A company issues 36,000 shares of $6 par value common stock at $18 per share. When the transaction is recorded, the credit side of the journal entry will be:

Common Stock $648,000
Common Stock $216,000 and Paid-in-Capital in Excess of Par Value $432,000
Common Stock $216,000 and Retained Earnings $432,000
Retained Earnings $648,000

Answers

Answer 1

When transaction will be recorded, the credit side of the journal entry is; Common Stock $216,000 and Paid-in-Capital in Excess of Par Value $432,000. Option B is correct.

When a company issues shares of common stock at a price higher than the par value, the par value portion is recorded as Common Stock, and the excess amount above the par value is recorded as Paid-in-Capital in Excess of Par Value.

In this case, the company issues 36,000 shares of $6 par value common stock at $18 per share. The par value per share is $6, and the excess above par value is $18 - $6 = $12.

To record this transaction, the journal entry will be;

Debit Cash (36,000 shares × $18 per share) = $648,000

Credit Common Stock (36,000 shares × $6 par value per share) = $216,000

Credit Paid-in-Capital in Excess of Par Value (36,000 shares × $12 excess per share) = $432,000

So the credit side of the journal entry will be Common Stock $216,000 and Paid-in-Capital in Excess of Par Value $432,000.

Hence, B. is the correct option.

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--The given question is incomplete, the complete question is

"A company issues 36,000 shares of $6 par value common stock at $18 per share. When the transaction is recorded, the credit side of the journal entry will be: A) Common Stock $648,000 B) Common Stock $216,000 and Paid-in-Capital in Excess of Par Value $432,000 C) Common Stock $216,000 and Retained Earnings $432,000 D) Retained Earnings $648,000."--


Related Questions

What do business processes define? A. The company's strategy B. The efficiency of process execution C. The end-to-end series of events for interacting with customers D. Only the in-house services

Answers

Business processes define the end-to-end series of events for interacting with customers, encompassing the steps and activities involved in delivering value, aligning with strategic objectives, and optimizing efficiency. So, the correct answer is option C.

Business processes define the sequence of activities and tasks that are performed within an organization to achieve specific goals and deliver value to customers.

They encompass the entire journey of interacting with customers, from the initial contact to the final delivery of products or services. Business processes outline the steps, workflows, and interactions involved in providing goods or services, managing resources, and fulfilling customer needs.

While business processes do not solely define the company's strategy (option A), they are aligned with the strategic objectives of the organization. Effective business processes contribute to achieving strategic goals by optimizing efficiency, improving quality, reducing costs, and enhancing customer satisfaction.

The efficiency of process execution (option B) is an important aspect of business processes, but it is not the sole definition. Business processes aim to streamline operations and improve efficiency by eliminating redundancies, minimizing errors, and maximizing productivity.

Business processes are not limited to in-house services (option D). They encompass both internal and external interactions, including interactions with customers, suppliers, partners, and other stakeholders. The focus is on providing a seamless experience throughout the entire value chain, from customer engagement to service delivery.

So, option C is correct.

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During the group development process, the ____ phase is reached when a consensus is reached and the team finds a solution that all members are willing to support
A. orientation
B. emgergence
C. brainstorming
D. reinforcement
E. conflict

Answers

During the group development process, the correct option is b. emergence phase is reached when a consensus is reached and the team finds a solution that all members are willing to support.

Group development refers to a series of stages that a group goes through as it forms, develops, and eventually disbands. It entails the transformation of a group of individuals who come together to form a team that can collaborate effectively to achieve a shared goal. The stages of group development are as follows: Forming Storming Norming Performing Adjourning. The emergence phase is the second stage in group development. Members of the group establish their positions and start communicating during this stage.

The group's initial conflict and disagreements may arise during this stage. Members must be willing to share their opinions and perspectives during this phase. At the end of this stage, members must be able to reach an agreement on how to collaborate effectively to achieve the team's objectives. Further the group development process entails the following stages: Orientation: The team members are introduced to one other, and everyone is still a bit unsure about the group's objective or purpose. This is also known as the forming stage.

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Haver Company currently pays an outside supplier $25 per unit for a part for one of its products. Haver is considering two alternative methods of making the part. Method 1 for making the part would require direct materials of $10 per unit, direct labor of $13 per unit, and incremental overhead of $3 per unit. Method 2 for making the part would require direct materials of $10 per unit, direct labor of $7 per unit, and incremental overhead of $7 per unit. Required: 1. Compute the cost per unit for each alternative method of acquiring the part. 2. Should Haver make or buy the part? If Haver makes the part, which production method should it use? Required 1 Required 2 Required 1 Required 2 Compute the cost per unit for each alternative method of acquiring the part. Compute the cost per unit for each alternative method of acquiring the part. Cost per unit Make with Method 1 Make with Method 2 Buy Cost per unit Make with Method 1 Make with Method 2 Buy Cost to buy $ Direct labor 0 $ 0 $ 0 Direct materials Required 1 Required 2 > Cost per unit $ 0 $ 0$ 0 Overhead Required 1 Required 2 Should Haver make or buy the part? If Haver makes the part, which production method should it use Should Haver make or buy the part? If Haver makes the part, which production method should it use? Required 1 Make Buy

Answers

Answer:

The answer is "Buy."

Explanation:

Since the company can produce the product using the make methods, it should perform a make-or-buy analysis to decide whether it should produce the product in-house or acquire it from a supplier. In-house production may be the best alternative if the cost of in-house manufacturing is less than the cost of buying the product from an external supplier.

On the other hand, buying may be the preferred alternative if the cost of purchasing is less than the cost of in-house production. If Haver is considering the best production method to use if it chooses to make the part, it must compare the production costs of the two methods (Method 1 and Method 2) to determine the most cost-effective choice.

Required 2 To make the best decision, the company must conduct a break-even analysis. The break-even point is reached when the total production costs equal the total costs of acquiring the product from an external supplier. Since the cost of producing the product using Method 1 is higher than the cost of producing the product using Method 2, Method 2 is the better alternative for Haver to use if it chooses to produce the product in-house.

However, since the total cost of purchasing the product from an external supplier is less than the total cost of producing the product using either method, the company should acquire the product from an external supplier instead of producing it in-house. Therefore, the answer is "Buy."

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Before we can answer the question, "What is the aim of a business?" we must first define a firm. According to the article, a company is a group of people who work together to achieve goals that they could not achieve individually. As a result, they could benefit society as a whole (Handy, 2002).
Then there's the big question: what's the point of business? Before reading the post, I was convinced that the objective of a firm is to maximise profits for shareholders. However, while reading the article, I realised that it is not improper for a firm to have profit as one of its aims. Meanwhile, corporations should put their riches to good use by contributing to society. However, this is not the case in society. Short-term investments are frequently popular among shareholders. To be more specific, they prefer short-term projects with high payoffs, which may lead to ignorance of long-term enterprises. Long-term, low-return projects, such as new energy research and development, are typically uninteresting to shareholders. According to the article, some companies fail because they exclusively focus on their products and benefits, while failing to produce social value (Handy, 2002).
As an example, Huawei, a Chinese technology business, is backed by the Chinese government and has a huge sales volume in several nations. While producing new goods to increase earnings, Huawei does not forget to give back to the society. Huawei has given various job positions to developing countries, including some rural areas in southern Africa, while also assisting them in the construction of infrastructure network facilities. Huawei has profited while also improving its reputation and appeal, making it a profitable corporation.
Do you agree and why? If possible ask some questions relate.

Answers

The points made in the post regarding the aim of a business and the responsibility of corporations to contribute to society are valid and thought-provoking.

It is true that traditionally, the primary objective of a business has been seen as maximizing profits for shareholders. However, there is an increasing recognition that businesses have a broader role to play in society and should consider the impact of their actions on various stakeholders, including employees, customers, communities, and the environment.

While generating profits is essential for the sustainability and growth of a business, it should not be the sole focus. Businesses can create social value by addressing societal needs, promoting ethical practices, and investing in sustainable initiatives. This approach can lead to long-term success, as it builds trust, enhances reputation, and fosters positive relationships with stakeholders.

The example of Huawei highlights the potential benefits of integrating social responsibility into business practices. By actively contributing to the development of infrastructure and providing job opportunities in developing countries, Huawei demonstrates a commitment to social impact while still pursuing profitability. This approach not only enhances the company's reputation but also strengthens its market position and appeal.

However, it is important to consider the complexities and challenges that businesses face in balancing profit generation and societal contributions. Questions arise regarding the extent of social responsibility, the trade-offs between short-term gains and long-term sustainable practices, and the potential conflicts between various stakeholders' interests.

Some questions to consider in relation to this topic are:1. How can businesses strike a balance between maximizing profits and fulfilling their social responsibilities?

2. What role should governments play in incentivizing and regulating businesses to prioritize social value creation?3. How can businesses measure and evaluate their social impact to ensure transparency and accountability?

4. What are the potential risks and challenges that businesses may face when integrating social responsibility into their operations?

These questions invite further exploration and discussion on the evolving role of businesses in society and the need for a more holistic approach to business goals and practices.

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THE NEXT QUESTIONS ARE BASED ON THE FOLLOWING INFORMATION: A sample of 8 households was asked about their monthly income (x) and the number of hours they spend connected to the internet each month (y). The data yield the following statistics: x = 324 (a), y = 393 (b), (x-x)² = 1720.875 (c), (y-7)² = 1150 (d), (x-x)(y-7)=1090.5 (e). a. Look at the formula for sample standard deviation in your notes. What is the sample standard deviation of monthly income? b. I regress y (internet time) on x (monthly income) and calculate a regression line. We can calculate the slope of this simple regression b1 using the above information. Calculate b1. A. 12.817; b1-0.63 B. 15.68; b1-0.63 C. 15.68; b1-0.95 D. 12.817; b1-0.95

Answers

The slope of this simple regression b1 using the above information is 12.817; b1-0.95. The correct answer is (D).

a. Sample standard deviation of monthly income can be calculated as follows:

Sample standard deviation = sqrt(((x-x)²)/n-1)

where x is the sample mean and n is the sample size Given that x = 324, (x-x)² = 1720.875, and n = 8

Sample standard deviation = sqrt((1720.875)/(8-1)) = 16.175

b. The simple linear regression model is given by: y= b0 + b1x

Where,

y = Number of hours spent connected to the internet each month

x = Monthly incomeb0 = y-interceptb1 = Slope of regression line

The slope of the regression line can be calculated using the following formula:

b1 = [(n∑xy) - (∑x∑y)] / [(n∑x²) - (∑x)²]

where n is the sample size, and ∑xy and ∑x² are the sum of products of x and y and sum of squares of x, respectively.

Given that n = 8,

∑xy = (x-x)(y-7)

= 1090.5,

∑x² = ∑(x-x)²

= 1720.875,

∑x = nx

= 8x

= 2592,

and ∑y = ny

= 8y

= 3144

Substituting the values in the formula gives:

b1 = [(8 x 1090.5) - (2592 x 3144)] / [(8 x 1720.875) - 2592²]

= -0.95

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An engineer deposits $20,000 in a savings account on her birthday. She deposits an additional $5,000 on every birthday after that. The account earns 7% interest compounded annually. How much money will be in the account at the end of twenty years? a. $283,379 b. $273,982 c. $282,374 d. $200,000

Answers

a) The amount of money in the account at the end of twenty years will be $282,374, where the account earns 7% interest compounded annually.


To calculate this, we use the formula for compound interest: A = P(1 + r/n)^(nt), where A is the future value, P is the principal amount, r is the annual interest rate, n is the compounding period per year, and t is the number of years.
In this case, the initial deposit is $20,000, the annual interest rate is 7% (or 0.07 as a decimal), the compounding period is 1 (compounded annually), and the number of years is 20. Plugging these values into the formula, we get:
A = $20,000(1 + 0.07/1)^(1*20) = $282,374.
Therefore, at the end of twenty years, the account will have a balance of $282,374.

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Tom and Ed do business as Day Glow Paints, a partnership. In most states, for the purpose of collecting judgments and having accounting performed, the firm would be treated as Select one: a. a corporation.* b. a proprietorship. C. O d. an independent entity. an aggregate.

Answers

A corporation. partnership, such as Tom and Ed's business, is typically treated as a separate legal entity for the purpose of collecting judgments and performing accounting tasks.

However, it is not classified as a corporation but rather as a partnership. Partnerships are considered independent entities in most states and have their own tax obligations, liability, and accounting procedures separate from the individual partners.

In most states, partnerships, such as Tom and Ed's business, are treated as independent entities for the purpose of collecting judgments and performing accounting tasks. Although they are not classified as corporations, partnerships are considered separate legal entities. This means that the partnership itself can be held liable for any judgments against it, and its assets can be used to satisfy those judgments. Additionally, partnerships have their own tax obligations and accounting procedures, separate from the individual partners. This distinction allows for the partnership to function as a cohesive unit in legal and financial matters.

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Write a ''Term paper'' on organizational development
from Human resource development and management perspective.

Answers

Title: Organizational Development: A Human Resource Development and Management Perspective

Abstract: Organizational development (OD) is a strategic process aimed at improving an organization's effectiveness and capabilities through planned interventions. This term paper explores the concept of organizational development from a human resource development and management perspective. It delves into the key elements, theories, and strategies associated with OD, highlighting its significance in fostering a positive work environment, enhancing employee performance, and driving organizational success. Additionally, this paper discusses the role of HRD professionals in facilitating and implementing OD initiatives, emphasizing the importance of aligning human resource practices with organizational goals and objectives. By examining the interplay between organizational development and human resource management, this term paper provides valuable insights for HR practitioners and organizational leaders seeking to cultivate a culture of growth, innovation, and continuous improvement.

1. Introduction

  - Definition and overview of organizational development

  - Importance of organizational development in today's dynamic business environment

2. Key Elements of Organizational Development

  - Diagnostic phase: Assessing organizational needs and identifying areas for improvement

  - Intervention phase: Implementing interventions to address identified issues

  - Evaluation phase: Measuring the impact and effectiveness of OD initiatives

3. Theories and Models in Organizational Development

  - Lewin's Change Model

  - Action Research Model

  - Appreciative Inquiry

  - Systems Theory

4. Human Resource Development (HRD) and Organizational Development

  - The role of HRD in facilitating organizational development initiatives

  - Linking HRD practices with organizational goals and objectives

  - Training and development programs to support OD efforts

5. Strategies for Successful Organizational Development

  - Leadership development and succession planning

  - Employee engagement and empowerment

  - Organizational culture and climate

6. Challenges and Considerations in Organizational Development

  - Resistance to change and overcoming barriers

  - Ethical considerations in OD interventions

  - Sustainability and continuous improvement in OD practices

7. Case Studies and Best Practices in Organizational Development

  - Successful examples of OD implementation in organizations

  - Lessons learned and practical insights for HR practitioners

8. Conclusion

  - Recap of key points discussed

  - Importance of integrating HRD and OD for organizational success

  - Future trends and directions in organizational development

References:

(List of academic sources and references cited in the term paper)

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Why is interdisciplinary education important for the future of
healthcare organizations?

Answers

Interdisciplinary education is important for the future of healthcare organizations because it helps healthcare professionals to work collaboratively. In interdisciplinary education, different professionals come together to discuss different cases and problems faced by patients, so they can develop a better understanding of how they can work together to deliver optimal patient care.

It also allows healthcare professionals to share their knowledge and experience with one another. Interdisciplinary education promotes collaboration between healthcare professionals and results in improved communication, a better understanding of the roles of others, and an improved understanding of the needs of the patient.

The importance of interdisciplinary education in the healthcare industry is that it allows healthcare professionals to work together more efficiently and effectively to provide better patient care. It helps healthcare professionals to learn about other professions and their perspectives, so they can collaborate and share their knowledge, skills, and expertise.

This is particularly important in a healthcare environment where patient care is becoming increasingly complex, requiring the input of multiple professionals with different skills and knowledge. Interdisciplinary education can help healthcare professionals to work together more effectively, resulting in better patient outcomes.

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Remaining Time: 1 hour, 53 minutes, 39 seconds. Question Completion Status: Candlyicious, a candy show in Dubai expects the following sales and material payments for the period January til May of the coming year llamar w thousands) Sales Material Payments January BD 14.000 BD 18,000 February 30,000 21,000 March 40,000 19,100 Apri 22,000 22,400 May 18,000 14,000 The company notes that historically 30% of sales are for cash 40% are colected one month after the sale 30% are collected in the second month after the sale Mat payments are paid in the same month of incumence Labor expenses are 5% of the month's sales Rent payments are 50 1,200 per month Capital investment of 80 25000 expected in May The fem's ending cash balance in February was BD 2000, and its minimum reqsed cash balance is 60 2.500 Compute Candy Cash Recept (2 marks) -Cash Payments (2 marks) and Net Cash Flow (1.5 mark) for March April and May Cash Receipts March A May Total cash receipts (2 marks) May Ap Cash Payments Total payments (2 marks) Candyicious Net Cash Flow (Cash Budget Click Save and Submit admit Click Save All Annierer all answers.

Answers

Candlycious, a candy show in Dut Dubai, forecasts its cash receipts, cash payments, and net cash flow for the months of March, April, and May. The ending cash balance in February was BD 2,000, with a minimum required cash balance of BD 2,500.

To calculate the cash receipts for March, April, and May, we apply the given collection percentages to the corresponding sales figures. For March, the cash receipts will be 30% of the January sales (0.3 * 14,000) plus 40% of the February sales (0.4 * 30,000), resulting in a total of BD 11,800. For April, we calculate 30% of the February sales (0.3 * 30,000) plus 40% of the March sales (0.4 * 46,000), totaling BD 22,200. Finally, for May, we compute 30% of the March sales (0.3 * 46,000) plus 40% of the April sales (0.4 * 22,000) and get BD 16,800 as the cash receipts.

Regarding cash payments, since material payments are made in the same month, we use the given material payment figures for March, April, and May, which are BD 19,100, BD 22,400, and BD 14,000, respectively.

To calculate the net cash flow, we subtract cash payments from cash receipts. For March, the net cash flow is BD 11,800 - BD 19,100 = BD -7,300. For April, it is BD 22,200 - BD 22,400 = BD -200. Finally, for May, the net cash flow is BD 16,800 - BD 14,000 = BD 2,800.

In summary, Candlycious expects cash receipts of BD 11,800, BD 22,200, and BD 16,800 for March, April, and May, respectively. Cash payments for the same months are BD 19,100, BD 22,400, and BD 14,000, resulting in net cash flows of BD -7,300, BD -200, and BD 2,800 for March, April, and May, respectively.

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What were the benefits of the green revolution in India?
a. Due to farmers' prolonged and excessive use of synthetic fertilizers, their supply could not match their growing demand. b. While production increased sharply for staple crops, less-favored crops were confined to small-scale production. c. The high costs of pesticides, equipment, and seeds forced farmers to borrow large sums at high interest rates from banks and moneylenders. d. The strain on the treasury caused by the high subsidization of pesticides, equipment, and seeds forced a change in policy.

Answers

The benefits of the Green Revolution in India were primarily centered around the significant increase in agricultural production and food security. The correct answer is option a. Due to farmers' prolonged and excessive use of synthetic fertilizers, their supply could not match their growing demand.

During the Green Revolution, the adoption of modern agricultural practices, including the use of high-yielding varieties of seeds, irrigation, and synthetic fertilizers, led to a substantial increase in crop yields, particularly for staple crops like wheat and rice. This helped meet the growing demand for food and alleviate the problem of food scarcity in India.

The increased agricultural production also had positive socio-economic impacts, such as higher farm incomes, improved rural livelihoods, and reduced dependence on food imports. Additionally, the Green Revolution played a crucial role in reducing poverty and hunger by increasing the availability of affordable food for the population.

While there were challenges and drawbacks associated with the Green Revolution, such as the focus on specific crops and the environmental impact of intensive farming practices, the overall benefits in terms of increased agricultural productivity and food security were significant for India.

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Candy Corporation has pretax profits of $1.2 million, an average tax rate of 40 percent, and it pays preferred dividends of $20,000. There are 100,000 shares outstanding and no interest expenses. What is Candy Corporation's earnings per share?
A. $7.02
B. $4.52
C. $7.42
D. $7.00

Answers

No answer is correct. To calculate Candy Corporation's earnings per share (EPS), we need to determine the net income available to common shareholders and then divide it by the number of outstanding shares.

First, we calculate the net income available to common shareholders by subtracting preferred dividends from the pretax profits:

Net income available to common shareholders = Pretax profits - Preferred dividends

Net income available to common shareholders = $1,200,000 - $20,000 = $1,180,000

Next, we divide the net income available to common shareholders by the number of outstanding shares:

EPS = Net income available to common shareholders / Number of outstanding shares

EPS = $1,180,000 / 100,000 = $11.80

Therefore, Candy Corporation's earnings per share is $11.80. None of the given answer options match this value, so it seems there may be an error in the available choices.

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The Avis Company is a car rental company and is located three miles from the Los Angeles airport (LAX). Avis is dispatching a bus from its offices to the airport every 3 minutes. The average traveling time (a round trip) is 21 minutes. a. Apply Little's Law in this case, how many Avis buses are traveling to and from the airport? (Round your answer to the nearest whole number. Enter the numbers only the following blank)

Answers

According to Little's Law, there are approximately 7 Avis buses traveling to and from the airport.

Explanation: Little's Law states that the average number of customers in a stable system is equal to the average arrival rate multiplied by the average time a customer spends in the system. In this case, we can apply Little's Law to calculate the number of buses:

The average number of buses = (Average arrival rate) x (Average time for a round trip)

The average arrival rate can be calculated by dividing the number of buses dispatched per minute by the time for a round trip:

Average arrival rate = (1 bus dispatched every 3 minutes) / (21 minutes for a round trip)

Calculating the above, we get:

Average arrival rate = 1/3

Now, we can calculate the average number of buses:

Average number of buses = (1/3) x (21 minutes) = 7

Therefore, according to Little's Law, there are approximately 7 Avis buses traveling to and from the airport.

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In semiotics /the science about signs), a sign is something that stands for something else and consists of the (1) ___________ and (2)_____________
a - (1) Talker, (2) Listener

b- (1) Symobl, (2) Code

c- (1) Signaler, (2) Observer

d- (1) Signifier, (2) Signified

Answers

In semiotics (the science of signs), a sign is something that stands for something else and consists of the (1) signifier and (2) signified.The correct option is option (d) Signifier and Signified.

It is worth noting that, when we speak of signs in semiotics, we are referring to any type of gesture, image, word, sound, or object that we use to communicate meaning.In general, a signifier is a physical entity that communicates meaning. The signified, on the other hand, is the concept or idea that the signifier represents, such as a word or image that represents an idea, concept, or object.

When we see the sign of a broken traffic light, we understand that we need to proceed with caution since the signifier, the broken traffic light, represents the signified, a warning that the traffic signal is not functioning properly.

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Angel and Tiffany, who are twins, just received $20,000 each for their 22th birthday. They both have aspirations to become millionaires. So, they each invested the $20,000 into her "early retirement fund". After this, they also each plans to make a $8,000 annual contribution to her retirement fund on her birthday, beginning a year from today. Angel opened an account with the Safety First Bond Fund, a mutual fund that invests in high-quality bond whose investors have earned 5% per year in the past. Tiffany invested in the New Issue Bio-Tech Fund, which invests in small, newly issued bio-tech stocks and whose investors have earned an average of 15% per year in the fund’s relatively short history.
a. If the two women’s funds earn the same returns in the future as in the past, how old will each be when she becomes a millionaire?
b. How large would Angel’s annual contributions have to be for her to become a millionaire at the same age as Tiffany, assuming her expected returns are realized?
c. Is it rational or irrational for Angel to invest in the bond fund rather than in stocks?

Answers

a. Angel will become a millionaire at approximately 49.7 years old. For Tiffany: Initial investment: $20,000, Annual contribution: $8,000, Expected return: 15% per year. b. Angel would need to contribute approximately $9,536.74 annually to become a millionaire at the same age as Tiffany, assuming her expected returns are realized. c. The bond fund offers a lower expected return of 5% but also carries lower risk compared to the stock fund's average return of 15%.

a. To calculate the age at which each twin will become a millionaire, we need to determine the number of years it takes for their investments to reach or exceed $1,000,000.

For Angel:

Initial investment: $20,000

Annual contribution: $8,000

Expected return: 5% per year

Let's assume the number of years it takes for Angel to become a millionaire is denoted as "x".

The future value of Angel's investment can be calculated using the future value of an ordinary annuity formula:

FV = P * [(1 + r)^n - 1] / r

Where:

FV = Future value (target of $1,000,000)

P = Annual contribution ($8,000)

r = Annual interest rate (5% or 0.05)

n = Number of years

Plugging in the values, we have:

$1,000,000 = $8,000 * [(1 + 0.05)^x - 1] / 0.05

Simplifying the equation, we find:

[(1.05)^x - 1] = 0.125

Taking the logarithm of both sides, we get:

x * log(1.05) = log(1.125)

Solving for x, we find:

x ≈ 49.7 years

Therefore, Angel will become a millionaire at approximately 49.7 years old.

For Tiffany:

Initial investment: $20,000

Annual contribution: $8,000

Expected return: 15% per year

Using the same calculations as above, Tiffany's expected return of 15% will allow her to become a millionaire in fewer years compared to Angel.

b. To determine the annual contributions required for Angel to become a millionaire at the same age as Tiffany, we need to solve for the annual contribution amount in the future value formula.

Using the same formula as above, we set the future value to $1,000,000 and solve for the annual contribution:

$1,000,000 = P * [(1 + 0.05)^x - 1] / 0.05

Solving for P, we find:

P ≈ $9,536.74

Therefore, Angel would need to contribute approximately $9,536.74 annually to become a millionaire at the same age as Tiffany, assuming her expected returns are realized.

c. The decision to invest in the bond fund rather than stocks can be considered rational or irrational based on Angel's risk tolerance and investment goals. The bond fund offers a lower expected return of 5% but also carries lower risk compared to the stock fund's average return of 15%.

If Angel prioritizes capital preservation and has a lower risk tolerance, investing in the bond fund may be a rational choice. Bonds generally provide more stable returns and are considered safer investments compared to stocks, which can be volatile.

On the other hand, if Angel has a higher risk tolerance and aims for potentially higher returns, investing in stocks may be more suitable. Stocks have historically provided higher average returns over the long term but also come with greater market volatility.

Ultimately, the rationality of Angel's decision depends on her individual financial circumstances, investment goals, risk tolerance, and time horizon. It is important to consider one's personal preferences and consult with a financial advisor to make informed investment decisions.

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which intangible product is exchanged directly between the producer and the customer?

Answers

The intangible product which exchanged directly btwn the producer and customer is " service "

Recall an occasion when you experienced cognitive dissonance about a purchase (i.e., cognitive dissonance as a POST purchase behavior). 1. In one paragraph describe the event. Also, please state what you did about reducing the cognitive dissonance OR, if you didn't do anything, state what you could have done to reduce it. 2. What did the company do OR what should the company have done to reduce your cognitive dissonance?

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However, I can provide a  and  that can help you understand the concept of cognitive dissonance and how companies can reduce it. Cognitive dissonance is the state of mind when people experience conflict between their beliefs, attitudes, and behaviors.

In the context of consumer behavior, cognitive dissonance occurs when a consumer has doubts or second thoughts about a purchase decision after making it. This happens when the consumer experiences a conflict between the expectations and the actual experience with the product or service they purchased.In the past, I experienced cognitive dissonance after purchasing a pair of shoes. I saw a beautiful pair of shoes online and immediately bought them without checking the size chart. After receiving the shoes, I found out that they were too small and tight, causing discomfort when worn. I felt regretful and disappointed because I spent money on something that did not meet my expectations.

As a result, I felt a sense of dissonance between my beliefs and behaviors.To reduce my cognitive dissonance, I tried to change my beliefs by justifying the purchase. I thought that the shoes would stretch and become more comfortable over time. However, it did not work as expected. I could have reduced my dissonance by returning the shoes and exchanging them for a bigger size, or asking for a refund.In terms of the company's role in reducing cognitive dissonance, they should provide post-purchase communication to manage customer expectations and experience. This includes providing accurate product information, detailed size charts, and clear return policies. They should also provide customer support to address concerns and inquiries. By doing this, companies can help reduce cognitive dissonance and increase customer satisfaction.

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A firm in a perfectly competitive labor market is employing labor where the marginal revenue product of the last unit is $25 and the marginal factor cost is $30. Based on this, the firm should

A-employ more units of labor. B-employ fewer units of labor. C-employ the same amount of labor

D-lower its offered wage for labor. E-increase its offered wage for labor

Answers

The correct option is B. The firm should employ fewer units of labor. This is because, a firm maximizes its profit by employing labor up to the point where the marginal revenue product (MRP) of labor equals the marginal factor cost (MFC) of labor.

In a perfectly competitive labor market, a firm maximizes its profit by employing labor up to the point where the marginal revenue product (MRP) of labor equals the marginal factor cost (MFC) of labor. If MRP is less than MFC, it means that the additional cost of hiring an additional unit of labor is higher than the additional revenue generated by that unit of labor.

In this case, the MRP of the last unit of labor is $25, while the MFC is $30. Since the MFC is greater than the MRP, it indicates that the firm would incur a higher cost by hiring an additional unit of labor compared to the additional revenue it would generate. Therefore, the firm should employ fewer units of labor to maximize its profit.

The firm should employ fewer units of labor in order to optimize its profit.

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Course Learning Outcomes: 1, 2, 3, 4 & 5
Topic/s of Primary Focus: GDP, Unemployment and Inflation
(May also include content from previous topics.)
Refer to the *either* the
March 2022 Labour Force Survey data, published on 14/04/2022 and available at:
https://www.abs.gov.au/statistics/labour/employment-and-unemployment/labour-force-
australia/mar-2022
*or* the
April 2022 Labour Force Survey data, that will be published on 19/05/2022 at:
https://www.abs.gov.au/statistics/labour/employment-and-unemployment/labour-
force-australia/latest-release
(Note this link will also take you to the March 2022 data until 19/05/2022)
Note that as new Labour Force Data will be published just several days before the due
date of this assignment I am giving you the option to analyse the March 2022 data if
you wish to prepare the assignment prior to the publication of the new data. Or if you
do not commence the assignment until a few days before it is due, you can use the
more recent April data. Please do not accidently switch between these options or
become confused when the new data becomes available at the ‘latest release’ link.
In particular, refer to the Key Statistics dot-points and table at the top of these pages
for the key information.
Task:
Summarise in your own words the unemployment rate and related figures for the
selected month. Explain what is represented by this data, such that a non-economist
would better be able to understand its meaning.
You should in particular aim to incorporate elements of understanding that have come
from this course, such as what it means to be ‘unemployed’ and to be ‘in the labour
force’ and so on, to provide a clearer interpretation of the meaning behind these
numbers.
(For example, you can imagine that you are writing a short summary article for a
newspaper that is aimed at a general audience. Although you do not need to follow
this format stylistically.)

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A low unemployment rate, on the other hand, indicates that most people who are seeking work are able to find it. In March 2022, according to the Australian Bureau of Statistics, the unemployment rate was 5.5 percent, up from 5.1 percent in February.

The number of unemployed persons increased by 66,100 to 754,300 people. The participation rate decreased by 0.2 points to 66.0%, with the labor force increasing by 50,200 persons to 13,671,800 people.The unemployment rate is the percentage of the labor force who are unemployed and actively looking for employment. Being unemployed means that a person does not have a job but is actively looking for work and is available for work. A person is regarded as being in the labor force if they are either employed or unemployed and actively looking for work.The unemployment rate is an important economic indicator because it reflects the state of the labor market. A high unemployment rate indicates that a significant proportion of the labor force is unable to find work, which may indicate a weakened economy.

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what are the requirements to register a business?​

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Depending on the nation and jurisdiction in which you are creating the firm, there might be differences in the particular criteria to register a business. Name of the business, legal form, license, tax identification number, employer identification number (EIN), articles of incorporation or partnership, and business registration form.

The legal word for the power given to a legal institution to administer justice is jurisdiction (from Latin juris 'law' + dictio 'declaration'). Areas of jurisdiction are applicable at the municipal, state, and federal levels in federations like the United States.

International law, conflict of laws, constitutional law, and the employer identification number authority of the executive and legislative branches of government to allocate resources to best meet the needs of society are the main sources of jurisdiction.

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Describe moral hazard in the context of information asymmetries and how it can lead to lower levels of credit in an economy without banks. Briefly discuss one solution offered by banks.

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In the context of information asymmetries, moral hazard refers to the risk that arises when one party, typically the borrower, takes on more risk knowing that another party, such as a lender or insurer, will bear the consequences. It can lead to lower credit levels in an economy without banks, as lenders become wary of extending credit due to the potential for borrowers to act recklessly or opportunistically.

In an economy without banks, where information about borrowers' creditworthiness is limited, moral hazard becomes a significant concern. Borrowers may be tempted to take on riskier ventures, knowing that the consequences will be borne by others. This asymmetry of information can lead to adverse selection, where higher-risk borrowers are more likely to seek credit, and lenders respond by increasing interest rates or reducing the availability of credit.

Banks address this problem by acting as intermediaries and implementing mechanisms to mitigate moral hazard. One solution offered by banks is the practice of risk-based lending. Banks carefully assess borrowers' creditworthiness, utilizing various criteria such as credit history, collateral, and income verification. By pricing loans based on the perceived risk of default, banks align the cost of borrowing with the borrower's risk profile, discouraging excessive risk-taking and reducing moral hazard.

Banks effectively manage moral hazard through risk-based lending by considering the borrowers' risk profiles and adjusting interest rates or loan terms accordingly. This approach helps to maintain a balance between providing credit access and mitigating the adverse effects of information asymmetry, promoting a more sustainable and efficient credit market.

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Qs2. Shelzo Inc., a manufacturer of construction equipment is considering the purchase of one of its suppliers, Raritron Industries. The purchase has been given preliminary approval by Shelzo's Board of Directors, and several discussions have taken place between the management of both companies. Raritron has submitted financial data for the past several years. Shelzo's controller has analyzed Raritron's financial statements and prepared the following ratio analysis comparing Raritron's performance with the industry averages. Average 20x3 20x2 20x1 Industry ratio Return on common 13.03 13.02 12.98 12.96 shareholders' equity
Average sale period 51.16 47.29 42.15 38.63 Times interest earned 3.87 3.46 3.28 3.56 Price-earnings ratio 10.96 11.23 11.39 11.54 Debt-to-equity ratio 0.50 0.46 0.48 0.57 Accounts receivable turnover 6.98 7.25 7.83 7.78 Current ratio 1.65 1.95 1.70 2.30
Dividend yield ratio 2.08 2.06 2.12 2.25 Using the information provided above for Raritron Industries: A. 1. a) Identify the two ratios from the above list that would be of most interest to short-term creditors. 2. b) Explain what these two ratios measure. 3. c) What do these two ratios indicate about Shelzo Inc.?(2+2+2) 4. a) Identify the three ratios from the above list that would be of most interest to shareholders. 5. b) Explain what these three ratios measure. 6. c) What do these three ratios indicate about Shelzo Inc.? (3+2+2) 7. a) Identify the two ratios from the above list that would be of most interest to long-term creditors. 8. b) Explain what these two ratios measure. 9. c) What do these two ratios indice about Shelzo Inc.? (2+3+2)

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The two ratios that would be of most interest to short-term creditors are the Average Sale Period and the Current Ratio.

The Average Sale Period measures the average number of days it takes for a company to collect its accounts receivable. A lower average sale period indicates that the company collects its receivables more quickly, which is beneficial for short-term creditors as it reduces the risk of delayed payments.

The Current Ratio measures a company's ability to meet its short-term obligations with its current assets. A higher current ratio indicates a stronger liquidity position and suggests that the company is better equipped to pay off its short-term debts. This is important for short-term creditors as it provides assurance that the company has sufficient resources to meet its obligations.

Regarding Shelzo Inc., the higher Average Sale Period compared to the industry average suggests that Raritron Industries takes longer to collect its accounts receivable, which may raise concerns for short-term creditors about the timely receipt of payments. Additionally, the lower Current Ratio indicates that Raritron may have a lower level of liquidity compared to the industry average, which could also be a matter of concern for short-term creditors.

The three ratios that would be of most interest to shareholders are the Return on Common Shareholders' Equity, the Price-Earnings Ratio, and the Dividend Yield Ratio.

The Return on Common Shareholders' Equity measures the profitability generated by a company's equity investments. A higher return indicates better financial performance and is favorable for shareholders as it reflects their return on investment.

The Price-Earnings Ratio compares a company's stock price to its earnings per share, providing an indication of the market's valuation of the company's stock. A higher ratio suggests that the market has higher expectations for the company's future earnings growth.

The Dividend Yield Ratio measures the dividend income that shareholders receive relative to the price of the stock. A higher dividend yield ratio indicates a higher return on investment for shareholders through dividend payments.

These ratios indicate that Shelzo Inc. has achieved consistent profitability, as reflected by the Return on Common Shareholders' Equity. The Price-Earnings Ratio suggests that the market values Shelzo's stock in line with industry averages. The Dividend Yield Ratio indicates that Shelzo provides a competitive dividend yield to its shareholders, which can be attractive for investors seeking income from their investments.

The two ratios that would be of most interest to long-term creditors are the Debt-to-Equity Ratio and the Times Interest Earned Ratio.

The Debt-to-Equity Ratio measures the proportion of a company's total debt to its total equity, indicating the company's financial leverage. A lower ratio suggests lower financial risk and a stronger ability to repay long-term debts.

The Times Interest Earned Ratio measures a company's ability to cover its interest expense with its operating income. A higher ratio indicates better coverage and reduces the risk of defaulting on interest payments.

These ratios indicate that Shelzo Inc. has a relatively lower level of debt compared to its equity, as indicated by the lower Debt-to-Equity Ratio. This suggests a lower financial risk for long-term creditors. The Times Interest Earned Ratio indicates that Shelzo has a reasonable ability to cover its interest payments, further reducing the risk for long-term creditors.

Overall, these ratios indicate that Shelzo Inc. has a favorable financial position in terms of profitability, liquidity, and leverage, which can provide confidence to both short-term and long-term creditors, as well as shareholders.

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Which of the following is not a part of integrated approach for cost estimation? Select one: A. Cost and revenue structure B. Estimating techniques C. Work breakdown structure
D. The bottom-up approach

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The correct answer is C. Work breakdown structure. It is not a part of the integrated approach for cost estimation. The integrated approach includes considering the cost and revenue structure, estimating techniques, and the bottom-up approach.

Cost estimation is an important aspect of project management and involves predicting the expenses associated with completing a project. An integrated approach to cost estimation takes into account various factors to ensure accurate and comprehensive cost estimation. Three key components of the integrated approach are cost and revenue structure, estimating techniques, and the bottom-up approach.

A. Cost and revenue structure: This component involves analyzing the cost and revenue elements of a project. It includes understanding the cost drivers, identifying fixed and variable costs, and evaluating the revenue sources. By considering the cost and revenue structure, project managers can estimate the financial implications of the project.

B. Estimating techniques: Estimating techniques involve using various methods and tools to forecast costs. These techniques may include analogies, expert judgment, parametric estimation, three-point estimation, or software tools. Estimating techniques help in determining the most accurate and reliable cost estimates based on available data and project-specific factors.

D. The bottom-up approach: The bottom-up approach is a widely used method in cost estimation. It involves breaking down the project into smaller components or work packages and estimating the costs for each individual component. These estimates are then aggregated to determine the total project cost. The bottom-up approach provides a detailed and granular view of costs, allowing for better accuracy and control over cost estimation.

C. Work breakdown structure (WBS): While the work breakdown structure is an essential component of project management, it is not specifically related to cost estimation. The WBS is a hierarchical decomposition of project tasks and deliverables, providing a framework for organizing and managing the project. While cost estimation may be influenced by the WBS, it is not considered a direct part of the integrated approach for cost estimation.

In conclusion, the work breakdown structure (C) is not a part of the integrated approach for cost estimation. The integrated approach involves considering the cost and revenue structure, utilizing estimating techniques, and employing the bottom-up approach to ensure comprehensive and accurate cost estimation for projects.

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explain strategies campaigns use to win elections. why might digital media be more effective than television ads?

Answers

One of the strategies that campaigns use to win elections is by convincing voters that they are the best choice. This can be done through a variety of ways, such as door-to-door canvassing, rallies, television ads, and digital media.

In recent years, digital media has become an increasingly popular and effective way to reach voters. This is because it allows campaigns to target specific groups of people, and to engage with them directly through social media platforms. Digital media can also be less expensive than television ads, which can be cost-prohibitive for some campaigns.

Additionally, digital media allows for more interactive and engaging content, such as videos and graphics, which can be shared and spread more easily than traditional television ads. Overall, the use of digital media in campaigns has become an essential tool for winning elections, as it allows campaigns to reach voters in a more targeted, cost-effective, and engaging way.

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1) Smith Ltd sells rugby balls for $20 each and incurs variable
costs of $15 per ball. Smith Ltd''s break-even point is 40,000
units. What is Smith Ltd's profit when 50,000 units are sold?
Select one:

Answers

Smith Ltd.'s profit when 50,000 units are sold is $50,000.

Given;

Selling price of rugby balls is $20. Variable cost per ball is $15. Break-even point is 40,000 units.

Let's find the contribution margin per unit.

Contribution margin = Selling price - Variable cost per unit.

Contribution margin = $20 - $15

Contribution margin = $5.

At the break-even point, the company earns enough to cover its total cost but doesn't earn any profits.

Therefore, profit = 0 at the break-even point.

Now, we can use the formula below to calculate the profit earned when 50,000 units are sold.

Profit = (Sales − Variable cost) − Fixed cost.

Variable cost per unit is $15 and the break-even point is 40,000 units.

Fixed cost = Break-even point × Contribution margin.

Fixed cost = 40,000 × $5.

Fixed cost = $200,000

Sales (50,000 units) = 50,000 × $20 = $1,000,000

Profit = ($1,000,000 − ($15 × 50,000)) − $200,000

Profit = ($1,000,000 − $750,000) − $200,000

Profit = $250,000 − $200,000

Profit = $250,000 − $200,000Profit = $50,000

Therefore, Smith Ltd.'s profit when 50,000 units are sold is $50,000.

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planners charge a fee that is reduced by the amount of the commissions they earn. a) fee-only b) fee-and-commission c) fee-offset d) commission-based

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Planners charge a c) fee-offset that is reduced by the amount of the commissions they earn.

What is a fee - offset ?

Fee-offset refers to a compensation model where financial planners charge a fee for their services, but the fee is reduced by the amount of commissions they earn from products or services recommended or sold to the client. In this model, the planner's fee is offset by the commissions earned, reducing the overall cost to the client.

In a commission-based model, planners receive compensation solely through commissions earned from the sale of financial products or services, without charging a separate fee.

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Scenario: I NEED THOUGHTS AND DETAILED OPINIONS AND A TIMELINE

You are employed by a large community hospital in the finance department in your city. Recently, there has been a system wide restructuring of leadership and several new projects have been developed to improve quality of care and the patient experience. Your department director meets with you to discuss an opportunity for you to lead a team that will look at the low HCAHP scores and poor hospital specific patient survey results the Emergency Department has received over the last year. Leadership wants to review the areas in which the ED has received the lowest scores: Patient-centeredness, safety, and timeliness of care. The goals of the project are to improve the patient experience by creating a patient-centric environment, decrease errors made by ED providers, and decrease ED wait times by at least 50% (the current wait time is an average of 3 hours).

You will be the team leader and will choose your 5 member team. You and your team will then develop the process improvement plan to address these issues. Your director would like you to present your plan to executive leadership in 2 weeks.

Positions- (Front desk staff/nursing station staff, Porter, Nurse/ Floor Manager, Schedular, Financial Analyst, Marketing Personnel, Emergency department resident doctor)

- An overview of the 3 major issues in the Emergency Department identified through HCAHP scores and hospital specific patient surveys

- Team members you have chosen and why you chose them

- What each member's roles and responsibilities will entail (Be specific. Who will you choose from what departments? Why did you choose each person? What characteristics and skill sets are you looking for? Is your team multidisciplinary? Will you choose any team members from outside your organization? Think about who will be the best people to give you clear perspectives and thoughtful solutions)

- What will be your role as team leader?

- How and how often will you communicate with your team?

- What are the steps you and your team will take to develop this process improvement project?

- Your timeline for implementation of your plan

- What are the project's objectives?

You may include any other information you feel is relevant in relaying your vision to hospital leadership, but remember to be specific. You have creative license as to the specific details of your hospital and the specificity of the problems that were identified. Example: you can say the errors being made are related to medication errors, procedural errors, increase in preventable falls, etc.

Answers

The main objective of this project is to identify and reduce the frequency of preventable medical errors in the hospital. These errors can include medication errors, procedural errors, falls, and other types of errors that lead to harm or injury to patients.

The timeline for this project will be determined by the scope of the problem and the resources available to address it. This may involve the implementation of new policies and procedures, staff training, or the use of new technologies or systems to improve patient safety.

It will be important to regularly evaluate the effectiveness of these interventions and make adjustments as needed to continue reducing the rate of preventable errors. In addition to improving patient safety, this project will also help to improve the reputation of the hospital and increase patient satisfaction.

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If your speech is supposed to be 6-8 minutes long, which of the following durations should you aim for when timing and practicing your speech to ensure you are neither under time nor over time? Should you aim for 6:10, 8:00, 7:00, or none of the above?

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Assuming that your speech should be 6-8 minutes in length, it would be ideal to hold back nothing that falls inside that reach. For this situation, you ought to go for the gold of 6:00 to 8:00 minutes.

Out of the choices you gave, the nearest range is 7:00 minutes. In the event that you go for the gold of around 7:00 minutes while timing and rehearsing your speech, you would have a decent possibility remaining inside the ideal time period of 6-8 minutes.

A speech is a conventional location or show given by a person to a crowd of people. It is a method for passing on data, sharing thoughts, offering viewpoints, or convincing audience members on a specific theme or issue.

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Augustinian University (AU) is a non-profit private educational institution with an issued permit to operate from the Commission on Higher Education (CHED). It is maintained and administered by MCGJ Inc., a private domestic corporation registered under the Securities and Exchange Commission. AU uses a fiscal year accounting ending July 31st of each year. On July 31, 2021, it recorded total gross receipts amounting to P18,000,000.00, of which P8,000,000.00 came from education- related activities, while P9,500,000.00 (net of 5% creditable withholding tax) from other unrelated business activities (rent income from commercial spaces). Also, AU recorded cost of service and operating expenses from related activities amounting to P3,000,000.00 and P1,000,000.00 respectively, and from unrelated business activities amounting to P2,000,000.00 and P2,000,000.00, respectively. How much is the income tax payable? b. 1,500,000 O a 100,000 O c. 2,500,000 O d. 2,000,000

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Augustinian University (AU) is a non-profit private educational institution with an issued permit to operate from the Commission on Higher Education (CHED). The amount of income tax payable is P3,097,500.00. Option c, 2,500,000 is incorrect. Option a, 100,000 is incorrect. Option b, 1,500,000 is incorrect. Option d, 2,000,000 is incorrect.

Given: Gross receipts from education-related activities: P8,000,000.00 Gross receipts from other unrelated business activities: P9,500,000.00 Cost of service from related activities: P3,000,000.00Operating expenses from related activities: P1,000,000.00

Cost of service from unrelated business activities: P2,000,000.00 Operating expenses from unrelated business activities: P2,000,000.00

Fiscal year ends: July 31st of each year Creditable withholding tax rate: 5% Formula used: Income tax payable = (Gross receipts - Cost of services - Operating expenses) x Income tax rate Income tax rate is 30% and was determined through the following steps: 35% x (1- 1/1.2) = 30% (The current corporate income tax rate in the Philippines is 35%, but since AU is a non-profit private educational institution, it is only taxed 30% of its taxable income.)

Calculation :From education-related activities:

Taxable income = 8,000,000 - 3,000,000 - 1,000,000= P4,000,000.00Income tax payable = 4,000,000 x 30% = P1,200,000.00

From other unrelated business activities:

Taxable income = (9,500,000 - (9,500,000 x 5%)) - 2,000,000 - 2,000,000= P6,325,000.00 Income tax payable = 6,325,000 x 30% = P1,897,500.00

Total income tax payable = 1,200,000.00 + 1,897,500.00= P3,097,500.00

Therefore, the amount of income tax payable is P3,097,500.00. Option c, 2,500,000 is incorrect. Option a, 100,000 is incorrect. Option b, 1,500,000 is incorrect. Option d, 2,000,000 is incorrect.

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A father wants to gift his daughter a present for her marriage, he offers her three options: Option A: $55,000 today Option B: $8,000 every year for 10 years Option C. $90,000 in 10 years Assuming a discount rate of 7%, calculate the present value of each option (give an answer for each) and decide what option is best for the daughter For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac). BIUS Paragraph Arial 10pt A IX0

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The father offers his daughter three options for a marriage gift: Option A, a lump sum of $55,000 today; Option B, an annual payment of $8,000 for 10 years; and Option C, a lump sum of $90,000 in 10 years.

To determine the present value of each option, we need to discount the future cash flows to their current value using the discount rate of 7%.

For Option A, the present value is simply the offered amount of $55,000 since it is received immediately.

For Option B, we need to calculate the present value of the annual payments of $8,000 for 10 years. Using the formula for the present value of an ordinary annuity, the calculation yields a present value of approximately $58,574.

For Option C, we need to calculate the present value of the $90,000 to be received in 10 years. Using the formula for the present value of a single future amount, the calculation yields a present value of approximately $51,934.

Comparing the present values, Option B has the highest value of $58,574, followed by Option A with $55,000, and Option C with $51,934. Therefore, Option B, receiving $8,000 annually for 10 years, is the best choice for the daughter based on present value calculations and the given discount rate.

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Other Questions
The goal of marketing is to a. Achieve organizational profit objectives. b. Differentiate the product offering. c. Create and maintain profitable relationships with customers by delivering superior value. d. Create needs where they did not previously exist. e. Generate awareness for the organization within the market place. [1] Nothing smells more enticing than piping hot, crispy fries and a cheeseburger that comes straight off a flat top grill-they're satisfying fromthe first, mouth-watering bite. But that initial satisfaction is quickly replaced by an overextended stomach and feelings of lethargy-aptly named,a food coma. These feelings eventually go away, but the long-term effects of diets that regularly entail fast food are much harder to erase andoften result in ailments that can lead to shortened lifespans. An increased awareness of overall health and the long-term effects of nutritionaleating habits are causing fast-food chains to make an effort to serve healthy options to customers.[2] Having the fast-food industry on board with making decisions about healthy food options is half the battle; consumers must be willing tochange their orders. Health and wellness are lifestyle decisions, but oftentimes Americans leading fast-paced lives succumb to what is quickand easy rather than what is healthy and nutritious. In order to address the "on-the-go" lifestyle, many fast-food restaurants have pledged tooffer healthier options to customers, especially children.Which transition should be added to the first sentence of paragraph 2 to link the ideas in the paragraphs?OA. Furthermore,OB. Subsequently.C. Moreover,D. Above all, A 67-year-old woman with New York Heart Association class III congestive heart failure presents to clinic for a routine examination. Her chief complaint is worsening peripheral edema. Which of the following abnormalities would you most expect to find during a physical examination?A. Finger-nail clubbingB. Jugular venous distensionC. Pancreatic duct congestionD. Pulsus paradoxus Uli Corporation has 91,000 common shares that have been issued.It declares a 4% stock dividend on December 1 to shareholders ofrecord on December 20. The shares are issued on January 10. Theshare p Risk managers rely on statistics and trend analysis in making their risk decisions. Chapter 2 provides a refresher course in statistics and mathematical concepts. Risk managers must provide executive management is hard number reasons for the directions they must take. Consider an insurance company that wants to underwrite automobile insurance; the actuaries need historical data involving claims and motor vehicle violations to properly rate their product. If you were the risk manager charged with developing a new line of auto insurance, which market would you pursue and which ones would you not pursue? Provide examples with factual data (and cite your sources) in your answer. An investor who is hedging a corporate bond portfolio using a T-bond futures contract is said to have Multiple Choice a cross-hedge a spread hedge . an over hedge Quantitative easing refers to _____ purchase of _____ from _____ to stimulate _____A) Central banks, assets, private businesses, money supply. B) Banks, government bonds, central banks, money supply. C) Banks, assets, non-banks, economic growth. D) Central banks, bad loans, banks, bank lending. 763 Two fair two o tosses ix-sided a. What is the pmf of X? b. Find E(X). dice are tossed independently. Let X denotes the maximum of the [3+2] Lonny owns a restaurant and she has employees from multiple cultural groups. She believes the best way to bridge communication difference is to be as clear and "straight to the point" as possible when training her employees and correcting their mistakes, without concern for whether they will feel embarrassed when they are corrected. She has decided to use which communication style? Sinazo inherits R65 000 from her mother. She invests the money in a savings account. The interest rate is 12,5% p.a. compounded monthly for 18 months, and it is then increased to 14,2% p.a. compounded quarterly. At the end of 2 years he deposits R15 000. Calculate how much money she has in his savings account at the end of 5 years. A. R151 853,11 B. R104 853,11 C. R150 448,66D. R143 841,82 You are a manager of a food retailer ; you need to expand your business. (WRITE ABOUT 5 PAGES PLS)a- Provide a description of the different levels of management at this company. You need to identify what are the responsibilities for each type of management in the company.b- Describe the internal and external stakeholders for this company. You need to clearly explain the type of each stakeholder and how you can work with them to lead a successful expansion. Elijah Gold and His Restaurant Elijah Gold knew exactly what to expect. He knew how his employees felt about him. That's why he had sent them the questionnaire in the first place. He needed a shot of confidence, a feeling that his employees were behind him as he struggled to build Golden Restaurants Inc. beyond two restaurants and $4 million in annual sales. Gathering up the anonymous questionnaires, Elijah returned to his tiny corporate office in Ann Arbor, Michigan. With one of his partners by his side, he ripped open the first envelope as eagerly as a Broadway producer checking the reviews on opening night. His eyes zoomed directly to the question where employees were asked to rate the three owners' performance on a scale of 1 to 10 A zero. The employee had scrawled in a big, fat zero. "Find out whose handwriting this is," he told his partner, Tyrone Laibson. He ripped open another: zero again. And another. A two. A patient is seen in the office complaining of severe flank pain and hematuria. The clinician should assess this patient for which risk factor for poststreptococcal glomerulonephritis?A. HypertensionB. ConstipationC. Tubal ligationD. Diabetes Here are summary statistics for randomly selected weights of newborn girls: n=170,7 = 33.5 hg, s=6.5 hg. Construct a confidence interval estimate of the mean. Use a 95% confidence level. Are these results very different-from the confidence interval 324 hg What is the best way to revise for a test and to remember large amounts of information. Bill has bought a new computer and wants to sell his old one. He sends Mindy the following signed offer: "I, Bill, will sell Mindy my Apple computer for $400." Mindy responds with an acceptance memo that agrees to buy the computer for $400, but which also includes the following term: "Bill agrees to accept $100 down on the computer, with the balance to be paid in 5 days." Which of the following are true: Group of answer choicesA. The common law would be applicable to this contract.B. The additional term invalidates the acceptance.C. The contract is void under the mailbox rule.D. Bill could have revoked his offer at any time before it was accepted. Cavendish University Uganda - Examinations, 20 2 2 Page 2 of 3 A Cheese Producer Pursues A New Market Through E - Commerce: The Case of Mohamed Bakkar Mohamed Bakkar, an entrepreneur running a business called Besma ("joyful" in Arabic), fled to Turkey in 2016. Bakkar had been an electrical engineer in Syria, but he was unable to find a job in his field upon arrival in Turkey due to the Arabic - Turkish language barrier. He decided to pursue a cheese business instead, making the cheese the same way his mother did when he was a child. He produced the cheese in bulk and prepared it for distribution to local Syrian - owned dairy stores. After about five years, Bakkar had built a customer base of 10 Syrian - owned stores in Istanbul, but the Syrian - style cheese market had become increasingly crowded. He needed a strategic plan for growth, and was considering selling directly to individual customers and creating an e - commerce website to expand his reach to include Turks. Q. 1. a) Given Bakkar s choices and approach to entrepreneurship what personal traits make him fit for an entrepreneurial career ? (10 marks) b) Different people are driven into entrepreneurial ventures for different reasons, and what are these reasons for Bakkar and many others l ike him? (15 marks) Total 25 Marks Q. 2. "Bakkar needed a strategic plan for growth, and was considering selling directly to individual customers and creating an e - commerce website to expand his reach to include Turks ." a) Many people who are not innovative and enterprising tend to give an excuse of lack of capital resource, given the evidence from the case study, should it be capital that should be the driving force behind new enterprises or unique ideas? Discuss this statement giving clear argume nts for your answer. (10 marks) b ) Using your knowledge of the bus i ness Canvas model, design for Bakkar an appropriate strategic plan for the growth of his cheese business (15 marks) Total 25 Marks Q. 3. a) Given that Bakkar is just new in the market, what would you describe as his best distribution channel? And what marketing options does he have to advertise and popularize his product while leveraging on the advantages of technology given that he is still operating on small scale? (10 marks) b) Design a strategy for Bakkar on how he can employ e - commerce to improve the performance of his business (15 marks) Total 25 Marks If A = 3ai +4j-k and B=4i+j-3k, find the value of a if A normal to B 5. A project has the activities and activity times (days) listed below. Construct a network diagram for the project. Determine the probability that the project will be completed in 40 days or less. Expected time Standard deviation Activity 1-2 15 2 2-4 17 1 1-3 14 1.5 3-4 16 0.5 Which of the following statements is correct I. The article of partnership is used to form a partnership. II. One of the advantages of a partnership is profit sharing. O I only Oll only O Both I and II O Neither I nor II QUESTION 24 Which of the following statements is correct 1. Annuity due payments are made at the beginning of each year. II. Perpetuity investments offer infinite payments. OI only O II only O Both I and II O Neither I and II