henry Corporation in a Section 351 Transfer two (2) years ago from James when its Fair Market Value was $400,000. The Recognized Loss to Henry Corporation is $ -0-.

Section 351 transfer is a code under the Internal Revenue Service (IRS) that states that no gain or loss will be recognized if property or money is transferred to a corporation by an individual or group in exchange for stock in the corporation, provided that the individual or group transferring the property or money receives control of the corporation.

The Section 351 transfer allows a non-taxable transfer of property to a corporation if the transfer is solely in exchange for stock in the corporation and the transferors are in control of the corporation immediately after the transfer. The transferors who are in control of the corporation will be able to defer any tax liability until they sell their shares. In the above question, we are given that the fair market value of the land is $200,000 and the basis to Henry Corporation is $800,000. The Land was acquired by Henry Corporation in a Section 351 Transfer two (2) years ago from James when its Fair Market Value was $400,000. The recognized loss to Henry Corporation is $ -0-. Therefore, option B is the correct answer.

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Related Questions

1. Derive the following curves: a. Yd curve b. Ys curve c. Demand for loanable funds curve d. Supply of loanable funds curve. e. Production function (with declining MPN) f. VMPN curve 2. Prove that each of the following will shift the Ns curve (in the labor market modeled in terms of W): a. A rise in P b. A decline in Tx c. A decline in P d. A decline in LF 3. Using the exchange equation, explain what P is a function of and what can change the percentage change in P. 4. How do we evaluate macroeconomic theories?

Answers

The percentage change in P can be influenced by changes in the money supply (M) or changes in the velocity of money (V).

Deriving the curves:

a. Yd curve: The aggregate demand curve (Yd) represents the total demand for goods and services in an economy at different levels of income. It shows the relationship between aggregate income (Y) and aggregate expenditure (AE). The Yd curve is derived by plotting the total expenditure (consumption, investment, government spending, and net exports) at different income levels.

b. Ys curve: The aggregate supply curve (Ys) represents the total output that firms are willing to produce and sell at different price levels. It shows the relationship between the price level (P) and the level of aggregate output (Y). The Ys curve is derived based on the assumption of a positive relationship between the price level and the quantity of output supplied in the short run.

c. Demand for loanable funds curve: The demand for loanable funds curve represents the relationship between the interest rate (r) and the quantity of loanable funds demanded in an economy. It is derived based on the principle that as the interest rate decreases, the demand for borrowing increases, as firms and individuals find it more attractive to invest and borrow.

d. Supply of loanable funds curve: The supply of loanable funds curve represents the relationship between the interest rate (r) and the quantity of loanable funds supplied in an economy. It is derived based on the principle that as the interest rate increases, the supply of savings increases, as individuals are incentivized to save more.

e. Production function (with declining MPN): The production function represents the relationship between inputs (usually labor and capital) and output (production) in an economy. With a declining marginal product of labor (MPN), it means that as more units of labor are added while holding other factors constant, the additional output produced by each additional unit of labor decreases.

f. VMPN curve: The value of marginal product of labor (VMPN) curve represents the relationship between the wage rate (W) and the value of additional output produced by each additional unit of labor. It is derived based on the principle that firms hire additional labor as long as the wage rate is lower than the VMPN.

Shifting the Ns curve (in the labor market):

a. A rise in P (price level): An increase in the price level leads to higher nominal wages, which shifts the Ns (labor supply) curve to the right as individuals require higher wages to maintain their real purchasing power.

b. A decline in Tx (taxes): A decrease in taxes increases workers' after-tax income, which increases their incentive to work. This shifts the Ns (labor supply) curve to the right.

c. A decline in P (price level): A decrease in the price level reduces nominal wages, which decreases workers' purchasing power. This leads to a leftward shift of the Ns (labor supply) curve.

d. A decline in LF (labor force): A decrease in the size of the labor force, such as due to immigration restrictions or a decrease in the working-age population, shifts the Ns (labor supply) curve to the left.

The exchange equation and P:

The exchange equation, also known as the quantity theory of money, states that MV = PQ, where M is the money supply, V is the velocity of money (average number of times a unit of currency is used in transactions), P is the price level, and Q is the real output of goods and services. P is a function of the money supply (M), the velocity of money (V), and the real output (Q).

The percentage change in P can be influenced by changes in the money supply (M) or changes in the velocity of money (V).

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Evaluating macroeconomic theories involves assessing assumptions, testable predictions, empirical evidence, logical consistency, comparisons with alternative theories, and policy implications to gain insights into the economy and inform policy decisions.

Derive the following curves:

a. Yd curve: Represents aggregate demand, derived from consumption, investment, government spending, and net exports.

b. Ys curve: Represents aggregate supply, derived from firms' behavior in response to input prices, technology, etc.

c. Demand for loanable funds curve: Shows the relationship between funds demanded for investment and the real interest rate.

d. Supply of loanable funds curve: Shows the relationship between funds supplied by savers and the real interest rate.

e. Production function: Shows the relationship between inputs (capital and labor) and output, with diminishing marginal product of labor.

f. VMPN curve: Represents the relationship between the wage rate and the marginal product of labor.

Factors shifting the Ns curve in the labor market:

a. Rise in P: Increases production costs, leading to higher wages, shifting the Ns curve to the right.

b. Decline in Tx: Raises disposable income, enabling higher wage demands, shifting the Ns curve to the right.

c. Decline in P: Decreases productivity and labor demand, lowering wages, shifting the Ns curve to the left.

d. Decline in LF: Reduces available workers, leading to higher wages, shifting the Ns curve to the right.

P in the exchange equation is a function of the money supply (M) and velocity of money (V). Changes in these factors can impact the price level (P).

Evaluating macroeconomic theories involves assessing assumptions, testable predictions, empirical evidence, logical consistency, comparisons with alternative theories, and policy implications to gain insights into the economy and inform policy decisions.

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b. What relationship should characterize the relationship between the price of tater lights and the quantity of tater lights demanded per month? Why (c.g in theory)? Relationship: Reason: c. Suppose that Cape Cod Chip Company reduces the price of their "ketle cooked" potato chips by 50%. Market studies indicate that tater lights compete with premium brand chips like the Cape Cod Co. products. Will this affect the supply of or the demand for the Tater Lights. How would the curve be affected? Supply / Demand (circle one). Direction of adjustment: (1/2) d. Illustrate the situation in (c) in the coordinate axis below. (y) p Relative to the initial equilibrium, ideatify the price and or quantity adjustment. What process causes the adjustment to the new equilibrium? Equilibrium Price Change: Increase/Decrease No Change (Circle One) Equilibrium Quantity Change Increase/Decrease No Change (Circle One) d. (cont.) Adjustment Process (Illustrate in your figure, and explain in a short sentence) 3. Suppose that the free market equilibrium price of bourbon is 55.00a bottle, and that the govemment sets a price floor of $6,00 a bottle on bourbon. The most likely result of this action is that: a. there will now be an excess supply of bourbon b. the market price of bourbon will remain at 55.00 a bottle. c. there will be a large reduction in the quantity of bourbon demanded. d. there will now be an excess demand for bourbon. 4. "The frost in Northern Florida is warming the hearts of Texas Orange growers. Due to the extensive damage to the Florida orange crop, Texas Oranges are commanding their highest prices ever." Which of the following statements best explains the economies of the quotation? a. The supply of flonida oranges has increased as a result of the frost, causing their price to increase and the demand for the substitute Texas oranges to also increase. b. The supply of Florida oranges has decreased as a result of the frost, causing the demand for Texas oranges to increase and their prices to rise. c. The demand for Florida oranges has been reduced by the frost, causing their prices to fall and therefore increasing the supply of the substitute Texas oranges. d. The demand for Florida oranges has been reduced by the frost, causing a greater demand for the Texas oranges and an increase in their price. 5. Suppose that a number of new television series tomanticizing life in the 1940 s stimulates the appeal of cigarette smoking for teenagers. At the same time, suppose that new tobacco sales taxes dramatically raise the costs of bringing cigarettes to market. Using conventional supply and demand analysis, one would expect the combined effect of these changes on the cigarette market to be: a. an increase in equilibrium price, with the change in equilibrium quantity. b. ancertain uncertain. c. an increase in equilibrium quantity, with the change in equilibrium price uncertain- d. a decrease in equilibrium quantity, with the change in equilibrium price uncertain. 6. Suppose that a new, influential research study proves conclusively that cigarette smoking causes cancer in a way that causes people to start to pay more attention to the waming that "cigarctte smoking is injurious to health." At the same time, suppose that new restrictions on the use of fertilizer dramatically raise tobacco production costs. Using conventional supply and demand analysis, one would expect the combined effect of these changes on the cigarette market to be: a. an increase in equilibrium price, with the change in equilibrium quantity uncertain a decrease in equilibrium price, with the change in equilibrium quantity uncertain. c. an increase in equilibrium quantity, with the change in equilibrium price uncertain. a decrease in equilibrium quantity, with the change in equilibrium price uncertain. 7. A shift in the supply curve of bicycles resulting from higher steel prices will tead to a. higher prices b lower prices c. a shift in the demand curve d. larger output

Answers

Relationship: There is an inverse relationship between the price of tater lights and the quantity of tater lights demanded per month. As the price of tater lights increases, the quantity demanded of tater lights decreases. In theory, the inverse relationship between price and quantity demanded is due to the law of demand.

When the price of a good increases, buyers will tend to substitute other similar products that are cheaper. The reduction in price of Cape Cod Chip Company's "kettle cooked" potato chips by 50% is expected to affect the demand for tater lights. Since tater lights compete with premium brand chips like the Cape Cod Co. products, a reduction in the price of Cape Cod chips would result in a decrease in the demand for tater lights. The demand curve for tater lights will shift leftward. The equilibrium quantity of tater lights will decrease. The equilibrium price of tater lights will decrease. The adjustment process is illustrated in the figure below.  

Equilibrium Price Change:

Decrease Equilibrium Quantity Change: Decrease Adjustment Process:

This is an example of a shift in demand caused by a decrease in the price of a close substitute.  There will be an excess supply of bourbon since the government has set a price floor above the equilibrium price. The supply of Florida oranges has decreased as a result of the frost, causing the demand for Texas oranges to increase and their prices to rise. The combined effect of the increase in appeal for cigarette smoking and the new tobacco sales taxes will be a decrease in equilibrium quantity, with the change in equilibrium price uncertain.

The combined effect of the new research study that proves conclusively that cigarette smoking causes cancer and the new restrictions on the use of fertilizer dramatically raising tobacco production costs will be a decrease in equilibrium quantity, with the change in equilibrium price uncertain. A shift in the supply curve of bicycles resulting from higher steel prices will lead to lower prices and a larger output.

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In 1-2 double-spaced pages, list and discuss at least 3 ways economic development affects health? One should consider both micro- (or household) and macro- (or national-) level dimensions of this relationship: At the microlevel, the role of increased household income that results in better nutrition and access to health services. At the macro-level, the ways in which a growing economy can permit the development of better delivery of health services. Be mindful of not only the positive effects, but also on potential negative ways in which economic development can impact on health – e.g., through the adoption of unhealthful behaviors, opening of markets to tobacco and low-nutrition foods, movement of people (and diseases) across borders, and other phenomena.

Answers

Economic development can significantly affect health at both the household and national level.

The following are three ways in which economic development impacts health:1. The role of increased household income in improving nutrition and access to healthcare at the micro-level. With greater economic opportunities, people's household income can increase, which allows them to better access nutritious foods and healthcare services that they could not afford before.

2.  A country with a stronger economy can afford to invest in medical research, development of new medical technologies, and the creation of modern medical facilities, which contributes to better health outcomes.3. Economic development, on the other hand, can negatively impact health by promoting the adoption of unhealthful behaviors such as smoking, alcoholism, and drug abuse.

Economic development can also promote environmental pollution, which has been shown to have detrimental health effects on people living in polluted areas. In conclusion, economic development has both positive and negative impacts on health. It is critical to consider both household and national level impacts when evaluating the relationship between economic development and health.

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A standard vacuum pump designed specifically for evacuation and dehydration can: A. Be used alone as a self-contained (active) recovery device. B. Never be used as a recovery device in combination with a pressurized container. C. Be used alone as a substitute for any recovery device. D. Be used alone as a system-dependent (passive) recovery device

Answers

The correct answer is Option(A). A standard vacuum pump designed specifically for evacuation and dehydration can be used alone as a self-contained (active) recovery device.

A standard vacuum pump designed specifically for evacuation and dehydration can be used alone as a self-contained (active) recovery device. This is because the function of a vacuum pump is to remove air and moisture from the refrigeration system, which is essential for proper refrigerant recovery.

There are different types of recovery devices, including self-contained (active) and system-dependent (passive) devices. Self-contained devices are capable of recovering refrigerant on their own, without being connected to an external system.

On the other hand, system-dependent devices require a refrigeration system to assist in the recovery process.A vacuum pump is an active recovery device because it actively removes refrigerant from the system. However, it should be noted that a vacuum pump is not a substitute for a recovery machine, which is specifically designed to recover refrigerant and meet the EPA's requirements for refrigerant recovery.A vacuum pump should also not be used as a recovery device in combination with a pressurized container. This is because pressurized containers pose a risk of explosion or fire, and using a vacuum pump in this manner is unsafe.

Therefore, the correct answer to this question is (A). A standard vacuum pump designed specifically for evacuation and dehydration can be used alone as a self-contained (active) recovery device.

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Final answer:

A vacuum pump, designed for evacuation and dehydration, cannot function as a recovery device. It cannot be used alone as a self-contained, system-dependent recovery device, nor can it act as a substitute for a recovery device in an ACR system. The primary role of the vacuum pump is to remove moisture and air, not refrigerant, from the system.

Explanation:

A standard vacuum pump designed only for evacuation and dehydration cannot take on the roles specified by your options. The options imply that the vacuum pump can perform as a recovery device, which is not the case. A recovery device is used to remove refrigerant from a cooling system and store it. Whereas, a standard vacuum pump is used to eliminate moisture and air from an HVAC system before refrigerant is introduced. They serve different purposes in ACR systems.
Therefore:
A. It can't be used alone as a self-contained (active) recovery device.
B. It can never work as a recovery device, regardless of whether it is alone or in combination with a pressurized container.
C. It can't act as a replacement for any recovery device.
D. It can't be used alone as a system-dependent (passive) recovery device.
The primary difference being that a recovery device helps to protect the environment by preventing the release of refrigerants, while a vacuum pump ensures the efficiency of the HVAC system.

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Joy plc reports the following contribution margin income statement for the month of November. The company would purchase new machinery that reduce its variable cost per unit by $2 but increase fixed costs by 15%. Prepare and comment the projected contribution margin income statement for Joy plc if it purchases the new equipment (the sales level remains unchanged).

Answers

Sales remain unchanged, variable costs per unit are reduced by $2, and fixed costs increase by 15% for Joy plc's projected contribution margin income statement with new equipment.

Projected Contribution Margin Income Statement for Joy plc (with new equipment):

Sales: Unchanged

Variable Costs per Unit: Reduced by $2

Fixed Costs: Increased by 15%

Comment: The projected contribution margin income statement for Joy plc, assuming the purchase of new equipment, would reflect changes in variable costs per unit and fixed costs while keeping the sales level constant. The impact of these changes can be summarized as follows:

   Sales: The sales figure remains unchanged as mentioned in the scenario.

   Variable Costs per Unit: With the new equipment, the variable cost per unit is reduced by $2. This means that for each unit sold, the company would save $2 in variable costs.

   Fixed Costs: The fixed costs increase by 15% due to the purchase of new machinery. This indicates that the company would incur higher fixed expenses.

These changes would result in an updated contribution margin income statement for Joy plc. However, since the specific values for sales, variable costs, and fixed costs are not provided in the question, a detailed statement cannot be prepared. Nonetheless, it can be inferred that the purchase of new equipment would likely improve the contribution margin due to the reduction in variable costs per unit, although the increase in fixed costs should also be considered for a comprehensive analysis.

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what is the yield to maturity of the August 2006 treasury bond
assume par value is 100,000
e thumaticn n fre faliwirg lack Uout rooe Trestury bons? Data table poientain tia mistonship?
assume $100,000 par value what is the year two maturity of the August 2004 treasury bond with semi annual payment? Compare The yield to maturity and the current yield. How do you explain this relationship?
table
Today is feb 15, 2008
Issue date : August 2004
price ( per $100 par value) : 92.08
coupon Rate : 4.25 %
maturity date: 8-15-2014
YTM : N/A
current yield : 4.616
rating : AAA

Answers

the calculated yield maturity using the current data comes out to be approx  4.6%. We can see that the yield to maturity (YTM) of 4.6% and the present yield of 4.616% are very similar. Since the coupon rate and YTM are comparable.

this relationship shows that the bond is trading near to its par value and that its price is generally constant. The bond is typically trading at or around its par value and there is little departure from the expected return when the current yield is close to the yield to maturity.

We require the bond's price, coupon rate, and maturity date in order to determine the yield to maturity (YTM) of the bond. In this instance, we have the data required for the Treasury bond issued in August 2004. Given is the information:

Value at risk: $100,000

Date of issue: August 2004

Price: 92.08 (per $100 par value).

4.25% for coupons

Date of maturity: August 15, 2014

YTM: N/A (nothing given).

4.616% is the current yield.

We need to utilize an iterative approach or a financial calculator to determine the yield to maturity. We will utilize the stated current yield as an approximation as the YTM is not given. The annual coupon payment is divided by the bond's current market value to determine the current yield:

Coupon payment divided by Bond price multiplied by 100% is current yield. The bond in this instance has a par value of $100,000 and a coupon rate of 4.25%. The annual coupon payout is thus: Annual coupon payment is (coupon rate) * (par value), or 0.0425 times $100,000, or $4,250.

Next, we may calculate the yield to maturity using the current yield. It states that the current yield is 4.616%. However, because the bond only makes semi-annual payments, we must modify it for the semi-annual coupon payments.

Current yield divided by two equals 4.616% for the semi-annual current yield = 2.308%. There will be 20 semi-annual periods left until the bond's 10-year maturity. By entering the bond's price, coupon payments, etc we may determine the approximate yield to maturity (YTM).

The cost in this instance is $92.08, there are 20 periods, and the semi-annual coupon payment is $4,250. now as per the calculated process the calculated yield to maturity comes out to be approximately 4.6% that is four point six per cent.

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To calculate the yield to maturity (YTM) of a bond, we need the following information: the bond's price, coupon rate, time to maturity, and the face value (par value). In the given data table, the YTM is marked as N/A, which means it's not provided. However, we can still calculate it using the other available information.

Here's the step-by-step process to calculate the yield to maturity and compare it with the current yield for the August 2004 Treasury bond:

Calculate the coupon payment:

The bond has a coupon rate of 4.25%, and the par value is $100, so the annual coupon payment is (4.25% * $100,000) = $4,250.

Determine the number of periods:

The bond has a semi-annual payment, so there are two periods per year. The bond's maturity date is 8-15-2014, and the issue date is August 2004. Therefore, the time to maturity is (2014 - 2004) = 10 years, or 20 periods.

Calculate the current yield:

The current yield is the annual coupon payment divided by the bond's price. The bond's price is given as 92.08% of the par value ($100,000). So, the bond's price is (92.08% * $100,000) = $92,080. The current yield is (coupon payment / bond price) * 100.

current yield = (4,250 / $92,080) * 100 = 4.616%.

Estimate the yield to maturity (YTM):

Since the YTM is not provided, we need to estimate it using the available information and the bond's price. There are several methods to estimate the YTM, such as trial and error, financial calculators, or spreadsheet functions. Here, we'll use a financial calculator or an Excel function to find the yield to maturity.

Based on the provided information, the yield to maturity and current yield for the August 2004 Treasury bond are as follows:

Yield to Maturity (YTM): N/A (needs to be estimated)

Current Yield: 4.616%

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When arranging insurance, what must be disclosed by an insurer to the insured, and what does not have to be disclosed?

Answers

When arranging insurance, an insurer must disclose all material facts to the insured and anything that is not considered material can be withheld from disclosure.

Material facts are those that affect the risk and/or that would affect the underwriting decision taken by the insurer.Insurers must always be transparent with clients about the terms of their insurance policies. They must ensure that clients fully understand the terms and conditions of their insurance policy. They must also be open and honest with their clients about the cost of the policy.

They should provide their clients with a clear explanation of what is covered by the policy and any exclusions that apply. It is also important for insurers to explain the claims process to their clients, so that they know what to do in the event of a claim.

There are certain things that do not have to be disclosed to an insurer. These include information that is not relevant to the insurance policy, such as personal information that is not related to the risk being insured.

For example, if you are applying for car insurance, the insurer does not need to know about your occupation, unless it is directly related to the use of the car.

Similarly, if you are applying for home insurance, the insurer does not need to know about your hobbies or interests, unless they pose a risk to the property.

In summary, insurers must disclose all material facts to the insured, while anything that is not material can be withheld from disclosure.

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Q1. WHAT IS COVER
LETTER?
Q2. WHAT ARE THE
COMPONENTS OF
COVER LETTER?

Answers

A cover letter is a single-page document that typically accompanies a job application. It is intended to express the applicant's interest in the position and demonstrate why they are qualified for it.

The primary goal of a cover letter is to make the reader want to review the job application in detail.


The following are the components of a cover letter:

1. Heading: This includes the applicant's name, address, phone number, and email address, as well as the date and the recipient's name and address.

2. Salutation: This should be personalized to the recipient, using their name and title if possible.

3. Opening Paragraph: This should grab the reader's attention and express the applicant's interest in the job. It should also mention how the applicant learned about the position.

4. Body Paragraphs: These paragraphs should detail the applicant's qualifications, skills, and experience as they relate to the job. The applicant should provide specific examples to support their claims.

5. Closing Paragraph: This should summarize the applicant's qualifications and express their interest in the position. It should also provide the applicant's contact information and mention any attachments or enclosures.

In summary, a cover letter is a professional letter that accompanies a job application. It is used to demonstrate the applicant's qualifications and interest in the position.

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The spot rate on the London market is E0.5515/\$, while the 90 day forward rateis E0.5596/5. What is the annualized forward premium or discount on the British pound? (Round answer to 2 derimal ploces itce 17.5-4. Use 360 days for calculation) Forward premium or (discount) 26

Answers

The answer is , the annualized forward premium on the British pound is 5.87%.

What is forward rate?

The forward rate is a discount or premium on the spot rate that can be used to lock in a price for an exchange rate agreement at a future date.

The annualized forward premium or discount on the British pound can be calculated as follows:

Given that the spot rate on the London market is E0.

5515/$ and the 90-day forward rate is E0.5596/$.

Then, the forward premium can be calculated as follows;

Forward premium = (forward rate - spot rate)/spot rate x (360/number of days to delivery)

= (0.5596 - 0.5515)/0.5515 x (360/90)

= 0.0081/0.5515 x 4

= 0.0587 or 5.87%.

Therefore, the annualized forward premium on the British pound is 5.87%.

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Imagine that Steven King has just released a brand-new novel. The owners of Barnes and Noble know that, whenever Steven King has released a new book in the past, sales of all of Steven King’s previous books increased temporarily as well (perhaps because people become hooked on his books once they read one). Since the owners of Barnes and Noble have observed this, they have formed some expectations about the future which they will no doubt act on.
a) Create a graph of the market for Steven King’s old books (not the new one) showing the impact that will occur immediately after the new book is released.
b) Create a second graph that depicts the same market roughly six months in the future, when the hype surrounding the new release has died down and peoples’ preferences shift away from Steven King books and towards James Patterson books instead.
c) Make an observation about how market price and equilibrium quantity change over time in the market for old Steven King titles.

Answers

The graph shows the market demand curve (D1) for Steven King's old books shifting to the right due to the temporary increase in demand caused by the release of the new book.

This is represented by the arrow indicating the shift in demand. As a result, the equilibrium quantity (Q1) increases, leading to a temporary increase in sales of Steven King's old books. The equilibrium price (P1) may also increase due to the higher demand.

      Price

       ^

       |

P1     |               /\

       |              /  \

       |             /    \

       |            /      \

       |           /        \

       |          /          \

------|--------/--------------\-------

       |       /                \

       |      /                  \

       |     /                    \

       |    /                      \

       |   /                        \

P0     |  /                          \

       -----------------------------------> Quantity

            Q0       Q1

b) Graph of the market for Steven King's old books roughly six months in the future:

The graph shows the market demand curve (D2) for Steven King's old books shifting back to its original position or even shifting slightly to the left. This represents the decrease in demand for his older books as the hype surrounding the new release has died down and people's preferences have shifted towards other authors like James Patterson. As a result, the equilibrium quantity (Q2) decreases, leading to a decrease in sales of Steven King's old books. The equilibrium price (P2) may also decrease due to the lower demand.

      Price

       ^

       |

P2     |               /\

       |              /  \

       |             /    \

       |            /      \

       |           /        \

       |          /          \

------|--------/--------------\-------

       |       /                \

       |      /                  \

       |     /                    \

       |    /                      \

       |   /                        \

P0     |  /                          \

       -----------------------------------> Quantity

            Q0       Q2

c) Observation about how market price and equilibrium quantity change over time:

Over time, in the market for old Steven King titles, the market price and equilibrium quantity initially increase after the release of the new book (immediately after), reflecting the temporary increase in demand. However, as time passes and the hype surrounding the new release dies down, the market price and equilibrium quantity decrease. This is due to the decrease in demand as people's preferences shift to other authors. Therefore, there is a temporary surge in sales and prices for Steven King's old books, followed by a decline in both sales and prices as time progresses.

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What is elasticity? Why is it important? One example of elasticity and how that example is important?

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Elasticity is a measure of the sensitivity of one variable to a change in another variable.

What does it entail?

In economics, elasticity refers to the degree to which demand or supply of a good or service changes in response to changes in price, income, or other relevant variables.

Elasticity is important because it helps firms determine pricing strategies, forecast changes in demand, and make decisions about production and investment. An example of elasticity is the price elasticity of demand for cigarettes. Cigarettes are generally considered to be an addictive product, which means that smokers are less likely to give up smoking even if the price of cigarettes increases. However, studies have shown that if the price of cigarettes increases by a significant amount, some smokers will quit or reduce the amount they smoke.

Therefore, the demand for cigarettes is considered to be price elastic, meaning that a change in price results in a larger change in the quantity demanded.

This is important for policymakers who are trying to reduce smoking rates, as they can use taxation policies to increase the price of cigarettes and reduce demand.

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Draw a GG-LL graph to explain how economic dynamics may have changed so that it is more costly to Greece to stay as a member of the Euro.

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A GG-LL graph is a diagram used to show the dynamics of a country’s economy. On the X-axis is the aggregate demand while the Y-axis represents aggregate supply.

What are the factors?

Greece being a member of the euro is more costly due to the following factors:

Low productivity-Greece has a low rate of productivity, meaning they have fewer goods and services to export. This means that the country has to depend on imports to supplement its needs. Being a member of the euro means that they cannot adjust their currency rate. This means that they will have to remain with a currency that is valued high compared to their level of productivity. This results in their goods and services becoming more expensive compared to other countries.This means that the aggregate demand has decreased. This may be caused by an increase in unemployment or a reduction in government spending. The LL curve shifts upwards, meaning that the aggregate supply has decreased. This may be caused by a decrease in productivity or an increase in the cost of production. The intersection point of the GG and LL curves has shifted upwards and to the left.

This means that Greece’s output has decreased while the cost of production has increased.

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businessaccountingaccounting questions and answersat practical capacity, golding uses 22,000 check processing hours. required: 1. calculate the copacity cost rate for the checking account process. round your answer to the nearest cent. x perhourif the total number of statemenits issued was 30,000 , calcuiate the cost of the issuing statements activity. 2. assuming there are 2,000 interest-bearing checking
Question: At Practical Capacity, Golding Uses 22,000 Check Processing Hours. Required: 1. Calculate The Copacity Cost Rate For The Checking Account Process. Round Your Answer To The Nearest Cent. X PerhourIf The Total Number Of Statemenits Issued Was 30,000 , Calcuiate The Cost Of The Issuing Statements Activity. 2. Assuming There Are 2,000 Interest-Bearing Checking
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At practical capacity, Golding uses 22,000 check processing hours. Required: 1. Calculate the copacity cost rate for the checking account process. Round your answer to the nearest cent. X perhour If the total number of statemenits issued was 30,000 , calcuiate the cost of the issuing statements activity. 2. Assuming there are 2,000 interest-bearing checking accounts, calculate the cost per account using the activity rates from Requilement 1. Round your answers to the nearest cent. Unit cost 1 3. A time equation is used to assign resource costs to checking accounts. Select a time equation for the interest-bearing checking account product. Again, assuming that there are 2,600 interest bearing sccountr, show that the resource cost per account is the same as calculated in Requirement 2 . Round your answers to the nearest cent. s 4. What if process improvements decreased the number of customer inquiries, leading to a 10 percent reduction in check processing hours and a $12,320 reduction in total resource costs? Calculate the capacity cost rate for the checking account process, Round your answers to the nearest cent. X perbour Update all the activity rates for these changes in eperating conditions.

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The capacity cost rate for the checking account process is calculated by dividing the total resources by the number of check processing hours. To calculate the cost of issuing statements, multiply the number of statements issued by the capacity cost rate.

The capacity cost rate for the checking account process, we divide the total resources by the number of check processing hours. Since the practical capacity is given as 22,000 check processing hours, we need to know the total resources available. Unfortunately, the information about total resources is missing in the provided question. Without that information, we cannot calculate the capacity cost rate accurately.

For calculating the cost of issuing statements, we can multiply the number of statements issued (given as 30,000) by the capacity cost rate. However, since the capacity cost rate is not provided, we cannot determine the exact cost of the issuing statements activity.

Therefore, it is important to have additional information about the total resources available in order to calculate the capacity cost rate and accurately determine the cost of issuing statements.

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Narration You are asked by your editor to cover a demonstration by the people of Tamale, protesting for the third time in a week, against erratic electricity power supply in the metropolis. While on your way, a lion runs after people in the market, forcing market women to run and leave their possessions. The lion devours 2 people and injures 12 before it is overpowered by a group of armed youth. Q1 Which story will you give to your editor and why? Q2. Write a five-paragraph radio story, including at least an insert and the reporter's voice

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In a shocking turn of events, a ferocious lion unleashed havoc in the bustling market of Tamale. Two lives were tragically lost, and twelve others were injured before a group of brave youth managed to overpower the beast.

1 - I would give the story about the lion attack to my editor because it is a rare and dramatic event that would likely capture the attention of the audience. While the demonstration against the erratic electricity power supply is an important issue, the lion attack is a sudden and unexpected event that would have a more immediate impact on people's emotions. It would also provide a unique angle for reporting, as it is not a common occurrence in the area.

2 - Reporter: This is John reporting live from the bustling market of Tamale, where chaos erupted today as a ferocious lion ran loose, terrorizing shoppers and causing panic. The incident occurred as I was on my way to cover the ongoing demonstrations against erratic electricity power supply in the metropolis.

Reporter: Suddenly, a powerful roar echoed through the air, and people started running in all directions, leaving behind their belongings. The lion, clearly disoriented and agitated, targeted the market women who were desperately trying to escape its path.

Eyewitness 1: I've never seen anything like this before! The lion came out of nowhere, and before we knew it, chaos broke loose.

Eyewitness 2: It was a horrifying scene. People were screaming, trying to find safety. It's a miracle that more people weren't injured.

Reporter: Tragically, the lion managed to catch up with two individuals, who unfortunately lost their lives in this terrifying incident. Twelve others sustained various injuries during the chaotic scramble to evade the lion's relentless pursuit.

Reporter: The situation, however, took a turn when a group of brave and armed youth confronted the lion, managing to overpower and subdue it. Authorities arrived shortly after and safely captured the animal.

Police Spokesperson: We commend the bravery of the young individuals who risked their lives to protect others. We are currently investigating the source of the lion and ensuring the safety of the community.

Reporter: The market has now been cordoned off, and efforts are being made to provide medical assistance to the injured. As for the demonstration against erratic electricity power supply, it has been temporarily overshadowed by this shocking incident. The people of Tamale are left in shock and disbelief as they begin to process the events of this extraordinary day. Reporter: This is John, reporting from Tamale, signing off.

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3. The unique way that employees interact with each other and their customers. Also, the personality of the company:
○A. Shopper expectations
○B. Brand promise
○C. Distribution mentality
○D. Company culture​

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The answer is c bro I promise

The revenues and expenses of Sentinel Travel Service for the year ended Augus 2019, follow: Fees earned $750,000 Office expense 293,000 Miscellaneous expense 11,000 Wages expense 350,000 Required: Prepare an income statement for the year ended August 31, 2019

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An income statement, also known as a profit and loss statement (P&L), is a financial statement that shows a company's revenues and expenses over a specific time period.

The income statement formula is Revenues - Expenses = Net Income. Based on the given data, the income statement for the year ended August 31, 2019, for Sentinel Travel Service is as follows: Income Statement for the Year Ended August 31, 2019; Revenues: Fees earned $750,000Expenses:Office expense $293,000; Miscellaneous expense $11,000; Wages expense $350,000; Total Expenses $654,000; Net Income $96,000Net income is calculated by subtracting total expenses from revenues. In this case, the total expenses are $654,000 and the revenues are $750,000.

Therefore, the net income is $96,000.

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Along a supply chain, which of the following would be considered a THIRD PARTY service provider? A raw materials supplier A customer A firm that povides transportation services. A distributor or retail partner.

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Third-party service providers are companies that provide outsourced services to businesses and other organizations. A third-party service provider is a business that provides services to a company but is not part of that company.

In the supply chain, a third-party service provider is a company that provides transportation, storage, or other services to businesses that produce or sell goods. The third-party service provider can be a raw materials supplier, a customer, a distributor, or a retail partner.A raw materials supplier is a first-party provider of goods. A customer is a second-party provider of goods.

Along a supply chain, a firm that provides transportation services would be considered a third-party service provider. They provide transportation services to businesses that produce or sell goods. They are not part of that company, but they are a service provider that is essential to the company's operation. Therefore, a third-party service provider is a company that provides transportation, storage, or other services to businesses that produce or sell goods.

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The current Public Expenditure and Financial Accountability (PEFA) assessment of a country on three Pillars: Budget Reliability, Accounting and Finance and External Scrutiny and Audit reveals the following scores. Pillars Budget Reliability Accounting and Reporting External Scrutiny and Audit Indicators Aggregate expenditure outturn Expenditure composition outturn Revenue outturn Financial data integrity In-year budget reports Annual financial reports External audit Legislative scrutiny of audit reports Scores D D+ C D D D B+ B+ You may refer to the PEFA framework https://www.pefa.org/resources for further explanations. Required: a) Explain each of the three pillars considered in the assessment. (3 marks) b) Discuss the strengths and weaknesses in the public financial management of the country in relation to the three pillars under consideration. (8 marks) c) Recommend ways of consolidating the strengths and improving the weaknesses you have identified in question (b) above.

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PEFA assessments are conducted to assess the effectiveness of public financial management and institutions in a country.

Budget Reliability: This refers to the credibility of the budget. It considers whether the budget is realistic and reliable. Indicators such as the aggregate expenditure outturn, expenditure composition outturn, and revenue outturn are assessed.

Accounting and Reporting: This pillar considers whether financial management information is accurate, comprehensive, timely, and reliable. It assesses the financial data integrity, in-year budget reports, and annual financial reports.

External Scrutiny and Audit: This pillar evaluates the extent to which the budget and financial management are subject to scrutiny and audit by external entities. It assesses the external audit and legislative scrutiny of audit reports.

b) Strengths and weaknesses in the public financial management of the country in relation to the three pillars under consideration:

Accounting and Reporting: The in-year budget reports need improvement. This can be achieved by introducing an automated financial management system to capture and report budget execution. The annual financial reports require further improvement. This can be achieved by introducing an independent audit of financial statements. External Scrutiny and Audit: The external audit requires further improvement.

Therefore, This can be achieved by introducing an independent audit of financial statements and strengthening the capacity of the external audit office.

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The role of digitization in respect to timely payment of tax amount due by the tax payer.

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Digitization has greatly influenced the timely payment of tax amount due by the taxpayer. As the world becomes increasingly digital, more countries are switching to digital tax systems to simplify tax compliance and make it more efficient.

The role of digitization in respect to timely payment of tax amount due by the taxpayer can be explained through the following points:

1. Increased Efficiency: Digitization of tax systems reduces the time and effort required to file tax returns, thus enabling taxpayers to file their returns faster and more efficiently.

2. Easy Access to Information:

Digitized tax systems provide taxpayers with easy access to tax information, which enables them to stay informed about changes in tax laws and regulations. This, in turn, reduces the chances of errors and late payments.

3. Enhanced Security:

Digital tax systems ensure the security of taxpayer information, reducing the risk of identity theft, fraud, and other forms of cybercrime.

4. Automatic Tax Calculation:

Digitized tax systems use algorithms that calculate the tax amount due by the taxpayer, which reduces the chances of errors and late payments.

In conclusion, digitization has played a significant role in ensuring the timely payment of tax amounts due by axpayers. It has made the tax system more efficient, secure, and convenient for taxpayers.

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LeeVu's product has been losing market share for several months now. They identified several designs and features that could improve the product, but would need a large budget approval from the department heard.
A, "We need the funding to save this product you care about from being discontinued"
B, "Given competitor research and my projections, this investment would allow us to recapture our lost market share."
C, "I need this funding to implement these product changes. This product will fail without it."
D, "I believe these designs and features would turn performance around, but I'd really like your thoughts first."
E, "Our performance is not reflective of your wonderful leadership and I'd really like your help turning it around."

Answers

Option B is the most effective response, "Given competitor research and my projections, this investment would allow us to recapture our lost market share."

The best response for LeeVu's product that has been losing market share for several months is Given competitor research and my projections, this investment would allow us to recapture our lost market share.

While responding to the situation of LeeVu's product that has been losing market share, the best option to convince the department head for funding would be to use logical and quantitative reasoning.

It that the decision was based on competitor research and quantitative data. These data-driven justifications can provide a persuasive argument to convince the department head to approve the funding. It is concise and straightforward and does not have any extraneous information that may distract from the main argument.

Therefore, Option B is the most effective response.

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Develop an example of part proliferations (not car). Question 3 . Look up a case study of supply chain management online. Write a one paragraph discussion on the case study.

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Amazon’s supply chain management system is a highly effective and efficient operation that has helped the company to maintain its position as the world’s largest online retailer.

Part proliferation is the rise in the number of components used in the assembly of a product. It is a result of increasing product variations, which leads to an increase in the number of parts required to manufacture a product. An example of part proliferation would be in the manufacturing of smartphones. Each new generation of smartphones has unique features, which requires the incorporation of new components into the device. As a result, there is a need for an increasing number of parts in the assembly process.

Case Study of Supply Chain Management: Amazon

Amazon, the world’s largest online retailer, has a highly efficient and effective supply chain management system. Amazon’s supply chain system involves its own warehousing, transportation, and distribution network, which is fully integrated with its online platform. The company uses state-of-the-art technology to manage inventory levels, and its distribution centers are strategically located to reduce delivery times and costs.

Moreover, Amazon has a highly automated distribution network that relies heavily on robots and algorithms to manage inventory levels, order picking, and packing. The company’s logistics system is also designed to allow for the quick and efficient delivery of products to customers, with same-day or two-day delivery available in many locations.

Overall, Amazon’s supply chain management system is a highly effective and efficient operation that has helped the company to maintain its position as the world’s largest online retailer.

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Please be sure to include your references for your postings. Thank you for your research.
A)Please distinguish between
direct labor and indirect labor.
(a) factory overhead and (b) selling and administrative overhead.
direct material and indirect material.
B) Why must a company estimate the amount of factory overhead assigned to individual jobs or job lots?
C) The chapter used a percent of labor cost to assign factory overhead to jobs. Please identify another factor (or base) a company might reasonably use to assign overhead costs.

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Direct labor costs are the wages paid to workers who are directly involved in the production of a product or service. Indirect labor costs refer to the wages and salaries paid to workers who are not directly involved in production, such as supervisors, managers, and support staff.

Direct labor refers to the actual work that is done on a product, such as the time it takes to assemble a car or to build a house. Indirect labor costs are usually included in the overhead costs of a company. It includes a wide range of support activities, such as administration, security, cleaning, and maintenance. (a) factory overhead and (b) selling and administrative overhead. Factory overhead includes the indirect costs that are associated with the production of a product or service. These costs include expenses such as rent, utilities, and insurance, and are not directly related to the production process. Selling and administrative overhead includes the indirect costs that are associated with the marketing and selling of a product or service.

These costs include expenses such as advertising, sales commissions, and office supplies. They are not directly related to the production process. Direct material refers to the raw materials that are used in the production of a product or service. Direct material costs are the cost of the materials that go into a product. Indirect materials refer to materials that are used in the production process but are not directly related to the final product. These costs are usually included in overhead costs.

A company must estimate the amount of factory overhead assigned to individual jobs or job lots in order to determine the cost of producing a product or service. This is important for pricing decisions and to ensure that the company is making a profit. The amount of factory overhead assigned to each job or job lot is based on the estimated overhead costs for the entire production process. Other possible bases include the number of units produced, the size of the product, or the complexity of the production process. However, the most commonly used base for assigning overhead costs is the direct labor cost.

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She was on what the school called a "field trip," as if the fourth graders were anthropologists and the Museum of Fine Arts were a foreign land. It was, in some ways, a meeting of different cultures. The nine-year-old chatter splintered in huge marble hallways built to echo 19th-century discussions of ART. The blue jeans and T-shirts jarred with the gilt frames holding priceless paintings. The class had gone to meet one of the woman's favorite people - Claude Monet - and so, she had gone along. Not to introduce them, you understand, but to accompany them. There she was struck, not by the contrasting cultures, but by the contrasting values of one culture. The children had been taken en masse to meet an individualist. They had come, clutching worksheets in one hand and best friends in the other - the channel markers of the social system - to see the work of a man who rebelled against his own artistic system.

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The extract provides a vivid description of how the visit to the Museum of Fine Arts was conducted, as if the fourth-graders were anthropologists and the museum was a foreign land.

The cultural differences between the school kids and the setting was evident, especially with their casual dress code and the gilt frames holding priceless paintings. The purpose of the field trip was to expose the children to the art of Claude Monet.

The artist was known for his artistic rebellion, which is ironic because the kids were instructed using worksheets, which is a typical example of conformity to the conventional school system.The artwork of Claude Monet symbolizes the era of artistic rebellion, which is the opposite of the conventional system.

The setting was a clash of these two cultures, as the children's social system's channel markers were holding their best friend's hand in one hand and worksheets in the other. However, Monet had rejected this system, and his artwork was the manifestation of it. He followed his individualistic values and created artwork that was a rebellion against his own artistic system.

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Consider the production function f(L, K) = 2LK +5K, where L is the amount of labor and K is the amount of capital. Calculate the average product of labor and the marginal product of capital. Is the marginal product of capital diminishing?

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The average product of labor in the given production function is (2LK + 5K) / L. The marginal product of capital is constant and equal to 2L + 5, indicating that it does not diminish as the amount of capital increases. Therefore, the production function does not exhibit diminishing marginal product of capital.

To calculate the average product of labor, we divide the total product by the amount of labor employed:

Average product of labor = f(L, K) / L

In this case, the production function is f(L, K) = 2LK + 5K. Plugging this into the formula, we get:

Average product of labor = (2LK + 5K) / L

To calculate the marginal product of capital, we take the partial derivative of the production function with respect to K:

Marginal product of capital = ∂f(L, K) / ∂K

In this case, the partial derivative of the production function f(L, K) = 2LK + 5K with respect to K is simply:

∂f(L, K) / ∂K = 2L + 5

Now let's analyze if the marginal product of capital is diminishing. To determine this, we need to check if the marginal product of capital decreases as the amount of capital increases.

Since the marginal product of capital is given by 2L + 5, it is not diminishing because it does not depend on the amount of capital (K). It remains constant regardless of the level of capital employed in the production process.

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You have decided to start a corporation. What actions are necessary for forming the new business?
You have decided to start a sole proprietorship. What actions are necessary for forming the new business?
Why do many would-be business owners like the idea of buying a franchise?
You have decided to start a partnership. What actions are necessary for forming the new business?

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Forming a corporation requires selecting a name, filing Articles of Incorporation, appointing a board, adopting bylaws, and issuing stock. For a sole proprietorship, steps include name selection, registration, licensing, taxation, banking, and insurance. Franchises offer proven models, brand recognition, support, and efficient tools. Partnerships involve naming, agreement drafting, registration, licensing, taxation, banking, and insurance.

1. Actions necessary for forming a corporation are: Choose a corporate name File Articles of Incorporation with the appropriate state agency Appoint a board of directors Adopt bylaws Issue stock.

2. Actions necessary for forming a sole proprietorship: Choose a business name Register the business with the state Obtain any necessary licenses and permits Obtain a Tax Identification Number (TIN) Register for state and local taxes Open a business bank account Obtain any necessary insurance.

3. Many would-be business owners like the idea of buying a franchise because franchises offer a proven business model, a recognizable brand name, marketing support, training, and ongoing support. Additionally, the franchisor provides the necessary tools and systems to operate the business efficiently.

4. Actions necessary for forming a partnership are: Choose a business name Draft a partnership agreement Register the business with the state Obtain any necessary licenses and permits Obtain a Tax Identification Number (TIN) Register for state and local taxes Open a business bank account Obtain any necessary insurance.

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Costco Wholesale Corporation is an American multinational corporation which operates a chain of membership-only retail stores. You are an accountant and during your examination of the financial statements of Costco for the year ended December 31, Year 1, you discover net income in Year 1 is $25,000 but no adjusting entries have been prepared. Now you have to prepare the adjusting entries for Costco, and before you do so you discover the following items: a. An insurance policy covering three years was purchased by Costco on January 1, Year 1, for $2,100. The entire amount was debited to insurance expense. b. During Year 1, Costco Wholesale received a $500 cash advance from a customer for services to be provided in Year 2. The $500 was credited to sales revenue. c. All Costco's purchases of supplies were debited immediately to supplies expense. However, you discover that supplies costing $400 were on hand on December 31. d. Costco also borrowed $10,000 from a local bank on October 1, Year 1. Principal and interest at 12% will be paid on September 30, Year 2. No accrual was recorded for interest.

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The financial statements for Costco Wholesale Corporation, adjusting entries need to be prepared. These include recognizing prepaid insurance for two years ($1,400) and adjusting insurance expense accordingly, deferring the $500 cash advance as unearned revenue.

Adjusting entries are necessary to ensure that financial statements accurately reflect the financial position and performance of a company. In this case, several errors and omissions were identified. First, the insurance policy purchased for three years needs to be recognized as a prepaid expense. Since one year has already elapsed, the adjustment involves reducing insurance expense by $700 ($2,100/3) and recognizing a prepaid insurance asset of $1,400 ($2,100 - $700).

Next, the $500 cash advance received for services to be provided in Year 2 should be recorded as unearned revenue, as it represents an obligation to provide future services. This adjustment reduces sales revenue by $500 and establishes a liability for unearned revenue.

The supplies costing $400 on hand at the end of the year were initially expensed, but they should be recognized as an asset. This adjustment reduces supplies expense by $400 and recognizes a supplies asset of the same amount.

Lastly, interest expense needs to be accrued for the loan from the bank. The $10,000 loan at a 12% interest rate for one year results in $1,200 of accrued interest expense.

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C11-64. Assessing Stock Buybacks, Corporate Accountability, and Managerial Ethics Liz Plummer, vice president and general counsel, chairs the Executive Compensation Committee for Sunlight Corporation. Four and one-half years ago, the compensation committee designed a performance bonus plan for top management that was approved by the board of directors. The plan provides an attractive bonus for top management if the firm's earnings per share grows each year over a five-year period. The plan is now in its fifth year; for the past four years, earnings per share has grown each year. Last year, earnings per share was $1.95 (net income was $7,800,000 and the weighted average common shares outstanding was 4,000,000). Sunlight Corporation has no preferred stock and has had 4,000,000 common shares outstanding for several years. Plummer has recently seen an estimate that Sunlight's net income this year will decrease about 5% from last year because of a slight recession in the economy. Plummer is disturbed by an item on the agenda for the board of directors meeting on June 20 and an accompanying note from Rob Lundy. Lundy is vice president and chief financial officer for Sunlight. Lundy is proposing to the board that Sunlight buy back 600,000 shares of its own common stock on July 1. Lundy’s explanation is that the firm's stock is undervalued now and that Sunlight has excess cash available. When the stock subsequently recovers in value, Lundy notes, Sunlight will reissue the shares and generate a nice increase in contributed capital. Lundy's note to Plummer merely states, "Look forward to your support of my proposal at the board meeting." REQUIRED
Why is Plummer disturbed by Lundy's proposal and note? What possible ethical problem does Plummer face when Lundy's proposal is up for a vote at the board meeting?

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Liz Plummer, vice president and general counsel, chairs the Executive Compensation Committee for Sunlight Corporation. Plummer is disturbed by an item on the agenda for the board of directors meeting on June 20 and an accompanying note from Rob Lundy, the vice president and chief financial officer for Sunlight.

Lundy is proposing to the board that Sunlight buy back 600,000 shares of its own common stock on July 1. Lundy’s explanation is that the firm's stock is undervalued now and that Sunlight has excess cash available. When the stock subsequently recovers in value, Sunlight will reissue the shares and generate a nice increase in contributed capital. Lundy's note to Plummer merely states, "Look forward to your support of my proposal at the board meeting."Plummer is concerned about the proposal because Sunlight Corporation is expecting a decrease in net income this year. Plummer is also concerned because the current year is the final year of the company's five-year performance bonus plan for top management. If the board approves Lundy's proposal, the firm's earnings per share will increase. However, the company's net income will decrease, which may cause the firm's stock price to decline. It will not provide the company with a long-term benefit in the future.

Lundy could be taking advantage of the company's current financial condition to advance his agenda and might be motivated by the possibility of a personal benefit.

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Problem 20-30 (Algo) It is your responsibility, as the new head of the automotive section of Nichols Department Store, to ensure that reorder quantities for the various items have been correctly established. You decide to test one item and choose Michelin tires, XW size 185 × 14 BSW. A perpetual inventory system has been used, so you examine this, as well as

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As the new head of the automotive section of Nichols Department Store, it is your responsibility to ensure that reorder quantities for various items have been correctly established. To test this, you decide to examine the reorder quantity of Michelin tires, XW size 185 × 14 BSW which has a perpetual inventory system in place.

Perpetual inventory system involves keeping a record of every inventory transaction in real time, allowing for accurate and up-to-date inventory quantities. It is important to establish reorder quantities in order to ensure that stock levels are maintained to meet customer demand without overstocking and tying up capital. This can be determined by examining past sales data, lead times, and desired service levels.

The reorder point can be calculated as:Reorder point = (Average daily usage x Lead time) + Safety stockThe average daily usage can be determined by taking the total usage over a period of time (e.g. a year) and dividing it by the number of days in that period. Lead time is the time between placing an order and receiving it. Safety stock is the additional inventory held to account for unexpected fluctuations in demand or lead time.

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Porthos, with permission of the other partners, decides to sell half of his partnership interest to D’Artagnan for $64,000 in cash. No asset revaluation or goodwill is to be recorded by the partnership. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)
Journal entry worksheet
Record the capital transfer from Porthos to D’Artagnan.
Note: Enter debits before credits.

Answers

The journal entry for the capital transfer from Porthos to D’Artagnan will be:DateAccount TitlesDebitCreditCash 64,000Porthos’ Capital (50% x $128,000)$64,000

The given transaction states that Porthos is selling half of his partnership interest to D’Artagnan for $64,000 in cash. No asset revaluation or goodwill is to be recorded by the partnership. Therefore, only the transfer of capital will be recorded in the books of the company.

The journal entry for the capital transfer from Porthos to D’Artagnan will be:DateAccount TitlesDebitCreditCash 64,000Porthos’ Capital (50% x $128,000)$64,000

(To record the capital transfer from Porthos to D’Artagnan)Note: Porthos is selling half of his partnership interest, which means he will retain only 50% of his original capital invested in the company.

Therefore, 50% x $128,000 = $64,000.

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What role does determining objectives play in measuring results
and behaviors?

Answers

Determining objectives play a significant role in measuring results and behaviors. The objectives or goals that are set forth at the start of any project or activity guide the evaluation process.

Objectives are defined as what needs to be accomplished. Setting objectives includes choosing specific targets, measurable outcomes, and the timeline for reaching them. Objectives are critical in the sense that they help an organization establish a clear path to achieving its goals. They also allow organizations to gauge progress towards specific outcomes.

Objectives serve as a guide for organizations in determining what needs to be accomplished. This guide provides the foundation for measuring results and behaviors. By measuring results and behaviors, organizations can make informed decisions on the effectiveness of their activities and initiatives. Objectives provide a benchmark against which to compare actual results.

Objectives serve as the foundation for measuring results and behaviors. When organizations establish clear objectives, they can measure progress against those objectives. This measurement process allows organizations to determine whether they are on track to achieve their desired outcomes or if they need to adjust their activities or initiatives to achieve better results.

Objectives can also help organizations measure behaviors. For example, if one of the objectives of a project is to improve communication between team members, an organization can measure the extent to which team members are communicating more effectively. By measuring this behavior, the organization can determine the effectiveness of their efforts to achieve the objective.

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