On January 1, 2021, Bard Ltd. has a Class B UCC balance of 532.400. The Class 8 property are used in the company's business. The only transaction involving Class 8 property during 2021 was a disposition on July 12 of a group of Class 8 property that had a combined capital cost $62.300. The combined proceeds of disposition was $41,800. None of the properties were sold for an amount in excess if their capital cost. The Company's taxation year ends on December 31. What are the income tax consequences of the disposition of the Class 8 properties for the 2021 taxation year? In addition, determine the Class 8 UCC balance as of January 1, 2022. For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac).

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Answer 1

Bard Ltd's disposition of the Class 8 properties will have income tax consequences for the 2021 taxation year. As a result, Bard Ltd. will have a Class 8 UCC balance of $526,450 at the end of the 2021 taxation year.

When a Canadian corporation disposes of property used in the course of its business, it is required to report the income tax consequences of the disposition on its corporate income tax return. A capital gain or loss is calculated by subtracting the property's disposition proceeds from its adjusted cost base (ACB). In this case, the combined proceeds of disposition were $41,800, and the combined capital cost was $62,300. As a result, the total loss on disposition was $20,500 ($62,300 - $41,800).

However, for tax purposes, a corporation is only allowed to deduct one-half of the capital loss incurred on a disposition of depreciable property. As a result, Bard Ltd. will be able to deduct a capital loss of $10,250 ($20,500/2) from its income for the 2021 taxation year. The company will need to include the remaining half of the loss in its capital cost allowance (CCA) balance.

Bard Ltd. will have a Class 8 UCC balance of $526,450 ($532,400 + $62,300 - $41,800 - $10,250) at the end of the 2021 taxation year.

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Related Questions

You are charged with ensuring that the company's financial statements are published correctly in accordance with US GAAP and on a timely basis, no later than March 30, 2022. Although the closing of the books occurred on December 31, 2021, preparation work and compliance with standards continue to the date of publication.

1. On November 1, 2021, LTY purchased 2,000 units of inventory on credit at $500 each. The terms of the invoice were 2/10, n/90. On November 9, 2021, he paid 20% of the debt. On January 20, 2022, LTY agreed with the supplier to pay half of the balance due in cash and the other half with common shares of the company. The shares have a par value of $1.

2. On November 30, 2021, you received $32,000 from Banco del Pueblo in exchange for signing a 3-month promissory note for $35,000 with no stipulated interest.

3. On February 15, 2021, LTY received notice that a former employee is suing the company for wrongful termination. The dismissal occurred on December 21, 2020. The company's legal advisors inform him that the former employee is likely to win the case, so they recommend reaching an agreement as soon as possible to avoid too much negative press. The amount to be paid is estimated between $700,000 and one million.

4. On January 1, 2020, LTY issued a three-year note payable with a stated annual interest rate of 8% and a principal (maturity value) of $30,000 in exchange for a piece of equipment. At the time of the transaction, the market value of the equipment or the document could not be determined. However, the equipment had a seller's book value of $12,000. The company charged an interest rate of 12% to the loan.

5. On December 1, 2020, LTY issued bonds with a principal (maturity value) of $100,000 and a stated interest of 10% at par value plus accrued interest. The bonds were originally dated November 1, 2020 and are due November 1, 2025 with interest payable on November 1 and May 1.

6. On December 31, 2020, the LTY corporation issued $100,000 in bonds at 12%, for 5 years. The bonds pay interest every six months on July 1 and January 1. The present value of the bonds at the time of issuance was $86,580. In addition, the company incurred $5,000 in bond issuance costs. The effective market rate was 16%.

7. On January 5, 2021, LTY learned that one of its competitors is selling a product that LTY has exclusive rights to sell. LTY filed a lawsuit against the competitor, and, in all likelihood, its attorneys felt that it could recover at least $1,500,000.

Prepare the journal entry for the transactions or adjustments listed below. If a journal entry is not required, write NOT APPLICABLE. Upon completion of this project, any additional assumptions that have been made should be included in the explanation of the journal entry.

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Given that the company's financial statements should be published correctly in accordance with US GAAP and on a timely basis, no later than March 30, 2022. Although the closing of the books occurred on December 31, 2021, preparation work and compliance with standards continue to the date of publication.

The journal entries for the transactions mentioned above are as follows:

1. November 1, 2021, purchase of inventory on credit on terms 2/10, n/90 Units: 2000 Amount: $1,000,000 Accounts Payable: $1,000,000 November 9, 2021, payment of 20% of the debt Accounts Payable: $200,000 Cash: $200,000 January 20, 2022, payment of half of the remaining balance in cash and half with common shares of the company.

Accounts Payable: $400,000 Common Stock: $500,000 Paid-in Capital in Excess of Par Value, Common Stock: $100,000 Cash: $400,0002. November 30, 2021, received $32,000 from Banco del Pueblo and signed a 3-month promissory note for $35,000 with no stipulated interest.Cash: $32,000 Notes Payable: $35,0003.

February 15, 2021, payment of a wrongful termination lawsuit liability Estimated Lawsuit Liability: $700,000 - $1,000,000 Loss from Lawsuit Settlement: $700,000 - $1,000,0004.

January 1, 2020, issuance of a three-year note payable with a stated annual interest rate of 8% and a principal (maturity value) of $30,000 in exchange for a piece of equipment.

Notes Payable: $30,000 Equipment: $12,000Interest Expense: $2,4005. December 1, 2020, issuance of bonds with a principal (maturity value) of $100,000 and a stated interest of 10% at par value plus accrued interestBonds Payable: $100,000Cash: $100,000Accrued Interest Payable: Not applicable6. December 31, 2020, issuance of $100,000 in bonds at 12%, for 5 years.

Bonds Payable: $100,000 Bond Issuance Costs: $5,000 Cash: $91,580 Discount on Bonds Payable: $13,420 Interest Expense: $3,342 ($100,000 x 16% x 6/12)7.

January 5, 2021, lawsuit against a competitor Estimated Lawsuit Recovery: $1,500,000 Lawsuit Receivable: $1,500,000 Lawsuit Expense: $1,500,000 (Assuming that LTY's attorney fees are not material)

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Assignment 6 Assignment 6 Packaging and Labeling Take a picture of a product with the best innovative packaging. What is unique in this package? What do you think about the role of this package for the marketing and sales of the product? What types of value this package add to the product? (read the Packaging and Labeling part in your book to remember functions of packaging and write the functions of packaging in a few sentences). Also discuss the information provided on the label of this package. You will upload a word document.

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This is the first 100% plastic-free spirits bottle. Sustainably-sourced and recyclable paper. The bottle is sturdier than regular glass, reducing the chance of breakage during shipping.

What is the role of packaging?

Package plays key role in product marketing and sales. The bottle is attention-grabbing on shelves. It's eco-friendly, enticing consumers who prioritize sustainability.

Paper bottle adds value to the product. Sustainable glass alternative preferred by many consumers. More durable, reduces shipping breakage.

The paper bottle is lighter, saving on shipping costs. The label displays key details such as ingredients, alcohol content, and nutrition. Includes QR code for product and company info.

Functions of packaging: Protects product during shipping and handling. Keep product fresh and safe to eat. Simplify product accessibility. Promote product benefits to consumers. Promote product brand identity. Improve product appeal.

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Fahmi joined Takaful Ukhuwah by paying RM400 per month. Takaful Ukhuwah, with a contract of mudharabah investment, has two accounts which are Participant Special Account (PSA) and Participant Account (PA). The takaful offers the following PSA rates:

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In Takaful Ukhuwah, Fahmi joined by paying RM 400 per month. Takaful Ukhuwah, with a contract of mudharabah investment, has two accounts which are Participant Special Account (PSA) and Participant Account (PA). The takaful offers the following PSA rates:

The PSA rates offered by the Takaful Ukhuwah are 5%, 7%, and 9%. Therefore, the amount of money that would be accumulated in his PSA account after 5 years will depend on the percentage that is taken. In this case, it is recommended that the interest rate for the PSA account be used at 7% per annum as per the table above. Now, we have to find the amount of money Fahmi will receive in the PSA account after 5 years for the given monthly payment.

Therefore, we have; Amount in PSA account after 5 years = Principal amount × [1 + (Rate of interest / Compounding frequency)] ^ (Compounding frequency × Time)

Given that, the Principal amount = RM 400 per month rate of interest = 7% per annum compounding frequency = 12 per annum Time = 5 years then the amount of money that would be accumulated in Fahmi's PSA account after 5 years will be calculated as follows;

Principal amount = RM 400 × 12 × 5 = RM 24,000Rate of interest = 7% per annumCompounding frequency = 12 per annumTime = 5 yearsAmount in PSA account after 5 years = RM 24,000 × [1 + (7% / 12)] ^ (12 × 5)≈ RM 32,256.74. Therefore, Fahmi will receive approximately RM 32,256.74 in the PSA account after 5 years.

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Time Warner shares have a market capitalization of $65 billion. The company just paid a dividend of 80 25 per share and each share trades for $45 The growth rate in dividends is expected to be 6% per year . Also, Time Warner has $20 billion of debt that trades with a yield to maturity of 7% If the firm's tax rate is 25%, compute the WACC O A 6.9% . B. 6.27% C. 5 96% OD, 721%

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The correct option is (B) 6.27%.WACC stands for Weighted Average Cost of Capital. It is used in finance as a way to measure a company's cost of capital. To calculate the WACC, several factors need to be considered, including the cost of debt and equity. In this case, we have to calculate the WACC of Time Warner by following these steps:

Calculation of cost of equity:

The formula for the cost of equity is as follows:

Cost of equity = (Dividend/Current Market Price of stock) + growth rate of dividends

In this case, Dividend per share = $80.25

Current market price per share = $45

Growth rate of dividends = 6%Therefore, Cost of equity = (80.25/45) + 6% = 8.7% Calculation of cost of debt:Time Warner has $20 billion of debt that trades with a yield to maturity of 7%.

Since the tax rate of the company is 25%, the after-tax cost of debt will be: After-tax cost of debt = Pre-tax cost of debt x (1 - tax rate) After-tax cost of debt = 7% x (1 - 0.25) = 5.25%

Calculation of WACC:WACC = (Weight of equity x Cost of equity) + (Weight of debt x Cost of debt)Weight of equity = (Market capitalization - Value of debt) / (Market capitalization)Weight of equity = (65 - 20) / 65Weight of equity = 0.6923Weight of debt = (Value of debt) / (Market capitalization)Weight of debt = 20 / 65Weight of debt = 0.3077Putting the values into the WACC formula: WACC = (0.6923 x 8.7%) + (0.3077 x 5.25%)WACC = 6.27%Therefore, the WACC of Time Warner is 6.27%.Hence, the correct option is (B) 6.27%.

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Consider a project with free cash flows in one year of $130,000 or $180,000, with each outcome being equally likely. The initial investment required for the project is $100,000, and the project's cost of capital is 20%. The risk-free interest rate is 10%. a. What is the NPV of this project? b. Suppose that to raise the funds for the initial investment, the project is sold to investors as an all-equity firm. The equity holders will receive the cash flows of the project in one year. How much money can be raised in this way that is, what is the initial market value of the unlevered equity? c. Suppose the initial $100,000 is instead raised by borrowing at the risk-free interest rate. What are the cash flows of the levered equity, what is its initial value and what is the initial equity according to MM?

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The NPV of the project is $243,333.33, the initial market value of the unlevered equity is $243,333.33 and the initial equity value is $241,666.67.

a. To calculate the NPV of the project, we need to discount the expected cash flows at the project's cost of capital. The expected cash flows are $130,000 and $180,000, each with a probability of 0.5. The formula for calculating NPV is:

NPV = [tex](Cash Flow / (1 + Cost of Capital))^t[/tex]

where t is the time period.

NPV = [tex](0.5 * $130,000 / (1 + 0.20))^1 + (0.5 * $180,000 / (1 + 0.20))^1[/tex]

= $108,333.33 + $135,000

= $243,333.33

Therefore, the NPV of the project is $243,333.33.

b. If the project is sold to investors as an all-equity firm, the initial market value of the unlevered equity will be equal to the NPV of the project. In this case, the initial market value of the unlevered equity is $243,333.33.

c. If the initial $100,000 is raised by borrowing at the risk-free interest rate of 10%, the cash flows of the levered equity will be the expected cash flows of $130,000 and $180,000 minus the interest expense on the borrowed funds. The interest expense can be calculated as the borrowed amount multiplied by the risk-free interest rate:

Interest Expense = $100,000 * 0.10 = $10,000

The cash flows of the levered equity will be $130,000 - $10,000 = $120,000 and $180,000 - $10,000 = $170,000.

To calculate the initial value of the levered equity, we discount the expected cash flows of the levered equity at the cost of equity. Let's assume the cost of equity is also 20% for simplicity. The initial value of the levered equity can be calculated as:

Initial Value of Levered Equity = $120,000 / (1 + 0.20) + $170,000 / (1 + 0.20)

= $100,000 + $141,666.67

= $241,666.67

According to Modigliani-Miller (MM) theory, in a world with no taxes and no financial distress costs, the initial equity value is the same whether the project is financed with all-equity or with debt. In this case, the initial equity value is $241,666.67.

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You've recently learned of a mutual fund offering a mean return of 16% and a standard deviation of 9%. In any given year, there is about a 95% chance that this fund's annual return falls within -16% and 43%. -2% and 34%. 2% and 25%. There is not enough information to answer this question.

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The fund could potentially generate a return of 2% or 25%.

A mutual fund's expected mean return and standard deviation are commonly used to estimate how much the fund's return might fluctuate from year to year. The standard deviation is a measurement of how much the returns deviate from the mean value.

We can estimate the potential range of returns for a mutual fund using the mean return and standard deviation.Using Chebyshev's Theorem, we can estimate the range of potential returns with a given level of certainty.

According to Chebyshev's Theorem, the proportion of data that falls within k standard deviations of the mean is at least 1 - (1/k²), where k is any number greater than 1.So, in this problem, we are given the mutual fund's mean return of 16% and standard deviation of 9%.

We can use Chebyshev's Theorem to estimate the range of returns with a 95% level of certainty. If k = 2, then at least 1 - (1/2²) = 0.75 or 75% of the data will fall within 2 standard deviations of the mean.

Therefore, we can estimate that the range of returns for this mutual fund with 95% certainty is the mean return plus or minus 2 standard deviations, or 16% +/- 18%.

This gives us a range of -2% to 34%.Therefore, the annual return range of the mutual fund is -16% to 43%, as there is a 95% chance that the annual return falls within that range.

Therefore, the fund could potentially generate a return of 2% or 25%.

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Please solve Asap
Please solve as soon as possible
Check my we Required. 1. What is the company's projected benefit obligation at the beginning of 2021 (after 14 years' service) with respect to Davenport? (Do not round intermediate calculations. Round

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The projected benefit obligation at the beginning of 2021 with respect to Davenport is not provided in the given information.

What is Davenport's projected benefit obligation in 2021?

Unfortunately, the information necessary to calculate the projected benefit obligation for Davenport at the beginning of 2021 is not provided. The projected benefit obligation (PBO) represents the present value of the expected future pension benefits that a company is obligated to provide to its employees based on their service and expected compensation levels.

To determine the PBO for an individual like Davenport, various factors need to be considered, including years of service, salary levels, expected future salary increases, retirement age, mortality rates, and discount rates. These factors influence the calculation of the expected pension benefits and their present value.

Without the specific details of Davenport's service history, salary information, and other relevant factors, it is not possible to calculate the projected benefit obligation for Davenport at the beginning of 2021. Additional information is needed to provide an accurate answer to this question.

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. according to the recovery continuum, assessing the scope of recovery needs after a disaster occurs in which phase of activities?

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According to the recovery continuum, assessing the scope of recovery needs after a disaster occurs is typically conducted in the post-disaster phase of activities.

In the aftermath of a disaster, the focus shifts from immediate response efforts to long-term recovery and rebuilding. This is where the recovery continuum comes into play, providing a framework for understanding and addressing the various stages of recovery. The continuum encompasses pre-disaster preparedness, immediate response, short-term recovery, mid-term recovery, and long-term recovery.

During the post-disaster phase, assessment becomes crucial in determining the extent of recovery needs. This involves conducting comprehensive evaluations of the damages, losses, and impacts caused by the disaster. Assessments are typically performed by various stakeholders, including government agencies, non-governmental organizations, and other relevant entities.

The assessment process involves gathering data on physical damages, infrastructure needs, social and economic impacts, as well as the needs of affected individuals and communities. These assessments help in identifying priorities, allocating resources, and developing recovery plans tailored to the specific circumstances and challenges faced.

By conducting thorough assessments during the post-disaster phase, decision-makers and stakeholders can gain a comprehensive understanding of the recovery needs and initiate appropriate actions to support the affected areas in their journey towards recovery and rebuilding.

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Taggart Inc.'s stock has a 50% chance of producing a 40% return, a 30% chance of producing an 11% return, and a 20% chance of producing a -27% return. What is the firm's expected rate of return? Do not round your intermediate calculations.

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To calculate the firm's expected rate of return, we need to multiply each possible return by its corresponding probability and sum them up.

Let's calculate the expected rate of return:

Expected Rate of Return = (Probability of Return 1 * Return 1) + (Probability of Return 2 * Return 2) + (Probability of Return 3 * Return 3)

Expected Rate of Return = (0.50 * 0.40) + (0.30 * 0.11) + (0.20 * -0.27)

Expected Rate of Return = 0.20 + 0.033 + (-0.054)

Expected Rate of Return = 0.179 or 17.9%

Therefore, Taggart Inc.'s expected rate of return is 17.9%.

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Projected Operating Assets Berman & Jaccor Corporation's current sales and partial balance sheet are shown below. $ Sales , Balance Sheet, Assets Cash, Short-term investments, Accounts receivable, Inventories, Total current assets, Net fixed assets, Total assets This year shown : $1,000 $150 $ 70 $100 $250 $570 $ 450 $1,020 Sales are expected to grow by 10% next year. Assuming no change in operations from this year to next year, what are the projected total operating assets? Do not round intermediate calculations. Round your answer to the nearest dollar.

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The projected total operating assets for next year, assuming no change in operations from this year, can be calculated by adding the current net fixed assets to the projected total current assets.

Based on the information provided, the current net fixed assets are $450, and the current total current assets are $570.

Next year's projected sales are expected to grow by 10%, so we can calculate the projected total current assets as follows:

Projected total current assets = Current total current assets + (Current sales * Growth rate)

Projected total current assets = $570 + ($1,000 * 0.10)

Projected total current assets = $570 + $100

Projected total current assets = $670

Therefore, the projected total operating assets for next year would be the sum of the projected total current assets and the current net fixed assets:

Projected total operating assets = Projected total current assets + Current net fixed assets

Projected total operating assets = $670 + $450

Projected total operating assets = $1,120

Rounded to the nearest dollar, the projected total operating assets for next year would be $1,120.

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What does a business "look for" in its customers? What is Market Basket Analysis? How can Market Basket analysis be used?

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A business looks for customers who have a need for its products or services and can provide long-term value.

Market Basket Analysis is a technique that analyzes the purchasing patterns of customers to identify associations between products. It helps businesses understand which items are frequently bought together, allowing them to optimize their product placement, cross-selling, and targeted marketing strategies. This analysis can also uncover trends, preferences, and customer segmentation, enabling businesses to enhance their product offerings and improve customer satisfaction and loyalty.

Businesses look for customers who are likely to purchase their products or services and contribute to long-term profitability. They seek individuals or groups with a genuine need for what they offer and who can provide sustainable value through repeat purchases or referrals.

Market Basket Analysis is a data mining technique used by businesses to examine customer purchasing patterns. It involves analyzing transactional data to identify associations or relationships between products that are frequently purchased together. The analysis looks for correlations, such as customers who buy bread also tend to buy butter or customers who purchase a laptop often buy a laptop bag as well.

By understanding these associations, businesses can make informed decisions about product placement, cross-selling, and targeted marketing strategies. For example, if a supermarket discovers a strong association between diapers and beer, they might strategically place these items close to each other to encourage additional purchases. Similarly, online retailers can use this information to recommend related products to customers during the checkout process.

Market Basket Analysis can also reveal valuable insights about customer preferences, trends, and segmentation. It allows businesses to identify customer segments based on their purchasing behavior and tailor marketing campaigns or product offerings accordingly. This analysis helps optimize inventory management, improve customer satisfaction, increase sales, and foster customer loyalty by delivering personalized experiences and targeted promotions.

Overall, Market Basket Analysis provides businesses with actionable insights to enhance their understanding of customer behavior, optimize their operations, and drive revenue growth.

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why understanding customer journey is integral to the
successful application of B2B marketing

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Answer: Understanding the customer journey in B2B marketing empowers marketers to deliver relevant, personalized experiences, build trust, and optimize marketing efforts for better outcomes.

Explanation: Understanding the customer journey is integral to the successful application of B2B marketing for several reasons. Firstly, the B2B customer journey is often complex and involves multiple decision-makers within the buying organization. By understanding the customer journey, B2B marketers can identify the different touchpoints, interactions, and information needs of these decision-makers throughout their buying process. This understanding enables marketers to tailor their marketing strategies and content to address the specific needs and pain points of each stage, effectively influencing the decision-making process.

Secondly, the customer journey provides insights into the customer's motivations, challenges, and preferences at each stage. This understanding allows B2B marketers to deliver personalized and targeted messaging, content, and experiences that resonate with customers and build trust. By aligning marketing efforts with the customer journey, marketers can nurture relationships, establish credibility, and guide customers towards making informed purchasing decisions.

Lastly, comprehending the customer journey enables B2B marketers to optimize marketing tactics and allocate resources effectively. By identifying the most impactful touchpoints and channels, marketers can focus their efforts on areas that generate the highest engagement and conversion rates. This data-driven approach helps in refining marketing strategies, enhancing ROI, and ultimately driving business growth.

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A company has more control over its ________ technology. lan wan it has about equal control over both.

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A company has more control over its LAN technology. The correct option is a.

Businesses of all sizes use LAN technologies in computer networks extensively for information sharing and receiving. The computers are interconnected via a network to exchange data. Local Area Networks (LANs) are the name given to this network. Having said that, the computer network, or LAN, often operates in a small geographic region, such as a building or a college campus. Different technologies power these LANs, which enable connections between various devices.

A LAN (Local region Network) is a computer network that links devices inside a specific geographic region, like a building containing offices or a residence.

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The question is incomplete but the complete question most probably was:

A company has more control over its ________ technology.

A) LAN

B) WAN

Assets Current assets Cash Accounts receivable Inventory Total 2020 Total assets SMOLIRA GOLF CORPORATION 2020 and 2021 Balance Sheets 2021 $36,085 $39,400 29,296 43,312 $112,008 18,651 4,120 $ 58,856

Answers

The answer to this question is:Cash and accounts receivable are examples of current assets. The assets listed in the table are all current assets except for "Total assets."

Current assets are items that a business may convert to cash within one year of the balance sheet date. Cash and cash equivalents, accounts receivable, inventory, and prepaid expenses are all examples of current assets.What is cash?Cash is the most liquid of all assets because it can be used to buy other assets. Cash equivalents such as bank accounts, marketable securities, commercial paper, and short-term government bonds can be used to purchase other assets as well.

Cash equivalents are defined as investments with a maturity of three months or less at the time of purchase. In general, cash and cash equivalents are highly liquid assets that can be converted into cash with minimal transaction costs.What are accounts receivable?Accounts receivable are amounts owed to a business by customers who have purchased goods or services but have yet to pay for them. Accounts receivable are included in current assets because they are expected to be collected within a year of the balance sheet date.

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Which of the following is a mobile-specific technology? Α) Local search B) Email marketing C) Social media advertising D) GPS location tracking

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Option D) GPS location tracking. GPS location tracking is a mobile-specific technology. It is a process used to identify the location of a mobile phone user and retrieve their location using GPS satellites.

It provides users with location data through GPS tracking, which allows users to locate their phones quickly in the event that they lose them and also to navigate directions to their desired location, among other things. It is an essential technology for mobile phones, and most mobile devices have it pre-installed.

Option A) Local search:

Local search is not a mobile-specific technology. It is a marketing strategy used by businesses to help them appear in local search results. The strategy uses search engines to help users find local businesses near them.

Option B) Email marketing:

Email marketing is not a mobile-specific technology. It is a marketing strategy that involves sending emails to customers or potential customers in an attempt to promote a brand, product, or service.

Option C) Social media advertising:

Social media advertising is not a mobile-specific technology. It is a digital marketing strategy that involves promoting products and services on social media platforms, among others. It is a highly effective marketing strategy for businesses that want to connect with their customers and promote their brand image.

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If an employee declines to be vaccinated for Hepatitis B, which of the following is true?
The employee can receive the vaccination anytime in the future for free
The employee has 10 days to become vaccinated or be fired.
The employee can be fined by OSHA
The employee will have to pay for the vaccination in the future.

Answers

If an employee declines to be vaccinated for Hepatitis B, they will have to sign a declination form and will have the right to receive the vaccination anytime in the future for free. Hence, the correct option is "The employee can receive the vaccination anytime in the future for free.

"What is Hepatitis B?Hepatitis B is a contagious liver infection that is caused by the Hepatitis B virus (HBV). It ranges from a mild illness lasting a few weeks (acute hepatitis B) to a serious long-term illness (chronic hepatitis B). Hepatitis B is an occupational hazard for healthcare professionals and other employees who have blood or other body fluid contact with infected individuals.

Hence, vaccination is required in many industries to ensure that employees are protected from the virus.What happens if an employee declines to be vaccinated for Hepatitis B?If an employee declines to be vaccinated for Hepatitis B, they will have to sign a declination form. The declination form should contain information regarding the benefits of the vaccination and the health risks of declining it. If the employee decides to change their mind later, they will have the right to receive the vaccination anytime in the future for free. However, it is important to note that the employer can require the employee to get the vaccination if there is a reasonable belief that the employee will have contact with blood or other body fluids during their job.

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Suppose the bid/ask quote for USD/GBP is 1.7688-96 and the
bid-ask quote for CHF/USD is 1.1255-68. The
bid/ask quotes for CHF/GBP will be:
a.1.9908; 1.9940
b.0.5015; 0.5023
c.0.5017; 0.5021
d.1.991

Answers

The bid/ask quotes for CHF/GBP will be approximately 1.9908-1.9940 (option a). To determine the bid/ask quotes for CHF/GBP, calculate the cross-rates using the bid/ask quotes for USD/GBP and CHF/USD.

Bid/Ask quote for USD/GBP: 1.7688-96

Bid/Ask quote for CHF/USD: 1.1255-68

To find the bid quote for CHF/GBP, we multiply the bid quote for CHF/USD by the ask quote for USD/GBP:

Bid quote for CHF/GBP = Bid quote for CHF/USD * Ask quote for USD/GBP

Bid quote for CHF/GBP = 1.1255 * 1.7688

Bid quote for CHF/GBP ≈ 1.9908

To find the ask quote for CHF/GBP, we multiply the ask quote for CHF/USD by the bid quote for USD/GBP:

Ask quote for CHF/GBP = Ask quote for CHF/USD * Bid quote for USD/GBP

Ask quote for CHF/GBP = 1.1268 * 1.7696

Ask quote for CHF/GBP ≈ 1.9940

Therefore, the bid/ask quotes for CHF/GBP will be approximately 1.9908-1.9940 (option a).

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Solve various time value of money scenarios. (Click the icon to view the scenarios) (Click the icon to view the present value of $1 table.) (Click the icon to view the future value of $1 table) 3 3 (Click the icon to view the present value of annuity of S1 table.) (Click the icon to view the future value of annuity of $1 table) Scenario 1. Daniel just hit the jackpot in Las Vegas and won $70,000! If he invests it now at a 12% interest rate, how much will it be worth in 20 years? (Round your answer to the nearest whole dollar) Future value - Scenario

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Future value of $70,000= $674,248Round off the final answer to the nearest whole dollar as $674,248 is the future value of $70,000 in 20 years at 12% interest.

Future value of money refers to the value of an investment or a lump sum of cash in the future. Time value of money is a fundamental economic concept. It implies that a dollar today is worth more than a dollar tomorrow. It is based on the idea that money earns interest over time.

The value of money changes over time due to inflation, interest rates, and the availability of cash. It is the backbone of finance, and it's essential to understand this concept. The future value of money is the amount of money that an investment will be worth in the future. It is the future value of a cash flow, which is determined by compounding interest over time.

Scenario 1: Daniel just hit the jackpot in Las Vegas and won $70,000! If he invests it now at a 12% interest rate,Using the future value of $1 table at 12% interest for 20 years, the factor is 9.6464.

Therefore, the future value of $70,000 in 20 years is calculated as follows:Future value of $70,000= $70,000 × 9.6464Future value of $70,000= $674,248Round off the final answer to the nearest whole dollar as $674,248 is the future value of $70,000 in 20 years at 12% interest.

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A company usually holds 270 pounds of wax in its warehouse. The company uses 56 pounds of wax per day and it takes 6 days 1 wax purchased from the supplier to arrive. The holding cost for wax is $0.49 per pound per day. Round your answer to two decimal places. What is the company's average holding cost (per pound for wax)?

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The company's average holding cost for wax is $0.29 per pound. we divide the average holding cost per day by the daily wax usage.

To calculate the average holding cost per pound, we first find the average wax inventory level: (270 pounds + 56 pounds) / 2 = 163 pounds.

Next, we calculate the average holding cost per day: 163 pounds * $0.49/day/pound = $79.87/day.

Finally, we divide the average holding cost per day by the daily wax usage: $79.87/day / 56 pounds/day ≈ $1.43/pound.

Rounding to two decimal places, the company's average holding cost per pound for wax is $0.29.

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Sam and Dave are auditing XYZ Corp. In a post-audit analysis of
audit data, they realize that the cash account is low, as compared
to the relative level of sales for the year. In response, they run
a

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Sam and Dave are auditing XYZ Corp. In a post-audit analysis of audit data, they realize that the cash account is low, as compared to the relative level of sales for the year. In response, they run a cash receipts test to determine whether the cash received by XYZ Corp has been accurately recorded.

A cash receipts test is an audit process used to determine whether the cash received by a company has been accurately recorded. It is done by examining bank deposits, deposit slips, and other cash receipts documentation to ensure that all cash received by the company has been properly recorded.

The process involves reviewing bank deposits, deposit slips, and other cash receipts documentation to ensure that all cash received by the company has been properly recorded. It can help Sam and Dave determine the reason why the cash account is low and whether there are any errors in the recording of cash received by XYZ Corp.

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Sarah is responsible for new car sales at an Audi car dealership. She must report her sales forecast to the board of directors monthly, relating to how many cars she expects Audi will sell in the next 6 months.
Historically, her predictions are 20-30% higher than the actual number of sales which are made, harming her reputation and her potential career progression.
Your job is to design a forecasting process for her. At your disposal are:
• The historical sales figures for the last 3 years
• The performance metrics of the sales team
• Record of the sales and marketing activity
• Market penetration figures
• And all other facts you would expect to have access to
Please present your forecasting model in a logical way and include any self-learning elements into the forecast.

Answers

Sarah's forecasting model could make use of the 7-step processes listed below.

Data CollectionAnalysisForecast model developmentcalibration and ValidationSelf-learning elementscontinuous monitoring and evaluation collaboration and feedback.

To design a forecasting process for Sarah's car sales at the Audi dealership, we will incorporate a systematic approach that leverages historical sales data, performance metrics, sales and marketing activity records, market penetration figures, and other relevant facts. Our goal is to create a more accurate forecast while incorporating self-learning elements. Here is a proposed forecasting model.

Hence, the logical forecast model would use the following processes listed above.

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For a positive interest rate, positive periods and positive cash flow:
a) Future Value will always exceed present value for a given lump sum
b) Future and present values will be the same for a given lump sum
c) Present value will always exceed future value for a given lump sum
d) It depends on the number of periods

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The correct answer is a) Future Value will always exceed present value for a given lump sum.

This statement is incorrect. When considering a positive interest rate, positive periods, and positive cash flow, the future value will not always exceed the present value for a given lump sum. The future value represents the value of an investment or cash flow at a specific future point in time, while the present value represents the value of that same investment or cash flow at the present moment.

The relationship between future value and present value depends on the interest rate, the number of periods, and the size and timing of the cash flows. In general, as the interest rate increases or the number of periods increases, the future value will tend to be higher than the present value. However, if the interest rate is relatively low or the number of periods is relatively short, the future value may be lower than the present value.

Therefore, the correct answer is not provided in the options given.

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a company uses its company-wide cost of capital to evaluate new capital investments. what is the implication of this policy when the company has multiple operating divisions, each having unique risk attributes and capital costs?

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A company uses its company-wide cost of capital to evaluate new capital investments, the implication of this policy when the company has multiple operating divisions, each having unique risk attributes and capital costs may lead to incorrect decisions

A company-wide cost of capital may either overestimate or underestimate a division's cost of capital.  In such situations, a company should estimate the division's cost of capital separately to make accurate investment decisions. This approach requires an understanding of the risk-return profile of each division to determine the required return on investment. The division's risk profile must be assessed using a risk analysis, and its cost of capital must be calculated using the division's particular risk-adjusted WACC (Weighted Average Cost of Capital).

The division's cost of capital must be used to analyze and evaluate the projects. If the company is unwilling or unable to calculate the division's cost of capital, an alternative approach is to adjust the cost of capital for each division. However, the adjustment must be based on the estimated level of risk of the division and the overall risk of the company. Finally, the company should use an appropriate cost of capital for each investment opportunity rather than a company-wide cost of capital. So therefore when a company has multiple operating divisions with varying risk attributes and capital costs, using a company-wide cost of capital to assess new capital investments may lead to incorrect decisions.

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If the market is efficient with respect to one information set i.e. either weak, semistrong or strong form, does this necessarily imply that the market is inefficient with respect to the other two information sets? Explain

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No, if the market is efficient with respect to one information set, it does not necessarily imply that the market is inefficient with respect to the other two information sets.

The three forms of the efficient market hypothesis are:

   Weak-form efficiency states that current prices reflect all past prices. This means that technical analysis, which uses historical price data to predict future prices, is not a profitable strategy.

   Semi strong-form efficiency states that current prices reflect all publicly available information. This means that fundamental analysis, which uses financial statements and other publicly available information to predict future prices, is not a profitable strategy.    Strong-form efficiency states that current prices reflect all information, both public and private. This means that even insider information cannot be used to consistently earn excess returns.

It is possible for a market to be efficient with respect to one information set and inefficient with respect to another. For example, a market might be weak-form efficient, meaning that technical analysis is not a profitable strategy. However, the market might still be semi strong-form inefficient, meaning that fundamental analysis can be used to earn excess returns.There are a number of reasons why a market might be efficient with respect to one information set and inefficient with respect to another. One reason is that it can be difficult to obtain all of the information that is relevant to a security's price. Another reason is that investors may not be able to process all of the information that is available to them. Finally, even if investors have access to all of the information and can process it, they may not be able to act on it quickly enough to profit from it.

The efficient market hypothesis is a useful tool for understanding how markets work. However, it is important to remember that the hypothesis is not a perfect description of reality. There are a number of factors that can make markets inefficient, and it is possible for investors to earn excess returns by exploiting these inefficiencies.

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Are some of the FinTechs designed and managed any differently, to avoid similar unethical management practices and poor leadership in the Australian banking sector as the ‘Big 4’ Australian banks which had to go through the Royal Commission?

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Some FinTech companies in Australia are designed and managed differently from the "Big 4" banks in order to avoid unethical management practices and poor leadership. These FinTechs often prioritize transparency, customer-centricity, and innovative technologies to provide better financial services while maintaining a strong ethical framework.

The Royal Commission in Australia exposed numerous instances of unethical behaviour, misconduct, and poor leadership within the "Big 4" banks, leading to significant public outrage and loss of trust. In response, many FinTech companies have emerged with a different approach to banking and financial services. These FinTechs often embrace a culture of transparency, putting a strong emphasis on clear communication with customers regarding fees, terms, and conditions. By prioritizing transparency, they aim to avoid hidden charges, misleading practices, and unjustifiable fees, which were prevalent in traditional banking institutions.

Additionally, FinTechs tend to adopt a customer-centric approach, focusing on enhancing the overall user experience and delivering tailored financial solutions. By leveraging technology and innovative platforms, they aim to provide their customers with convenient, efficient, and personalized services. This customer-centric focus often leads to improved accountability and a stronger commitment to ethical practices. FinTechs also benefit from having a more agile organizational structure compared to traditional banks, allowing them to adapt quickly to changing market dynamics and customer needs.

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The alphabetical listing below includes all of the adjusted account balances of Battle Creek, Inc. as of December 31, 2018. All account balances are normal. Accounts Payable Accounts Receivable Accumulated Depreciation Common Stock Cash Depreciation Expense Dividends Equipment Income Tax Expense Income Taxes Payable Rent Expense Retained Earnings Salaries and Wages Expense Service Revenue Deferred Revenue $ 4,300 8,500 4,500 2,700 3,400 1,800 1,100 9,500 1,500 1,500 1,700 4,900 11,600 18,400 2,800 Required: a. Prepare the closing entries. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) b. Prepare the post-closing trial balance as of December 31, 2018. (Enter all account balances, including any that may carry a zero- balance.) c. Prepare the classified balance sheet at December 31, 2018. (Amounts to be deducted should be indicated by a minus sign.)

Answers

Answer:

a.) 31-Dec Retained Earnings $10,600 Income Summary $10,600

b.) Totals $37,900

c.) Total Liabilities and Equity $19,700

Explanation:

The closing entries for Battle Creek, Inc.:

a.) Date General Journal Debit Credit

31-Dec Service Revenue $18,400 Income Summary $18,400 (To close service revenue account)

31-Dec Income Summary $10,600 Depreciation Expense $1,800 Dividends $1,100 Rent Expense $1,700 Salaries and Wages Expense $4,900 Income Tax Expense $1,500 (To close income summary account)

31-Dec Retained Earnings $10,600 Income Summary $10,600 (To close retained earnings account)

b.) The post-closing trial balance for Battle Creek, Inc. as of December 31, 2018:

Account Name Debit Credit

Cash $3,400

Accounts Receivable $8,500

Accumulated Depreciation $4,500

Common Stock $2,700

Deferred Revenue $2,800

Equipment $9,500

Income Taxes Payable $1,500

Rent Expense $1,700

Retained Earnings $4,900

Salaries and Wages Expense $4,900

Totals $37,900

c.) The classified balance sheet for Battle Creek, Inc. as of December 31, 2018:

Assets

Current Assets:

* Cash $3,400

* Accounts Receivable $8,500

* Deferred Revenue $2,800

Total Current Assets $14,700

Property, Plant, and Equipment:

* Equipment $9,500

Less: Accumulated Depreciation $4,500

Net Property, Plant, and Equipment $5,000

Total Assets $19,700

Liabilities and Equity

Current Liabilities:

* Accounts Payable $4,300

* Income Taxes Payable $1,500

Total Current Liabilities $5,800

Long-term Liabilities:

* None

Equity:

* Common Stock $2,700

* Retained Earnings $4,900

Total Equity $7,600

Total Liabilities and Equity $19,700

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Ithmaar Holding B.S.C. (Bahrain Bourse, #ITHMRS) is considering two independent projects that have the following cash flows. Year Project A $-22.000 17,000 6,000 4 Calculate the Net Present Value (NPV) methods and explain which project is better. (1.5 marks) Calculate the Internal Rate of Return (IRR) of the two projects and explain which project is better. (1.5 marks) alculate the Profitability Index (Pl) of the two projects and explain which project is better. (1.5 mark) You are allowed to use Financial Calculator he toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac) 1 2 3 Discount rate 7,000 9% Project B 1-65,000 15,000 25,000 35,000 10%

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Based on the calculations, Project A has a negative NPV of approximately -$1,238.09, while Project B has a negative NPV of approximately -$3,024.57.

Net Present Value (NPV) Calculation: To calculate the Net Present Value (NPV) of the two projects, we need to discount each cash flow at the given discount rates and then sum them up.

For Project A:

Year 1: -$22,000 / [tex](1 + 0.09)^1[/tex] = -$22,000 / 1.09 ≈ -$20,183.49

Year 2: $17,000 /  [tex](1 + 0.09)^2[/tex] = $17,000 / 1.1881 ≈ $14,314.81

Year 3: $6,000 / [tex](1 + 0.09)^3[/tex] = $6,000 / 1.29503 ≈ $4,630.59

NPV of Project A = -$20,183.49 + $14,314.81 + $4,630.59 ≈ -$1,238.09

For Project B:

Year 1: -$65,000 / [tex](1 + 0.1)^1[/tex] = -$65,000 / 1.1 ≈ -$59,090.91

Year 2: $15,000 / [tex](1 + 0.1)^2[/tex] = $15,000 / 1.21 ≈ $12,396.69

Year 3: $25,000 / [tex](1 + 0.1)^3[/tex] = $25,000 / 1.331 ≈ $18,762.89

Year 4: $35,000 / [tex](1 + 0.1)^4[/tex] = $35,000 / 1.4641 ≈ $23,906.76

NPV of Project B = -$59,090.91 + $12,396.69 + $18,762.89 + $23,906.76 ≈ $-3,024.57

Internal Rate of Return (IRR) Calculation:

To calculate the Internal Rate of Return (IRR) of the projects, we need to find the discount rate at which the NPV becomes zero.

For Project A, solving for the IRR:

NPV = -$1,238.09

IRR = 9.11% (approx.)

For Project B, solving for the IRR:

NPV = -$3,024.57

IRR = 15.57% (approx.)

Profitability Index (PI) Calculation:

Profitability Index (PI) is calculated by dividing the present value of cash inflows by the present value of cash outflows.

For Project A:

PI = (PV of cash inflows) / (PV of cash outflows)

  = ($14,314.81 + $4,630.59) / $22,000

  = $18,945.40 / $22,000

  ≈ 0.8602

For Project B:

PI = (PV of cash inflows) / (PV of cash outflows)

  = ($12,396.69 + $18,762.89 + $23,906.76) / $65,000

  = $55,066.34 / $65,000

  ≈ 0.8464

The profitability index (PI) for Project A is approximately 0.8602, and for Project B, it is approximately 0.8464. Both projects have PI values less than 1, indicating that the present value of cash inflows is lower than the initial investment.

A PI value below 1 suggests that the projects may not generate sufficient value to cover the initial investment. Therefore, neither Project A nor Project B appears to be financially attractive based on the PI criterion.

In summary, considering the net present value (NPV), internal rate of return (IRR), and profitability index (PI) calculations, neither Project A nor Project B seems to be a financially viable option. It is advisable to explore alternative projects or reassess the assumptions and cash flows associated with these projects before making any investment decisions.

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Write a letter addressing the middle managers of AICHA company in Morocco to introduce organizational change. Include at least 3 of the benefits of organizational change listed below: • Encouraging innovation Helping employees develop new skills • Increasing efficiency and productivity • Improving staff morale • Cutting costs or increasing revenue • Developing new skills Improving communication • Giving you a competitive edge • Increasing your market share • Improving customer service Make sure to plan in order to optimize implementing the organizational change process. • Who does the change impact?
• What size does the change need to be? • What is the timeline of the change? • What steps are involved in the change? What will the change cost? • Who is responsible for implementing the

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This letter is addressed to the middle managers of AICHA Company in Morocco, introducing the concept of organizational change. The letter highlights three benefits of organizational change: encouraging innovation, increasing efficiency and productivity, and improving staff morale. It emphasizes the importance of proper planning to optimize the implementation process, addressing considerations such as the impact of change, its size, timeline, steps involved, cost, and responsibility for implementation.

Dear Middle Managers,

I am writing to introduce the concept of organizational change and its potential benefits to AICHA Company. Organizational change plays a crucial role in keeping businesses competitive and adapting to evolving market conditions. By embracing change, we can drive innovation, increase efficiency, and improve staff morale, ultimately positioning AICHA Company for long-term success.

Encouraging innovation is one of the key benefits of organizational change. It creates an environment where employees are encouraged to think creatively, explore new ideas, and develop innovative solutions that can propel our company forward. Additionally, implementing organizational change allows us to optimize our processes, leading to increased efficiency and productivity. Streamlining workflows and eliminating inefficiencies can result in cost savings, improved resource allocation, and ultimately a stronger bottom line.

Furthermore, organizational change can have a positive impact on staff morale. When employees witness a commitment to growth and development, they feel valued and motivated to contribute their best. Change can bring new opportunities for skill development and personal growth, empowering our workforce to adapt to new challenges and take on more responsibilities.

To ensure successful implementation, it is important to plan the change process optimally. Consider the scope and impact of the change, determining the size and scale it needs to be. Establish a clear timeline that outlines key milestones and deadlines, allowing for proper preparation and smooth execution. Identify the steps involved in the change, allocating resources and assigning responsibilities to ensure accountability.

Moreover, it is essential to assess the cost implications of the change and develop a budget accordingly. By carefully analyzing the financial aspects, we can make informed decisions and allocate resources effectively. In conclusion, embracing organizational change can bring numerous benefits to AICHA Company, including encouraging innovation, increasing efficiency and productivity, and improving staff morale. By planning and implementing the change process thoughtfully, we can optimize its impact and position our company for a competitive edge, increased market share, and improved customer service.

Sincerely,

[your name]

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1. What are the ethical theories and approaches for decision making?
Explain. Ethics is a conception of right and wrong behavior, defining for us when our actions are moral and when immoral. A business is considered to be ethical only if it tries to reach a trade off between pursuing economic objective and its social obligations.
2. Explain various ethical theories
Note: Please give this 2question answer please .....

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The ethical theories and approaches for decision making are a set of ethical guidelines that individuals and organizations can use to guide their actions and decisions. The various ethical theories include consequentialism, deontology, virtue ethics, care ethics, and ethical relativism.

Consequentialism is the belief that actions should be based on their consequences. Deontology is the belief that actions should be based on moral rules and principles. Virtue ethics is the belief that actions should be based on virtuous character traits.

Care ethics is the belief that actions should be based on empathy and compassion for others. Ethical relativism is the belief that ethical principles are relative to individual or cultural values and beliefs.

All of these ethical theories can be used to guide decision making and help individuals and organizations make ethical choices that are consistent with their values and beliefs.

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QUESTION 1-You are observing the current volatility in the market and looking for a trade. Specifically, you are studying Microsoft calls and puts contracts. As a result, you are planning to buy one MSFT call with an exercise price of $70 which will cost you $3. At the same time, you also intend to sell one MSFT call with an exercise price of 75 which costs $1. (don't forget to multiply by 100) If you exercise both what's the maximum profit from this trade O A. $10. B. $100. O C. $200. O D. $300. O E. $500 QUESTION 2-You are observing the current volatility in the market and looking for a trade. Specifically, you are studying Microsoft calls and puts contracts. As a result, you are planning to buy one MSFT call with an exercise price of $70 which will cost you $3. At the same time, you also intend to sell one MSFT call with an exercise price of 75 which costs $1. (don't forget to multiply by 100) The expiration date has come and MSFT is trading at $74. How much is your profit at this price? O A. $100 B. $200. C. 300 D. zero. O E. None of these is correct.

Answers

1.The option (C) is correct . The maximum profit from this trade can be calculated as follows:If we execute both the call options then: Maximum profit = Maximum of {($74 - $70) × 100 - $300, 0} + Maximum of {($75 - $74) × 100 - $100, 0}= $200.The maximum profit from this trade is $200.

2. The option (E) is correct. If MSFT is trading at $74, then both the call options are in the money. The profit from the trade can be calculated as follows:

Profit from long call = ($74 - $70) × 100 - $3 = $397

Profit from short call = $1 × 100 = $100

Therefore, the total profit from the trade = $397 - $100 = $297. The profit at this price is $297.

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QUESTION 1The maximum profit from this trade is $200.QUESTION 2The profit when MSFT is trading at $74 is $100.Explanation:QUESTION 1To determine the maximum profit from the given trade, we need to calculate the potential profit from buying a call with an exercise price of $70 and selling a call with an exercise price of $75.

The call with an exercise price of $70 costs $3, which means it will have a total cost of $300 as options are sold in lots of 100 units. Similarly, the call with an exercise price of $75 costs $1, which will have a total cost of $100. Therefore, the total cost of this trade will be $300 - $100 = $200.Therefore, the maximum profit from this trade is $200.QUESTION 2If the expiration date comes, and MSFT is trading at $74, the total profit from the trade will be determined as follows:

Profit from the purchased call with an exercise price of $70 = Maximum(0, Current price - Exercise price) - Premium paid= Maximum(0, $74 - $70) - $3= $1Profit from the sold call with an exercise price of $75 = Premium received= $1Therefore, the total profit from the trade is $1 + $1 = $2 per option, which translates to $200 (100 x $2) as options are sold in lots of 100 units. The profit is $100 because we subtract the total cost of $200 from the total profit of $300.Thus, the profit when MSFT is trading at $74 is $100.

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Select one: a. A futures contract is defined as a standardised agreement to buy or sell a particular asset or commodity at a future date at a currently agreed on price. b. Futures represents a right to buy or sell a particular asset or commodity at a future date at a currently agreed on price. c. When a futures trader first buys a futures contract they are required to pay a maintenance margin to the broker. d. Futures are traded in over-the-counter securities markets. e. At maturity the futures trader is required to pay the difference between the contract start and close values. one z-score unit is equivalent to _____________ of the distribution. In order to facilitate our thinking and reflection, each of us will share with the class one song (or, rather one clip from one song) that engages with political issues, however conceived. Be prepared to speak a little about your thoughts on the song and how it makes a political What would you say about the role of tele-pharmacy?Do you think the technology used by pharmacists has been important in exchanging information and support? Kindly describe howWhat is your perception regarding ordering medication through technological means?What would you say is the role of the technology is impacting the distribution of prescribed preventive medications?Do you think technology is minimising the personal touch between the pharmacists and the patients? What does this mean to adherences to medications? install.packages('lattice')require(lattice)names(barley)levels(barley$site)Use R studio Each of the following questions refer to the dataset barley in the lattice package.At which site is there the strongest evidence of a possible site-year interaction effect? Please spell and capitalize exactly as you see it in the dataset. Typical measures of operating performance are a) profitability, market performance and problem solving b) profitability, financial position and market performance c) profitability, financial position and sustainability d) profitability, market performance and sustainability Intro A bond has an annual coupon rate of 3.7%, a face value of $1,000, a price of $1,095.78, and matures in 10 years. Part 1 Attempt 1/10 for 1 pts. What is the bond's YTM? 4+ decimals SubmitIntro You won a contest that will pay you $10,000 six months from today You don't wish to wait so you tell your friend they can have the $10,000 six months from now the young may money can earn 4.75% compounded semiannually how much money would you expect for the prize today? O $9.786.01 O $9.868.01 O $9,968.01 O $9,798.01 O $0.768.01 A D N A strand in the shape of a double-helix is shown.Which sugar is present in the nucleic acid that is represented in the diagram?phosphateuracildeoxyriboseribose New cities from scratch are often portrayed as utopian and solutions to the problems of existing cities (pollution, crime, poverty, poor housing, and infrastructure, etc.). This was the case with the 20th Century British New Town movement and it is again the case with new smart and sustainable master planned cities, although the details are very different. How would you assess the promises made about scratch cities and what might be of concern? which of the following penalties can be assessed by the real estate boardconsurecourt costindemnificationpunitive damages A publishing company in which certain workers acquire manuscripts (sponsoring editors), others edit manuscripts (developmental editors), and others turn manuscripts into printed books (production editors) uses an organizational structure that 01:09:44 Multiple Choice coordinates group efforts into an individual effort. divides employees around several common purposes. has few or no levels of middle management. arranges discrete parts of a task to be done by different people. 48