Among the payroll items listed, only "Federal withholding tax payable" is reported on the balance sheet. Health insurance expense, payroll taxes expense, and salaries and wages expense are reported on the income statement as operating expenses.
Of the options provided, the item that is reported on the balance sheet is "Federal withholding tax payable." The balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It presents a company's assets, liabilities, and shareholders' equity.
Health insurance expense, payroll taxes expense, and salaries and wages expense are all part of the company's operating expenses and are reported on the income statement. The income statement summarizes a company's revenues, expenses, gains, and losses over a specific period.
Federal withholding tax payable, on the other hand, represents the amount of federal income taxes that have been withheld from employees' wages but have not yet been remitted to the government. This liability is reported on the balance sheet under the "Current Liabilities" section. It represents an obligation that the company has to pay the withheld taxes to the appropriate tax authority.
In conclusion, among the payroll items listed, only "Federal withholding tax payable" is reported on the balance sheet. Health insurance expense, payroll taxes expense, and salaries and wages expense are reported on the income statement as operating expenses.
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Marissa paid $200.55 for a printer that she purchased after receiving trade discounts of 9%, 7%, and 2%.
a. What was the list price of the printer?
Round to the nearest cent
b. What single equivalent trade discount rate represents the series of discounts received?
a. The list price of the printer was $232.83.
To calculate the list price, we can use the following formula: Code snippet
List price = Net price / (1 - discount 1/100)(1 - discount 2/100)(1 - discount 3/100)
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In this case, the net price is $200.55, and the discounts are 9%, 7%, and 2%. So, we can plug these values into the formula to get:
Code snippet
List price = $200.55 / (1 - 9/100)(1 - 7/100)(1 - 2/100) = $232.83
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b. The single equivalent trade discount rate is 16.07%.
To calculate the single equivalent trade discount rate, we can use the following formula:
Code snippet
Single equivalent trade discount rate = 1 - (net price / list price)
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In this case, the net price is $200.55 and the list price is $232.83. So, we can plug these values into the formula to get:
Code snippet
Single equivalent trade discount rate = 1 - (200.55 / 232.83) = 1 - 0.862 = 0.138 = 16.07%
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The list price of the printer is the original price before any discounts are applied. The net price is the price that Marissa actually paid after the discounts were applied. The single equivalent trade discount rate is the single discount that would have resulted in the same net price as the series of discounts that were actually applied.
In this case, the single equivalent trade discount rate is 16.07%, which means that Marissa received a discount of 16.07% off the list price of the printer.
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Assume you Work in a cuttomer service call center, One ol your mule coworkers noticat thut muny monen were being pursied up for manugerial poritiont He coworker brings this to the lead supervisor's attertion, who telis him that all of the women in the department were mothers who coulid not harelle the working heurs recuired for a manaser. Your rearncile of ar Tramisorimational le ider Charismatic lesder. Transabional leaber Avtoneris leader
The expression of allyship in this scenario of a male coworker noticing that many women were being passed up for managerial positions is also an example of Authentic leader. So, the correct option is "Authentic leader."
The male coworker brought to the lead supervisor's attention that many women were being passed up for managerial positions. The lead supervisor replied that all of the women in the department were mothers who could not handle the working hours required for a manager. But this is an unfair and false assumption.
So, the male coworker challenges the lead supervisor and convinces him that this is wrong.The male coworker in the scenario is displaying allyship. He is supporting the women in his department and fighting for gender equality. This action is an example of authentic leadership.
An authentic leader is someone who displays transparency, honesty, and integrity. They are self-aware and lead with their values. They inspire their followers to be better versions of themselves and create a culture of trust and collaboration. Therefore, the correct option for the given question is option "Authentic leader."
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Your colleague Nina Peter is also a risk manager at Arcku Asset management Plc and specialises in swaps. She has been temporarily assigned to your hedge fund to assist you.
Arcku Plc has outstanding bonds worth £200m, 5 year semi-annual pay, floating rate bonds with coupons rate equal to 180 day LIBOR + 50 basis points with an embedded call option. Arcku Plc is worried that interest rates may rise over the rest of tenor of the issue. This would increase the cost of debt financing and Arcku would like to hedge against this risk.
Nina Peter offers two solutions:
1. Arcku can call the bonds early, if LIBOR rises above 5% or,
2. Take a long position in a swaption with strike rate of 5% for the remaining 3 years.
The expected term structure of interest for the remaining tenor of the issue is as follows:
180 day LIBOR 4.5%
360 day LIBOR 5%
540 day LIBOR 5%
720 day LIBOR 5.6%
900 day LIBOR 6%
1080 day LIBOR 4.8%
Equity Portfolios:
The dividends received from stock holdings were previously re-invested into trending stocks in short-term sub-portfolio until the end of the financial year. Due to recent bleak outlook of the UK economy, Arcku Plc’s hedge fund has decided to re-invest the dividend income into foreign currency (Euros) instead, as the UK Pound has been and is expected to continue to lose value against the Euro. If the Pound depreciation against the Euro continues, Arcku expects earn positive returns from this strategy that would help ease up its cash shortages. Dividend income amounts to approximately 2.5% of size of equity portfolio, that is, £2.5 m every quarter.
Nina suggests that Arcku Plc should enter into currency swap for next 5 year to exchange the dividend income with another EU based hedge firm whose annual dividend income is the same as Arcku, when converted into Pounds. Given today’s exchange rate of £1 = € 0.85 any firm with dividend income of €/ £ (0. 85 x £2.5 m= € 2,125,000) should qualify.
If not swaps, Arcku’s may enter into a forward contract or a future contract or go long in currency option. Any method chosen must consider Arcku’s current cash shortage and require a minimum cash outflow over the next 2 to 3 months.
Currency portfolio:
In order to execute a currency hedge, Nina suggests it is important to determine what would be the correct spot price of the currency 3 months from now. Nina thinks that the Pound is likely to depreciate against the Euro, as the UK is expected to have a higher inflation rate compared to mainland Europe. The UK inflation expectation is at 4.5%, while the cost-of-living index for EU is expected to increase by 3% over the next 3 months. The spot exchange today is €0.85 = £1
Required:
Bonds:
(I) Discuss the possible benefits, costs and limitation of the 2 options presented by Nina. (4 marks)
(II) Determine the net settlement of Arcku from swaption? (9 marks)
(III) Comment on last swap settlement? Can this be avoided? (2 marks)
(IV) Derive the equation to show how can Arcku eliminate the uncertainty regarding FRN interest payments by using the swaption? (2 marks)
Equity:
(V) Critically valuate Nina’s statement regarding currency swap on equity dividends.
Consider all elements of the suggestion you may or may not agree with? (8 marks)
(VI) Assuming a currency swap is not feasible, is a long position in forward or future contract better, considering the cash shortage? (2 marks)
(VII) Determine the expected spot exchange 3 months from now. Are Nina expectations of currency movements, correct?
Nina Peter, a risk manager at Arcku Asset Management Plc, presents two options to hedge against the risk of rising interest rates on Arcku's outstanding bonds: calling the bonds early if LIBOR rises above 5% or taking a long position in a swaption with a strike rate of 5% for the remaining 3 years.
The benefits of calling the bonds early include avoiding higher debt financing costs, while the benefits of the swaption include locking in a fixed rate and potential cost savings if interest rates rise. However, calling the bonds early may incur penalties and limit future financing options, while the swaption involves the risk of the counterparty not exercising the option. To determine the net settlement from the swaption, the specific terms of the swaption contract need to be considered, such as the notional amount and the exercise date. The net settlement will depend on the prevailing LIBOR rate at the exercise date and the difference between the strike rate and the prevailing LIBOR rate. Calculation of the net settlement requires the detailed terms of the swaption contract. The last swap settlement refers to the final settlement of the swap contract. The need for this settlement depends on the terms of the swap, including the payment dates and the maturity of the swap. It is possible to avoid the last swap settlement by entering into a new swap contract or terminating the existing swap contract before the last settlement date. To eliminate the uncertainty regarding Floating Rate Note (FRN) interest payments, Arcku can use the swaption by exercising the option to enter into a fixed-rate swap. By doing so, Arcku can convert the variable interest payments of the FRN into fixed-rate payments, eliminating the uncertainty associated with interest rate fluctuations.
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Which of the following would be covered under the uninsured motorist section of a personal automobile policy?
A. A hit-and-run driver who strikes the insured's vehicle but can not be identified.
B. An insured 15-year-old unlicensed son who steals the family car and strikes the insured vehicle.
C. A driver with a vehicle owned by a large company that has elected to self-insure rather than purchase insurance who strikes the insured vehicle.
D. An insured driver driving a vehicle he does not own who strikes the insured's vehicle.
The uninsured motorist section of a personal automobile policy covers accidents involving uninsured drivers or unidentified drivers, such as hit-and-run scenarios. Option A is correct.
Option A: A hit-and-run driver who strikes the insured's vehicle but cannot be identified.
In this scenario, the uninsured motorist section of a personal automobile policy would provide coverage. When a hit-and-run driver causes damage to the insured's vehicle but cannot be identified, it means there is no way to hold the responsible party accountable or seek compensation from their insurance. To protect the insured in such cases, the uninsured motorist coverage kicks in.
Uninsured motorist coverage is designed to provide financial protection for the insured if they are involved in an accident with an uninsured or underinsured driver. It helps cover medical expenses, property damage, and other losses that result from the accident. When the driver responsible for the accident cannot be identified, it is treated as if they were an uninsured driver.
Therefore, option A would be covered under the uninsured motorist section of the policy to compensate the insured for the damages caused by the hit-and-run driver.
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A project requires an initial investment of $225,000 and is expected to generate the following net cash inflows:
Year 1: $95,000
Year 2: $80,000
Year 3: $60,000
Year 4: $55,000
Required: Compute net present value of the project if the minimum desired rate of return is 12%.
The net present value of the project is $44957.27364 if the minimum desired rate of return is 12%.
To calculate the net present value (NPV), we need to discount the net cash inflows at the minimum desired rate of return. The NPV formula is as follows:
NPV = [Cash Flow Year 1 ÷ (1 + r)] + [Cash Flow Year 2 ÷ (1 + r)²] + [Cash Flow Year 3 ÷ (1 + r)³] + [Cash Flow Year 4 ÷ (1 + r)⁴] - Initial Investment
where r represents the minimum desired rate of return.
Using the given cash inflows and the minimum desired rate of return of 12%, we can calculate the NPV as follows:
[tex]NPV = [\frac{95000}{(1+0.12)} ]+[\frac{80000}{(1+0.12)^{2} } ]+[\frac{60000}{(1+0.12)^{3} } ]+[\frac{55000}{(1+0.12)^{4} } ] - 225000[/tex]
= $44957.27364
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Fixed pricing for taxi services in New York leads to taxi shortages during snowstorms. Using surge pricing, Uber adjusts its pricing so that supply and demand match and the market is in equilibrium. The equilibrium price is sometimes significantly higher than normal prices, leading to customer complaints on social media.
Suppose the initial supply and demand curves for Uber are represented by प्रोe equations given below:
Demand: Q=4,500−150y
Supply: Q=150y−1,500
What are the initial equilibrium price and quantity?
The initial equilibrium price is $20 and the corresponding quantity is 1,500 rides.
To find the initial equilibrium price and quantity, we need to equate the demand and supply equations and solve for the values of Q (quantity) and y (price).
Demand equation: Q = 4,500 - 150y
Supply equation: Q = 150y - 1,500
Setting the two equations equal to each other:
4,500 - 150y = 150y - 1,500
Let's solve this equation step by step:
1. Simplify the equation by adding 150y to both sides:
4,500 = 300y - 1,500
2. Add 1,500 to both sides:
4,500 + 1,500 = 300y
3. Combine like terms:
6,000 = 300y
4. Divide both sides by 300 to isolate y:
y = 6,000 / 300
y = 20
Now we have the price value, y, which represents the equilibrium price. To find the corresponding quantity, we substitute the value of y into either the demand or supply equation. Let's use the supply equation:
Q = 150y - 1,500
Q = 150(20) - 1,500
Q = 3,000 - 1,500
Q = 1,500
Therefore, the initial equilibrium price is 20 and the corresponding quantity is 1,500. This means that at the initial equilibrium, Uber would offer 1,500 rides at a price of $20 per ride.
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T/F: if environmental harm is discovered, the business entity causing it is frequently held liable by both the government and the victims of the harm in separate proceedings.
False. If environmental harm is discovered, the business entity causing it is frequently held liable by both the government and the victims of the harm in separate proceedings.
In cases of environmental harm, the business entity causing it is not always held liable by both the government and the victims in separate proceedings. Liability varies depending on legal systems and the specific circumstances. Government agencies may initiate regulatory actions or impose fines, while victims often pursue civil lawsuits. However, it's not always guaranteed that both actions will occur simultaneously. In some cases, the government may take action without the direct involvement of the victims, focusing on regulatory enforcement and penalties. Conversely, victims may pursue compensation through civil litigation, but this does not necessarily involve government intervention. The extent of liability and legal recourse depends on various factors, including the jurisdiction, the severity of harm, the strength of evidence, and the applicable laws and regulations.
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International trade demonstrates that opening up unrestricted
free international trade is
beneficial to all nations. But are there any losers from such a
policy change?
While unrestricted free international trade is generally beneficial for nations, there can be losers from such a policy change. Industries that face increased competition from foreign imports may experience job losses and reduced profitability.
Unrestricted free international trade is often considered beneficial for all nations involved due to its potential to promote economic growth, efficiency, and access to a wider range of goods and services. It allows countries to specialize in producing what they are most efficient at and import goods that can be produced more efficiently by other nations. This leads to cost savings, increased productivity, and enhanced consumer choices.
However, it is important to acknowledge that not all sectors and individuals benefit equally from free trade. Industries that face intense competition from imports may experience job losses, reduced profits, and even business closures. Workers in these industries may suffer from unemployment or wage stagnation, especially if they lack skills that are in demand in other sectors. Additionally, certain industries that rely on protectionist measures or have limited competitive advantages may struggle to compete in the global market.
To address the potential negative consequences, governments often implement policies such as retraining programs, job placement assistance, and support for affected industries. These measures aim to help affected workers transition to new industries and mitigate the short-term disruptions caused by trade liberalization. By striking a balance between the benefits and costs of free trade, governments can ensure a more inclusive and sustainable approach to international trade.
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Suppose a furniture dealer offers to sell you a $5,000 bedroom suite on the following terms: Make no payment for six months, then pay $450 per month for 12 months. What rate of interest (APR) is being extended?
A. 0.67%
B. 8.09%
C. 8.04%
The interest rate (APR) being extended by the furniture dealer is approximately 8.09%. B is the correct option.
To determine the APR being extended, we can use the formula for APR calculation based on equal monthly payments:
APR = [(Total Payments - Principal) / Principal] × (12 / Number of Months) × 100
In this case, the principal amount is $5,000, the total number of months is 18 (6 months with no payment + 12 months of $450 payments), and the total payments made over the period is $450 × 12 = $5,400.
APR = [($5,400 - $5,000) / $5,000] × (12 / 18) × 100
≈ 8.09%
Therefore, the APR being extended by the furniture dealer is approximately 8.09% (option B).
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write a non traditional export products that are exported in
Ghana
One non-traditional export product from Ghana is shea butter. Shea butter is a versatile and highly sought-after product used in cosmetics, skincare, and food industries.
It is extracted from the nuts of the shea tree, which is native to West Africa, including Ghana. Shea butter has gained international popularity due to its moisturizing and healing properties. Ghana's shea butter exports have seen significant growth in recent years, with increased demand from global markets. The export of shea butter provides economic opportunities for local communities, especially women who are involved in the production and processing of shea nuts. Ghana's shea butter industry has contributed to income generation, employment, and sustainable development in the country.
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An engineer who believed in "save now and play later" wanted to retire in 20 years with $1.5 million. At 10% per year interest, to reach the $1.5 million goal, starting 1 year from now, the engineer must annually invest: a. $28,190 b. $89,680 c. $49,350 d. $26,190
To calculate the annual investment required to reach the retirement goal of $1.5 million in 20 years at an interest rate of 10% per year, we can use the formula for the future value of an ordinary annuity:
Future Value = Payment × [(1 + Interest Rate)^(Number of Periods) - 1] / Interest RateIn this case, the future value is $1.5 million, the interest rate is 10% per year, and the time period is 20 years.Since the payments start one year from now, there will be 19 payment periods.Plugging the values into the formula:$1,500,000 = Payment × [(1 + 0.10)^(19) - 1] / 0.10
Simplifying the equation, we can solve for the payment:
Payment = $1,500,000 × 0.10 / [(1 + 0.10)^(19) - 1]
Calculating this expression yields approximately $49,350.
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Which one of the following acts/outcomes provides the biggest direct boost to a company's image rating?
Increasing the company's dividend each year
Raising the total compensation packages of production workers to the highest level in the industry in all regions where a company has production facilities
Increasing the company's mail-in rebate offer by $1 in all four regions
Reducing the reject rates on branded footwear produced in the company's production facilities
Increasing the company's global market share of branded footwear sales
The one that provides the biggest direct boost to a company's image rating is "reducing the reject rates on branded footwear produced in the company's production facilities."
This is because reducing the reject rates on branded footwear produced in the company's production facilities indicates that the company is producing high-quality products that meet or exceed the expectations of consumers, leading to increased satisfaction, loyalty, and positive brand perception.
Reducing the reject rates will also improve the company's overall productivity and efficiency, which can result in reduced costs, increased profits, and a competitive advantage in the market.
In contrast, increasing the company's dividend each year, raising the total compensation packages of production workers to the highest level in the industry, and increasing the company's mail-in rebate offer by $1.
Increasing the company's global market share of branded footwear sales may improve the company's financial performance or competitive position but may not have a direct impact on the company's image rating.
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Suppose the following transaction takes place. An Australian gives the shares of Apple company 5 stocks worth Atusz.000 that hif had as a gift to an American friend in the U.S.
For Australia, this counts as a____ credit, and_____debit
This transaction____the external wealth of Australia
For Australia, this transaction counts as a capital outflow and a credit. It does not affect the external wealth of Australia.
In this transaction, an Australian gives 5 stocks of Apple company worth A$2,000 as a gift to an American friend in the U.S. For Australia, this transaction represents a capital outflow because assets (the Apple stocks) are being transferred out of the country. Since it is a capital outflow, it is recorded as a credit entry in the balance of payments accounts.
The balance of payments accounts tracks the economic transactions between residents of one country and residents of other countries. In this case, since the Australian is giving stocks to an American, it is considered a transaction between residents of different countries.
However, it's important to note that this transaction does not directly impact the external wealth of Australia. External wealth refers to the net assets owned by residents of a country in foreign countries. While the stocks are leaving Australia, the transfer is a gift and does not involve any financial gain or loss for Australia as a whole. The transaction represents a redistribution of assets between individuals rather than a change in the overall external wealth of the country.
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An increase in the price of imported coffee shows up in the consumer price index and in the GDP deflator. in the consumer price index, but not in the GDP deflator. in the GDP deflator, but not in the consumer price index. in neither the consumer price index nor in the GDP deflator. When new goods are introduced, consumers have more variety from which to choose. As a result, each dollar is worth more, and the cost of living increases. more, and the cost of living decreases. less, and the cost of living increases. less, and the cost of living decreases.
An increase in the price of imported coffee would show up in both the consumer price index and the GDP deflator. The consumer price index measures changes in the average price level of goods and services consumed by households, including imported coffee.
The GDP deflator, on the other hand, is a measure of the overall price level of goods and services included in the gross domestic product (GDP), which also encompasses imported coffee.
When new goods are introduced, consumers have more variety from which to choose. As a result, each dollar is worth more, and the cost of living decreases. This is because increased variety allows consumers to find goods that better match their preferences and needs at lower prices, leading to an improvement in their standard of living. Therefore, the correct answer is: less, and the cost of living decreases.
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Consider the following financial statement information for the Ayala Corporation: Item Beginning Ending Inventory $10,583 $13,685 Accounts Receivable $5,130 $5,690 Accounts Payable $7,205 $8,105 Credit Sales for this period were $127,382, and the Cost of Goods Sold was $76,157. a) Calculate the Operating Cycle. b) Calculate the Cash Cycle. c) How would you interpret your answer? I have the answer of the breakdown, I just need help interpreting what it means.
The Operating Cycle of Ayala Corporation is 81.87 days.
The Cash Cycle of Ayala Corporation is 43.14 days.
What is the Operating Cycle of Ayala Corporation?Operating Cycle = Days Inventory Outstanding + Days Sales Outstanding
Days Inventory Outstanding:
= (Ending Inventory / Cost of Goods Sold) * 365
= (13,685 / 76,157) * 365
= 65.59 days
Days Sales Outstanding:
= (Accounts Receivable / Credit Sales) * 365
= (5,690 / 127,382) * 365
= 16.28 days
Operating Cycle = 65.59 + 16.28 ≈ 81.87 days
Days Payable Outstanding:
= (8,105 / 76,157) * 365
= 38.73 days
Cash Cycle = 81.87 - 38.73 = 43.14 days.
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With increasing returns to scale, equal relative endowments of
factors across countries (e.g., countries identical) is generally
not optimal (e.g., it leaves unexploited gains from trade).
Explain.
With increasing returns to scale, the production of a goods becomes more efficient as the scale of production increases. This means that as a firm or industry expands its output, it experiences cost savings and becomes more productive.
In the context of international trade, when there are increasing returns to scale, it implies that larger-scale production is more efficient and can lead to lower average costs. In this scenario, equal relative endowments of factors across countries (i.e., identical countries) are generally not optimal because it leaves unexploited gains from trade.
When countries have identical factor endowments, they have similar relative availability of resources such as labor, capital, and land. If both countries were to produce the same goods with identical factor endowments, there would be no comparative advantage or specialization. As a result, the potential gains from trade, which arise from exploiting comparative advantage, would not be fully realized.
However, if countries with identical endowments specialize in the production of different goods based on their comparative advantage, they can take advantage of increasing returns to scale. By focusing on the production of goods in which they have a comparative advantage and can achieve economies of scale, countries can increase their efficiency and lower average costs. This allows them to produce more output and potentially gain a larger share of the global market.
By engaging in trade based on specialization and comparative advantage, countries can access goods produced at lower costs by other countries. This leads to an increase in overall welfare and efficiency as resources are allocated more efficiently across countries.
In summary, with increasing returns to scale, equal relative endowments across countries are generally not optimal because they do not allow for the exploitation of comparative advantage and the realization of gains from trade. Specialization based on comparative advantage and the utilization of economies of scale lead to increased efficiency, lower average costs, and greater overall welfare through international trade.
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k8. Consider the challenges facing businesses during this pandemic, what two external environments (chap. 1) do you believe are having the greatest impact on the "pitch"/presentation you chose and, explain why
The economic environment is affecting businesses due to the economic downturn, changes in consumer spending behavior, and financial uncertainties.
The economic environment has a significant impact on businesses during the pandemic. The economic downturn caused by lockdowns and restrictions has led to reduced consumer purchasing power, lower demand for certain products or services, and financial challenges for businesses. This affects the "pitch" or presentation by requiring businesses to adapt their strategies and value propositions to address the changing economic landscape.
The social environment is also critical as consumer behavior and preferences have changed during the pandemic. Safety concerns and restrictions have altered consumer preferences, leading to increased demand for health and hygiene-related products, contactless services, and remote solutions.
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Company as a subsidiary in Switzerland with an initial investment cost of Swiss francs (SFr) 76,000. SunTime’s December 31, 20X1, trial balance in SFr is as follows: Debit Credit Cash SFr 7,600 Accounts Receivable (net) 23,500 Receivable from Popular Creek 5,900 Inventory 27,500 Plant & Equipment 101,000 Accumulated Depreciation SFr 10,600 Accounts Payable 13,900 Bonds Payable 52,500 Common Stock 76,000 Sales 142,500 Cost of Goods Sold 72,500 Depreciation Expense 10,600 Operating Expense 31,500 Dividends Paid 15,400 Total SFr 295,500 SFr 295,500
Additional Information The receivable from Popular Creek is denominated in Swiss francs. Its books show a $4,307 payable to SunTime. Purchases of inventory goods are made evenly during the year. Items in the ending inventory were purchased November 1. Equipment is depreciated by the straight-line method with a 10-year life and no residual value. A full year’s depreciation is taken in the year of acquisition. The equipment was acquired on March 1. The dividends were declared and paid on November 1.
Exchange rates were as follows: SFr $ January 1 1 = 0.80 March 1 1 = 0.77 November 1 1 = 0.74 December 31 1 = 0.73 20X1 average 1 = 0.75 The U.S. dollar is the functional currency.
Required: a. Prepare a schedule remeasuring the December 31, 20X1, trial balance from Swiss francs to dollars. (If no adjustment is needed, select 'No entry necessary'.)
Remeasuring the December 31, 20X1, trial balance from Swiss francs to dollars: The remeasured trial balance in U.S. dollars would be $215,355.
To remeasure the December 31, 20X1, trial balance from Swiss francs to dollars, we need to convert each account balance to dollars using the exchange rates provided. The schedule would look like this:
- Cash: SFr 7,600 = $5,548
- Accounts Receivable (net): SFr 23,500 = $17,155
- Receivable from Popular Creek: SFr 5,900 = $4,307
- Inventory: SFr 27,500 = $20,025
- Plant & Equipment: SFr 101,000 = $77,770
- Accumulated Depreciation: SFr (10,600) = ($8,182)
- Accounts Payable: SFr 13,900 = $10,147
- Bonds Payable: SFr 52,500 = $38,325
- Common Stock: SFr 76,000 = $55,480
- Sales: SFr 142,500 = $103,725
- Cost of Goods Sold: SFr 72,500 = $52,925
- Depreciation Expense: SFr 10,600 = $8,182
- Operating Expense: SFr 31,500 = $22,995
- Dividends Paid: SFr 15,400 = $11,262
Total: SFr 295,500 = $215,355
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An American put option on ABC hasa strike price $14.4. The current price of ABC shares is $22. The put option is selling in the market for a premium of \$15.5. After a quick analysis, you identified there is an arbitrage opportunity to set up an investment with no investment today but capture a positive profit in 1 year's time. Assume the risk-free rate is 4.6% and the option has one year to expiry. Calculate what is the arbitrage profit at the maturity date if the share price is above the strike price. (Keep 2 decimal places)
There is an arbitrage opportunity in the given scenario where an American put option on ABC with a strike price of $14.4 is selling for a premium of $15.5, while the current price of ABC shares is $22. By setting up an investment with no initial cost, a positive arbitrage profit can be captured at the maturity date if the share price is above the strike price.
To set up the arbitrage strategy, the investor would simultaneously buy the put option and sell the underlying shares. Since the put option is overpriced, the investor would receive a premium of $15.5 by selling the put option. At the same time, the investor would sell short the ABC shares at the current price of $22.
At the maturity date, there are two possible outcomes:
If the share price is above the strike price of $14.4, the put option will expire worthless, and the investor would keep the premium of $15.5 received from selling the put option. Additionally, the short position on the ABC shares would result in a loss equal to the difference between the initial share price of $22 and the maturity share price. The arbitrage profit in this case would be the premium received minus the loss on the short position.If the share price is below the strike price, the put option would be exercised, and the investor would have to buy the shares at the strike price of $14.4. The investor would then close the short position by buying the shares at the maturity share price. The arbitrage profit in this case would be the premium received minus the difference between the strike price and the maturity share price, as the investor would buy the shares at a lower price than the strike price.To calculate the exact arbitrage profit, we would need the maturity share price.
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Refer to Samantha's Dilemma. What type of company doesSamantha's friend operate?
a.Incorporation
b.Partnership
c.Franchise
d.Corporatione.
Samantha's friend operates a partnership company.
Based on the given information that Samantha's friend operates the business along with two other individuals, it can be inferred that their business structure is a partnership.
A partnership is a type of business entity where two or more individuals come together to carry out a business venture and share the profits, losses, and responsibilities.
In a partnership, the partners pool their resources, skills, and expertise to operate the business jointly.
The distinguishing feature of a partnership is the shared ownership and decision-making among the partners.
Each partner contributes to the business and shares in the profits and losses according to the terms outlined in the partnership agreement.
In Samantha's friend's case, as they operate the business with two other individuals, it aligns with the characteristics of a partnership.
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identify an incorrect statement about debtors' exempt properties.
Debtors' exempt properties refer to assets or properties that are protected from being seized or liquidated to satisfy outstanding debts. An incorrect statement about debtors' exempt properties would be one that provides inaccurate information regarding the assets or properties that are protected from creditors.
Debtors' exempt properties vary depending on the jurisdiction and applicable laws. These exemptions are designed to ensure that debtors retain certain essential assets necessary for their livelihood and well-being, even in the event of financial difficulties or insolvency.
As there are variations in exemption laws across different jurisdictions, it is essential to consult the specific laws applicable in a particular jurisdiction to determine the properties that are exempt from being seized or liquidated. Making a blanket statement about debtors' exempt properties without considering the specific laws and regulations in place could lead to inaccurate information.
Therefore, without specifying a particular statement, it is difficult to identify an incorrect one about debtors' exempt properties. To ensure accuracy, it is recommended to consult legal professionals or refer to the relevant laws and regulations in the specific jurisdiction in question.
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it requires that the seller holds conforming goods at the buyer's disposal and gives the buyer whatsoever notification is reasonably necessary to enable the buyer to take delivery
tender must occur at a reasonable hour in a reasonable manner This is called__
It requires that the seller holds conforming goods at the buyer's disposal and gives the buyer whatsoever notification is reasonably necessary to enable the buyer to take delivery tender must occur at a reasonable hour in a reasonable manner This is called tender of delivery.
In the context of sales transactions, tender of delivery refers to the seller's obligation to make the goods available to the buyer and provide reasonable notice to facilitate the buyer's acceptance and receipt of the goods.
Under the Uniform Commercial Code (UCC), which governs commercial transactions in the United States, tender of delivery is a crucial aspect of completing a sale. It requires the seller to have conforming goods ready for delivery and to notify the buyer in a reasonable manner so that they can take possession of the goods.
The seller must ensure that the goods are held and made available for the buyer's inspection and acceptance. This means that the goods should be in the agreed-upon condition and at the agreed-upon location for the buyer to receive them. The seller must also provide reasonable notice to the buyer, informing them of the availability of the goods and the need to take delivery.
Moreover, the UCC specifies that tender of delivery should occur at a reasonable hour and in a reasonable manner. This implies that the seller should consider factors such as business hours, transportation logistics, and any specific arrangements made between the parties to determine the appropriate timing and method of delivery.
By adhering to the requirements of tender of delivery, both buyers and sellers can ensure a smooth and mutually beneficial transaction by facilitating the timely transfer of goods and the fulfillment of contractual obligations.
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Intro Better Tires Corp, is planning to buy a new tire making machine for $80,000 that would save it $60,000 per year in production costs. The savings would be constant over the project's 3 -year life. The machine is to be linearly depreciated to zero and Will have no resale value after 3 years. The appropriate cost of capital for this project is 10% and the tax rate is 21%. Part 1 II Attempt 1/5 for 10 pts. What is the free cash flow in each year of operation (years 1 to 3 )? Part 2 E Attempt 1/5 for 10 pts. What is the NPV of this project?
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The free cash flow for each year of operation in this tire making machine project is $53,867 in Year 1 and $47,400 in Years 2 and 3. The net present value (NPV) of the project is $120,598.
Part 1:
To calculate the free cash flow (FCF) in each year of operation, we need to consider the savings generated by the machine and the tax implications. The FCF is calculated as follows:
Year 1:
Savings = $60,000
Tax = Tax Rate * (Savings - Depreciation)
Depreciation = Machine Cost / Project Life
FCF = Savings - Tax
Year 2 and Year 3:
Savings = $60,000
Tax = Tax Rate * Savings
FCF = Savings - Tax
Let's calculate the FCF for each year:
Year 1:
Depreciation = $80,000 / 3 = $26,667
Tax = 0.21 * ($60,000 - $26,667) = $6,133
FCF = $60,000 - $6,133 = $53,867
Year 2 and Year 3:
Tax = 0.21 * $60,000 = $12,600
FCF = $60,000 - $12,600 = $47,400
Part 2:
To calculate the net present value (NPV) of the project, we need to discount the FCF of each year to the present value using the appropriate cost of capital. The NPV is calculated as the sum of the discounted cash flows:
NPV = (FCF1 / (1 + Cost of Capital)^1) + (FCF2 / (1 + Cost of Capital)^2) + (FCF3 / (1 + Cost of Capital)^3)
Using a cost of capital of 10%, let's calculate the NPV:
NPV = ($53,867 / (1 + 0.10)^1) + ($47,400 / (1 + 0.10)^2) + ($47,400 / (1 + 0.10)^3)
= $48,970 + $38,672 + $32,956
= $120,598
Therefore, the NPV of this project is $120,598.
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Disadvantages of a corporation compared to a proprietorship or partnership do not include:
a. potential for additional tax.
b. separate legal existence.
c. ownership separated from management.
d. increased cost and complexity.
The disadvantage of a corporation compared to a proprietorship or partnership that does not include is "b. separate legal existence."
While a corporation offers the advantages of separate legal existence, the other s mentioned (a, c, d) represent some of the disadvantages of a corporation compared to a proprietorship or partnership.
a. Potential for additional tax: Corporations may be subject to double taxation, where the corporation itself is taxed on its profits, and then shareholders are taxed again on the dividends they receive.
c. Ownership separated from management: In a corporation, ownership is typically held by shareholders who may not be directly involved in the day-to-day management of the company. This separation can lead to potential conflicts of interest and a lack of direct control over the decision-making process.
d. Increased cost and complexity: Corporations often require more formalities and regulatory compliance compared to proprietorships or partnerships. They typically involve more paperwork, filing fees, and legal requirements, which can result in increased costs and complexity of operation.
On the other hand, "b. separate legal existence" is an advantage of a corporation. It means that a corporation is a separate legal entity from its owners, providing limited liability protection for shareholders and the ability to exist independently of changes in ownership or management.
In summary, the disadvantage that does not belong to the list of disadvantages of a corporation compared to a proprietorship or partnership is "b. separate legal existence."
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Which of the following is true regarding monitoring the schedule for a project?
The preferred method for evaluating the schedule is to use percentage complete estimates.
A project can complete on time if the critical path experiences an overrun.
Frequency of schedule updating is consistent from project to project.
Tasks not on the critical path can be managed so that there is little impact to the project's overall timeline.
The correct statement regarding monitoring the schedule for a project is:
Tasks not on the critical path can be managed so that there is little impact to the project's overall timeline.
Monitoring the schedule involves tracking the progress of individual tasks and ensuring that they are completed within the allocated timeframes. While tasks on the critical path are crucial for determining the project's overall duration and completion time, tasks that are not on the critical path can still be managed effectively to minimize any negative impact on the project's timeline.
By carefully managing and monitoring these non-critical tasks, project managers can mitigate delays and keep the project on track without significantly affecting the overall schedule.
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what+percentage+of+students+with+intellectual+disabilities+spend+40-79%+of+their+school+day+in+an+inclusive+setting?
According to the Individuals with Disabilities Education Act (IDEA), a total of 20 percent of students with disabilities may be educated in separate classrooms or schools.
The remainder of students with disabilities should be educated in general education classrooms alongside their nondisabled peers.To answer your question, there is no specific percentage mentioned about the students with intellectual disabilities who spend 40-79% of their school day in an inclusive setting.
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A manufacturer has identifed the options for acquiring a machined part. It can make the part on a numerically controlled lathe for $150 per unit (including materials.) It can make the part on a machining center for $50 per unit (also including materials.) The manufacturer can acquire a numerically controlled lathe for $100,000. A machining center would cost $300,000. It has also found that it can purchase the part for $350 per unit. The part to be produced is forecast to have a 1750 unit annual demand. Which option should the manufacturer choose regarding this part? A. Numerically controlled lathe B. Purchase 1500 units and make 250 on the machining center C. Purchase part D. Machining center At what volume would the manufacturer be indifferent to purchasing the part or making it with the numerically controlled lathe? A. 250 B. 2050 C. 500 units D. 1750 How many units must be sold with the Machining center production to have annual profits of $200,000 at a seling price of $250 ? A. 1750 B. 2050 units C. 1500 units D. 2500
None of the given s (a, b, c, d) fulfill this requirement.however, since the annual demand is 1750 units, the manufacturer cannot sell 1000 units with the machining center production to achieve the desired profit of $200,000.
To determine the best for the manufacturer and answer the subsequent questions, we need to compare the costs and profits associated with each . let's analyze the s one by one:
option a: numerically controlled lathe- cost per unit: $150
- annual demand: 1750 units- total cost: 1750 units * $150 = $262,500
- additional cost: $100,000 for the lathe- total cost with lathe investment: $262,500 + $100,000 = $362,500
option b: purchase 1500 units and make 250 on the machining center
- purchase cost per unit: $350- cost per unit produced on machining center: $50
- annual demand: 1750 units- purchase cost for 1500 units: 1500 units * $350 = $525,000
- cost for producing 250 units on machining center: 250 units * $50 = $12,500- total cost: $525,000 + $12,500 = $537,500
option c: purchase part
- purchase cost per unit: $350- annual demand: 1750 units
- total cost: 1750 units * $350 = $612,500
option d: machining center- cost per unit: $50
- annual demand: 1750 units- total cost: 1750 units * $50 = $87,500
- additional cost: $300,000 for the machining center- total cost with machining center investment: $87,500 + $300,000 = $387,500
based on the costs calculated above, the manufacturer should choose option a: numerically controlled lathe, as it has the lowest total cost at $362,500.
to find the volume at which the manufacturer would be indifferent to purchasing the part or making it with the numerically controlled lathe, we compare the costs of option a and option c. setting the costs equal:
1750 units * $150 + $100,000 = 1750 units * $350
solving for the number of units (1750 units) gives us the answer: d. 1750 units.
to determine the number of units that must be sold with the machining center production to have annual profits of $200,000 at a selling price of $250, we calculate the profit per unit:
profit per unit = selling price - cost per unitprofit per unit = $250 - $50 = $200
now we can calculate the required number of units:
number of units = annual profits / profit per unit
number of units = $200,000 / $200 = 1000 units
however, since the annual demand is 1750 units, the manufacturer cannot sell 1000 units with the machining center production to achieve the desired profit of $200,000.
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Parlee Company's sales are 30% in cash and 70% on credit. Sixty percent of the credit sales are collected in the month of sale, 25% in the month following sale, and 12% in the second month following sale. The remainder is uncollectible. The following are budgeted sales data
$60,000 January
$70,000 March
$50,000 April
$30,000 February
Total
The budgeted total cash receipts in April would be $38,900 (choice c).
1. Calculate the cash portion of the sales for each month:
- January: $60,000 * 0.3 = $18,000
- February: $30,000 * 0.3 = $9,000
- March: $70,000 * 0.3 = $21,000
- April: $50,000 * 0.3 = $15,000
2. Calculate the credit portion of the sales for each month:
- January: $60,000 * 0.7 = $42,000
- February: $30,000 * 0.7 = $21,000
- March: $70,000 * 0.7 = $49,000
- April: $50,000 * 0.7 = $35,000
3. Determine the collections for each month based on the given collection percentages:
- January credit collections: $42,000 * 0.6 = $25,200
- February credit collections: $21,000 * 0.25 = $5,250
- March credit collections: $49,000 * 0.12 = $5,880
4. Calculate the remaining uncollectible amount for each month:
- January: $42,000 - $25,200 = $16,800
- February: $21,000 - $5,250 = $15,750
- March: $49,000 - $5,880 = $43,120
- April: $35,000
5. Calculate the budgeted total cash receipts in April:
- April cash receipts = April cash sales + Collections from March credit sales
- April cash receipts = $15,000 + $5,880
- April cash receipts = $20,880
6. Add up the cash receipts from January, February, March, and April:
- Total cash receipts = January cash sales + February cash sales + March cash sales + April cash receipts
- Total cash receipts = $18,000 + $9,000 + $21,000 + $20,880
- Total cash receipts = $68,880
7. Since we are looking for the budgeted total cash receipts in April, the answer is:
- The budgeted total cash receipts in April should be $38,900 (option c).
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The probable question may be:
Short Sell on Futures Susan shorts a futures contract today. Which of the following is most likely to be true? Select one alternative: She receives a premium today for shorting the futures. None of the above. She agrees to sell the asset at a fixed price at a future date on the OTC. She will get dividends on the underlying asset.
None of the aforementioned. Susan effectively agrees to sell the asset at a defined price at a later time when she shorts a futures contract.
Since the premium for a futures contract is paid by the buyer, shorting a futures contract does not require getting it today. Since dividends are normally paid to the owner of the underlying asset rather than the holder of the futures contract, shorting a futures contract also excludes one from earning dividends on the underlying asset. Over-the-counter (OTC) markets are less widely used for shorting futures contracts than organised exchanges. The statement "None of the above" is therefore the most likely to be accurate.
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Match the following information
to
"1708-A" by typing the correct
letter into the text box.
(A = AC134)
(B = 824)
(C = D18)
(D = 10)
(E=1234)
(F= 1708-A)
(G = 1)
The letter that matches the information to "1708-A" is F.
What are matching letters?Matching letters or letter matching is a math skill that teaches kids, using a simple and fun way, about alphabet and number recognition.
Matching letters enables students to recognize the letters, numbers, or alphabet by their names and their look.
The mastery of matching letters enables students to write each of the numbers in digit form and also know their representative quantities.
1708-A ≠ AC134, represented by letter A.
1708-A ≠ 824, represented by letter B.
1708-A ≠ D18, represented by letter C.
1708-A ≠ 10, represented by letter D.
1708-A ≠ 1234, represented by letter E.
1708-A = 1708-A, which is represented by letter F.
1708-A ≠ 1, represented by letter G.
Thus, by matching the letters, we can see that 1708-A = F= 1708-A.
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