Answer:
$4,560
Explanation:
With regards to the above information, we need to calculate first the amount realized on the sales of the shares.
Amount realised = [Shares purchased × Price per unit of shares sold] - Brokerage fee on the sale of the shares
= [210 × $77] - $160
= $16,010
We also need to calculate the adjusted basis.
Adjusted basis = [Shares purchased × Price per unit of shares purchased] + brokerage fee on the shares purchased.
= [210 × $54] + $110
= $11,450
Gain = Amount realized - Adjusted basis
Gain = $16,010 - $11,450
Gain = $4,560
Therefore, the amount of gain Kevin must report on his 2019 tax report is $4,560
Why is understanding the relationship between the cash conversion cycle (CCC) and net working capital important to the contemporary business executive
Answer: To understand how businesses need money and how they can sustain themselves for a period of time to fund bills and still operate
Explanation:
Understanding the relationship between cash conversation cycle and contemporary business executive aims at knowing the business needs funds to operate and building strategic alliances, make money and propose ideas that will sustain and elevate it's strength for some time. Money is vital in running business operations, as organizations will foot bills and do some expenditure and sought out ways to earn more business.
Benjamin put together a committee that included his colleagues. This committee had the sole task of monitoring the effect of the current marketing campaign of the company. The committee will be dissolved after the task is completed. What type of committee did Benjamin put together
Answer:
Benjamin put together a ad hoc committee
Explanation:
A friend asks to borrow $635.52 today and promises to repay you $1,000 with interest compounded annually at 12%. How many years (compounding periods) will pass before you receive the payment
Answer:
4 years
Explanation:
We can calculate the years (compounding periods that) will pass before you receive the payment by calculating the PV factor at 12% as follows.
DATA
Amount borrowed = $635.52
future amount = $1,000
Interest rate = 12%
Time period (n) = ?
Solution
Amount borrowed = future amount x Present value factor (12%, n)
$635.52 = $1,000 x PV factor(12%, n)
0.63552 = PV factor(12%, n)
If you see in a discount table yu wi see 0.63552 in the fourth row of 12% rate that means it will take 4 years to receive the payment.
The investor is worried that the beta of his portfolio is too high, so he wants to sell some stock C and add stock D, which has a beta of 1.0, to his portfolio. If the investor wants his portfolio to have a beta of 1.72, how much stock C must he replace with stock D
Answer: $36,000
Explanation:
First calculate the individual weights for the different stocks as this will help with the calculation of beta.
Total amount invested = 16,000 + 48,000 + 96,000 = $160,000
Stock A weight = 16,000/160,000 = 10%
Stock B weight = 48,000/160,000 = 30%
Stock C weight = 96,000/160,000 = 60%
Stock D is to be bought by replacing some of stock C which means that the weight of stock C in the new beta calculation will be exactly less than 60% by the weight of D.
Assuming the weight of d is x, beta is;
Portfolio beta = ∑(weight of stock * beta)
1.72 = (10% * 1.3) + (30% * 1.8) + ((60% - x) * 2.2) + ( x * 1)
1.72 = 0.13 + 0.54 + 1.32 - 2.2x + x
1.72 = 1.99 - 1.2x
1.2x = 1.99 - 1.72
x = (1.99 - 1.72) / 1.2
x = 0.225
Weight of stock D will be 0.225 which is how much of stock C will have to be sold.
The amount of stock C that should be replaced by D is therefore;
= 160,000 * 0.225
= $36,000
At the end of the year, Sheffield Co. has pretax financial income of $616,000. Included in the $616,000 is $78,400 interest income on municipal bonds, $28,000 fine for dumping hazardous waste, and depreciation of $67,200. Depreciation for tax purposes is $50,400. Compute income taxes payable, assuming the tax rate is 30% for all periods.
Answer:
$173,820
Explanation:
pretax financial income $616,000
- interest income on municipal bonds ($78,400)
+ depreciation ($67,200 - $50,400) = $16,800
+ fine for dumping hazardous materials $25,000
taxable income = $579,400
income taxes payable = $579,400 x 30% = $173,820
Fines are not tax deductible, and since depreciation for tax purposes is lower than accounting depreciation, you must add them. But since municipal bonds are not taxable, they must be subtracted.
A stock has an HPR of 9%. The expected dividend yield is 3%.
a. True
b. False
The expected price appreciation is 12%.
a. True
b. False
Answer:
b. False
Explanation:
holding period return = [dividends received + (ending value - initial value)] / initial value
9% = [dividends received + (ending value - initial value)] / initial value
dividend yield = dividend / ending value
3% = dividend / ending value
price appreciation = (ending value / initial value) - 1
1.12 = ending value / initial value
ending value = 1.12 initial value ⇒ WE REPLACE IN THE HPR ANN DY FORMULAS
3% = dividend / 0.12 initial value
dividend = 0.36 initial value
9% = [dividends received + (1.12 initial - initial value)] / initial value
9% = dividends received + (0.12 initial value / initial value)
9% = dividends received + 12%
9% = 0.36 initial value + 12%
-3% = 0.36 initial value ⇒ THIS CANNOT BE TRUE, SO THE QUESTION MUST BE FALSE
When the interest rate is 10% per year, all of the following are equivalent to $5,000 now except: A) $4,545 one year ago B) $5,500 one year later C) $4,012 two years ago D) $6,050 two years later
Answer:
$4,021 two years ago
Explanation:
Given that
The Rate of interest is 10%
And as we know that
PV = FV × (1 + i)^(-n)
And
FV = PV ÷ (1 + i)^n
where,
PV = prsent value,
FV = future value ,
i = interest rate,
n = years
Now
a)
FV = $4,545 × (1.1)
= $4,999.5
b)
PV = $5,500 ÷ (1.1^-1)
= $5,000
c)
FV = $4,021 × (1.1^2)
= $4,865.41
d)
PV = $6,050 × (1.1^-2)
= $5,000
hence, the correct option is c. $4,021
It is wrongly written as $4,012
Answer:
$4,012 two years ago
Explanation:
The longest series of connections in the project network from the start to the end of the activities is also referred to as ________
a. the action path.
b. the critical path.
c. the master schedule.
d. float or slack.
Answer:
b. the critical path.
Explanation:
Project management can be defined as the process of designing, planning, developing, leading and execution of a project plan or activities using a set of skills, tools, knowledge, techniques and experience to achieve the set goals and objectives of creating a unique product or service. Generally, projects are considered to be temporary because they usually have a start-time and an end-time to complete, execute or implement the project plan.
The fundamentals of Project Management are considered universal across most businesses and professions.
The fundamentals of Project Management includes;
1. Project initiation
2. Project planning
3. Project execution
4. Monitoring and controlling of the project
5. Adapting and closure of project.
It is very important and essential that project managers in various organizations, businesses and professions adopt the aforementioned fundamentals in order to successfully achieve their aim, objectives and goals set for a project.
The longest series of connections in the project network from the start to the end of the activities is also referred to as the critical path. It is typically used by project managers to do a proper scheduling of their project activity and work.
QUESTION 9 of 10: A popular act commands $250,000 for a single appearance plus 20% of ticket sales and 10% of concession receipts. If
ticket sales are $1,250,000 and concession receipts are $400,000, what will the act be paid for their performance?
оооо
a) $250,000
b) $290,000
c) $540,000
d) $1,900,000
Answer:
c) 540,000
Explanation:
The total amount the popular act will be paid for their perfomance is $540,000.
What will the act be paid for their performance?
The total amount that would be paid is the sum of the single apperance fee, the 20% of ticket sales and the 10% of concession receipts.
Total amount = $250,000 + (20% x 1,250,000) + (10% x $400,000) = $540,000
To learn more about percentages, please check: https://brainly.com/question/25764815
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Angie and Brad form Cats Are Us, Inc. Angie contributes $120,000 cash for 60% of the stock. Brad contributes an asset with an FMV of $90,000 and an adjusted basis of $30,000 for 40% of the stock. Brad also receives $10,000 cash from the corporation. What is the corporation's basis in the asset received from Brad?
Answer:
$40,000
Explanation:
Calculation for the corporation's basis in the asset that was received
Using this formula
Corporation'sbasis in the asset received = Stock Adjusted basis + Cash received
Let plug in the formula
Corporation'sbasis in the asset received = $ 30,000 +$10,000
Corporation'sbasis in the asset received = $ 40,000
Therefore the Corporation'sbasis in the asset received will be $40,000
A fashion designer who creates pieces from start to finish for a Paris runway show has a job that has:________
Answer:
High task identity.
Explanation:
A task identity can be defined as a measure of the extent or degree to which a project or job requires the completion from the beginning of the project to the end rather than just a bit or a fraction.
A fashion designer who creates pieces from start to finish for a Paris runway show has a job that has high task identity.
The taxpayer's spouse died at the beginning of 2019. He has no qualifying child. Which status should the taxpayer select when filing his tax return?
Answer:
single (no child)
Explanation:
In the given scenario the taxpayer's spouse died so the first assumption is that he will file as a widower.
However to file tax as a widower one has to have lost their spouse and have dependants or children. Then he file for standard deduction of married couple in the first year and as a widower in subsequent years.
In this case the taxpayer will file as single with no child and not as a widower.
If rent receivable decreases during the period, cash received from renters is _____ rent revenue reported on the income statement.
Answer:
Greater than
Explanation:
In the case when the rent receivable i.e. current asset decreased during the period and the cash received from renters would be more than the rent revenue i.e. reported on the income statement
This condition would be adverse in that case when the rent receivable increased and the cash received would be less than the rent revenue
Here cash received could be computed by deducting an increase or adding a decrease
An insurance policyholder must pay a _______________ for each ______________ service, before insurance covers the rest.
A. copayment; uninsured
B. deductible; uninsured
C. deductible premium; insured
D. copayment; insured
Answer:
D. copayment; insured
Explanation:
When the person takes insurance than the person called as insurance policyholder who is holding his or her own policy so he or she must have to pay the copayment i.e. fixed amount for the service covered prior to receiving the service for each insured service prior to the insurance that covers the rest
Therefore the correct option is D
And, the rest ones are incorrect
Amy is considering investing in a project that is expected to return $75,000 five years from now. How much is she willing to pay for this investment if she wants a 10% return
Answer:
$46,569.10
Explanation:
The worth of the project today is the present value of the return expected in 5 years using the interest rate of return of 10% as the discount rate as computed below:
PV=FV/(1+r)^n
PV=today's worth of the project which is unknown
FV=future amount expected=$75,000
r=interest rate=10%
n=the time before the return is received=5 years
PV=$75,000/(1+10%)^5
PV=$75,000/(1.1)^5
PV=$75,000/1.61051
PV=$46,569.10
Everything else held constant, an autonomous (i.e. discretionary) expansionary monetary policy (i.e. lowering interest rates) ________ aggregate ________.
a. decreases; demand
b. increases; supply
c. decreases; supply
d. increases; demand
Answer: d. increases; demand
Explanation:
Autonomous expansionary policy by the Central bank of a nation is what happens when the central bank is engaging in actions that are increasing the amount of money in the nation.
With more money available for spending, people will want to buy more of the things they want which will increase aggregate demand.
Companies as well as people will also be able to access loanable funds at cheaper interest rates and so will borrow more for investment which will also increase aggregate demand.
A global organization headquartered in London that represents over 200 consumer groups in more than 100 nations is called: Multiple Choice Consumers Union. Consumers International. Public Interest Research Group. Public Citizen.
Answer:
Consumer international
Explanation:
Consumer international is am organisation that have members that are consumer groups around the world.
Presently they have members of 250 consumer groups in 120 countries around the world.
The headquarters not the organisation is in London. While it has branches in Latin America, Asia Pacific, Africa, and the Middle East.
They focus on consumer protection. Ensuring that member groups get the best products at the cheapest rates
Suppose that there is only one small clothing store in the remote village of Green Acres, and until fairly recently all of the townspeople bought most of their clothing there. As more people in Green Acres use the internet to shop for clothes, the price elasticity of demand for shirts at the Green Acres store will:_______
a. decrease because the Internet offers more substitutes.
b. remain the same, but the quantity demanded will decrease as more people shop online.
c. remain the same, but the demand will decrease as more people shop online.
d. increase because the Internet offers more substitutes.
Answer:
D)increase because the internet offers more substitutes
Explanation:
From the question we are are informed about a situation where there is only one small clothing store in the remote village of Green Acres, and until fairly recently all of the townspeople bought most of their clothing there. In the case that more people in Green Acres use the internet to shop for clothes, the price elasticity of demand for shirts at the Green Acres store will increase because the internet offers more substitutes.price elasticity of demand which is the degree to which there is a change in amount of quantity that is been demanded as a result in the change in price, so on this case as the Green Acres use the internet to shop for clothes the price elasticity of demand for shirts at the Green Acres store will increase and this is as a result of the substitute that is been provided by the internet.
Note that substitute in business means that both the shop online and the clothing stores in the village are offering same purpose. They are substitute.
Sledge Co. manufactures a product requiring 1.5 lbs. of raw material for each finished unit. The beginning inventory of raw materials in March was 5,000 lbs. The company wants an inventory of 2,500 lbs at the end of March. Production for March will be 4,000 units. How many lbs. of raw material must be purchased in March
Answer:
Purchases= 3,500lbs
Explanation:
Giving the following information:
Production= 4,000*1.5= 6,000 lbs
Beginning inventory= 5,000 lbs
Ending inventory= 2,500 lbs
To calculate the direct materials purchase, we need to use the following formula:
Purchases= production + desired ending inventory - beginning inventory
Purchases= 6,000 + 2,500 - 5,000
Purchases= 3,500lbs
Answer:
Sledge Co./
3,500 Ibs. of raw materials must be purchased in March.
Explanation:
a) Data and Calculations:
Purchases of raw materials:
Expected ending inventory = 2,500 Ibs.
Production for March (4,000 x 1.5 Ibs.) = 6,000 Ibs.
Raw materials available for production = 8,500 Ibs.
Less beginning inventory = 5,000 Ibs.
Purchases = 3,500 Ibs.
b) The units to be purchase is the difference between raw materials expected to be available for production and the beginning inventory. Since the expected ending inventory is 2,500 Ibs. and the units to be produced during March is 4,000 units, which will use 6,000 Ibs (4,000 * 1.5 Ibs.), therefore, the total units of raw materials required is 8,500 Ibs. When the inventory of raw material is taken away, the difference is the Purchases of materials to be made during March.
Select the correct answer.
Some social workers work in hospitals.
A. True
B. False
Answer:
A
Explanation:
In each of the following situations, list what will happen to the equilibrium price and the equilibrium quantity for a particular product, which is an inferior good. DRAW THEGRAPHS
a. The population decreases and productivity increases
b. Income increases and the price of inputs increase
c. The number of firms in the market decreases and income decreases
d. Consumer preference decreases and the price of a complement increases
e. The price of a substitute in consumption increases and the price of a substitute in production increases
Answer:
how to draw graf in this
If you want to put your customer service call center workers into small groups to provide more consistent customer service what type of group or team would you create
Answer: Venture team
Explanation:
A venture team could be described as a team set up with leaders with the responsibility of carrying out certain functions effectively. A venture team supervises and manages start-up businesses, attending to all details and ensuring business operations are ran effectively and optionally.
George bought 100 shares of ABC Corporation at $20/share. He held the shares for a year and then sold them at $22/share. The ABC Corporation realized _____.
A. a risk-return tradeoff of 10 percent
B. a capital appreciation of 10 percent
C. a standard deviation of 10 percent
D. a premium of 10 percent
Under a divorce decree executed in 2019, Duron is required pay $800 of alimony and $400 of child support each month for the next 10 years. In addition, Duron makes a voluntary payment of $200 per month. How much of the total monthly payments are deductible by Duron
Answer:
The total monthly payments that are deductible by Duron are:
$1,200 each month for the next 10 years.
Explanation:
According to the IRS rules, if Duron pays his ex partner payments each month which are not documented by the court, the money is not tax deductible. Therefore, it is beneficial for Duron to receive a court order to pay the additional alimony if Duron plans on enjoying a tax deduction for the additional spousal support of $200.
A $1,000 par value bond sells for $1,216. It matures in 20 years, has a 14 percent coupon, pays interest semiannually, and can be called in 5 years at a price of $1,100. The bond's yield to maturity is: (Round the answer to two decimal places.)
Answer:
The bond's yield to maturity is 11.26%
Explanation:
The computation of the yield to maturity is shown below:
Given that
Present value = PV = $1,216
Future value = FV = $1,000
NPER = 20 × 2 = 40
PMT = 1,000 × 14% ÷ 2 = $70
The formula is shown below:
= RATE(NPER;PMT;-PV;FV;TYPE)
After applying the above formula
The bond yield to maturity is
= 5.63% × 2
= 11.26%
_____ interviews are used to gain information as to what the employee liked at the organization, and what he/she believe should be improved.
a. Screening
b. Exit
c. Selection
d. Stress
e. Intake
Answer:
Option B: Exit
Explanation:
Organization has several reasons for conducting an exit interview it includes:
1. Source of information for the organisation: questions asked includes What went well and what did not go as planned, What could have made the employee stay and others leave. And the LSD technique is used and it can lead to a Win-win situation for both parties
2. The owner and the organization can learn and take retention initiatives for the rest of the workforce.
3. Building company image.
The aggregate supply-aggregate demand model predicts that the short-run effects of a temporary but severe oil-cutoff would be:_____
Incomplete question.
Options;
a. A decrease in the price level and an increase in real output.
b. An increase in both the price level and real output.
c. An increase in the price level and a decrease in real output.
d. A decrease in both the price level and real output.
Answer:
c. An increase in the price level and a decrease in real output.
Explanation:
Remember, aggregate supply often refers to the total output of goods and services in an economy available for sale While aggregate demand refers to the total value of the money spent on the goods and services produced in an economy.
Note also, what this means is that as a result of the severe oil-cutoff, the supply of oil would reduce greatly, and with lower supply in the short-run; we would expect the price level to increase.
However, as the price level increases, in the short-run, there would be an immediate decrease in the real output of oil among producers.
Riverbed Inc. purchased land, building, and equipment from Laguna Corporation for a cash payment of $327,600. The estimated fair values of the assets are land $62,400, building $228,800, and equipment $83,200. At what amounts should each of the three assets be recorded
Answer:
Land=$54,600, Building = $200,200, Equipment = $72,800
Explanation:
Total Asset Fair Value = Land + Building + Equipment
Total Asset Fair Value = 62,400 + 228,800 + 83,200
Total Asset Fair Value = 374,400
Recorder Amount
Land = 62,400 / 374,400 * 327,600 = $54600
Building = 228,800 / 374,400 * 327,600 = $200200
Equipment = 83,200 / 374,400 * 327,600 = $72,800
Scott, the chief operating officer of Barcelona Restaurant Group, tells his managers that Barcelona's philosophy is to:
Answer:
the question is incomplete, so I looked for a similar one:
COO, Scott Lawton, discusses Barcelona’s philosophy on allowing restaurant managers to make their own decisions. They hire and train managers that they believe have the "creativity and brain power" to be successful.
Which type of role is Scott performing?
What type of management approach exists in Barcelona?
Scott is performing an interpersonal role since the question describes his actions regarding restaurant managers and how he allows them to basically operate as independent business units. Scott if the figurehead of Barcelona, but at the same time gives lower level managers a lot of freedom.
This type of management can be described as the humanistic perspective management since employees are empowered.
How should an organization think about cyber defense? What are the limits of a ‘perimeter-oriented’ security posture?
Answer:
In the explanation is a short point of view about the cyber defense and the perimeter oriented posture.
Explanation:
To begin with, the concept known as "Cibersecurity" refers to the process of protection of computer systems and everything related to them like softwares, hardwares or any electronic data that could be harmful and sensitive for the company. The reason why this type of practice has been rising up the last years is due to the fact that the "internet of things" has been growing up as well and everyday the companies need to protect their information more and more. Moreover, the "perimeter-oriented" security posture implicates the focus on the external networks as being bad and on the other side the internal networks as being good and stable. So the reason why the companies should consider the cyber defense important is because they need to protect all the information that could be use against them.