An instalment sale of a taxpayer's entire interest in a passive activity triggers recognition of the suspended losses. - True
Revenue and costs are recorded when money is exchanged in instalment sales, which. is a type of revenue recognition. The buyer is obligated to make recurring payments under an instalment sale. This strategy is helpful for taxpayers who desire to postpone capital gains to later years.
It should be emphasized that most interest on deposit accounts like checking and savings accounts is taxed at the same federal tax rate as the money received as income. Therefore, it is also to be ascertained that the selling of an investor's complete interest in instalments may qualify as a passive activity that results in the recognition of suspended losses.
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Telling customers that they only have until midnight to get sale prices is an appeal to
A. ethos.
B. logos.
C. pathos.
D. kairos.
Answer:
D. kairos.
Explanation:
Telling customers that they only have until midnight to get sale prices is an appeal to kairos.
Answer:
It's d
Explanation:
2. [-/2 Points] DETAILS TEAFM2 F.4.014. MY NOTES PRACTICE ANOTHER Find the monthly payment needed to amortize a typical $220,000 mortgage loan amortized over 30 years at an annual interest rate of 6.5% compounded monthly. (Round your answers to the nearest cent.) $ Find the total interest paid on the loan. $ Additional Materials DeBook
To find the monthly payment needed to amortize a $220,000 mortgage loan over 30 years at an annual interest rate of 6.5% compounded monthly, we need to follow some steps.
Steps are :
1. Convert the annual interest rate to a monthly rate by dividing by 12: 6.5% / 12 = 0.065 / 12 ≈ 0.005417
2. Calculate the total number of monthly payments over the 30-year loan: 30 years * 12 months/year = 360 months
3. Use the mortgage payment formula to find the monthly payment:
Monthly Payment = P * (r * (1 + r)^n) / ((1 + r)^n - 1)
where P is the loan amount, r is the monthly interest rate, and n is the total number of monthly payments.
4. Plug in the values and calculate the monthly payment:
Monthly Payment = $220,000 * (0.005417 * (1 + 0.005417)^360) / ((1 + 0.005417)^360 - 1) ≈ $1,408.44
So, the monthly payment needed to amortize the loan is approximately $1,408.44.
To find the total interest paid on the loan:
1. Multiply the monthly payment by the total number of monthly payments: $1,408.44 * 360 ≈ $506,634.40
2. Subtract the initial loan amount from the total amount paid: $506,634.40 - $220,000 ≈ $286,634.40
The total interest paid on the loan is approximately $286,634.40.
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Taxes, tariffs, subsidies, fiscal policy are all examples of that affects businesses. A. political factors B. governmental influence
The government has a tremendous influence on businesses, and taxes, tariffs, subsidies, and fiscal policy are all examples of this influence. how government regulations can impact their operations and strategies to ensure their survival and long-term sustainability.
Political factors are external factors that affect businesses, and they are mainly influenced by the government. Taxes, tariffs, subsidies, and fiscal policies are all examples of political factors that influence businesses. Taxes, for example, have a direct impact on a business's bottom line. The government charges taxes on businesses' earnings, and the rate of taxation is usually determined by the government. Tariffs are another example of government influence on businesses.
businesses are influenced by various internal and external factors. Political factors are external factors that businesses cannot control, but they must be aware of and have contingency plans in place to manage the impact of these factors. Taxes, tariffs, subsidies, and fiscal policies are all examples of how the government influences businesses.
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Your store is 150 ft. x 70 ft. The security cameras you are planning to purchase each cover 400 square feet. You want to
cover the whole store. How many cameras do you need?
Answer:
27
Explanation:
Answer:
Your store is 150 ft. x 70 ft. The security cameras you are planning to purchase each cover 400 square feet. You want to
Explanation:
Who determines the price of a good or service for other firms in an industry?
producers
consumers
price leader
manufacturer
The price leader is the one who sets the price of a good or service for other companies in an industry.
What is price leadership?It corresponds to a company that is more positioned in the market, that is, it has reached a leadership position in its sector and is capable of determining the price of a good or service for other companies based on direct influence.
Therefore, the price leader is the company that influences the entire market with its strategic actions. A market sector that is likely to have a price-leading company will have higher entry barriers, with inelastic demand and less differentiation between products and services.
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rowth is expected to be constant after 2023, and the weighted average cost of capital is 11%. what is the horizon (continuing) value at 2024 if growth from 2023 remains constant? do not round intermediate calculations. enter your answer in millions. for example, an answer of $1 million should be entered as 1, not 1,000,000. round your answer to the nearest whole number.
Based on the information provided, we can calculate the horizon (continuing) value at 2024 using the constant growth valuation model. The formula for the constant growth valuation model is:
Horizon Value = Cash Flow / (Discount Rate - Growth Rate)
Where:
Cash Flow = Expected cash flow in the year 2024
Discount Rate = Weighted Average Cost of Capital (WACC)
Growth Rate = Expected constant growth rate after 2023
Since the question does not provide any specific cash flow or growth rate, I am unable to provide an accurate answer. Please provide the required financial data, including the expected cash flow in 2024 and the growth rate, in order to calculate the horizon value accurately.
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How can the various templates that are available for new Word documents be accessed?
opening up an instance of Word
pressing CTRL+N with Word open
clicking File to enter Backstage View
all of the above
Answer: All of the above
Explanation:
When you open up Word newly, the available templates will be listed for you to choose one of your preference and if those are not enough, one can still get more online.
Pressing CTRL+N with Word open will also enable you to have access to the various templates. Finally, clicking File will enable you to enter Backstage View where you can then click on New to see the various templates.
Answer:
the answer is d) all of the aboveExplanation:
which feature should be used prior to finalizing a presentation to ensure that the audience members with disabilities will be able to understand the message that a presenter is trying to get across
Answer:
B: Accessibility Checker
Explanation:
In which countries do people prefer discussing business during meals?
what are the advantages and disadvantages of common stocks
Advantages:
You can invest in companies with limited liability. Common stocks offer a higher earning potential. You can easily purchase common stock on virtually any trading platform. Common stocks can provide dividends. You’ll get to take advantage of a growing economy.Disadvantages:
You are the last person to get paid during a company liquidation. You don’t have much control over your investment. Companies are not required to pay dividends on common stocks. It can take time to generate significant gains. You will face high levels of professional competition when investing in common stocks.Hopes this helps :)
If an engine has a Base Timing of 10° BTDC, but is currently firing at 5°, which is it
Based on the principle of starting engine, the correct answer is turbocharged engine
Turbocharged engineStarting a turbocharged engine, the timing is reduced to compel the peak starting pressure later in the combustion stroke.In conclusion, we can conclude that the correct answer is turbocharged engine.
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A firm is evaluating different distribution network designs. They conclude the most important design factors for them are: response time, order visibility, and returnability. Assuming that they have the resources they need to build the network, which designs better suits their needs? A. Manufacturer storage with customer pickup. B.Distributor storage with package carrier delivery. C. Retail storage with customer pickup. D. Manufacturer storage with direct shipping
The distribution network design that better suits the firm's needs is B. Distributor storage with package carrier delivery.
Here's why:
1. Response time: With distributor storage, the firm can benefit from quicker response times compared to other options. Distributors are strategically located and can quickly process and fulfill orders, reducing the time it takes for customers to receive their products.
2. Order visibility: Distributor storage provides better order visibility compared to other designs. Distributors have advanced inventory management systems that allow the firm to track orders in real-time. This enables them to have better control and transparency over the order status, ensuring timely and accurate delivery.
3. Returnability: Distributor storage with package carrier delivery also offers better returnability options. If customers need to return a product, they can easily coordinate with the distributor or package carrier for a hassle-free return process. This enhances customer satisfaction and helps maintain a positive reputation for the firm.
Although other options, such as retail storage with customer pickup or manufacturer storage with direct shipping, may have their own advantages, they do not align as closely with the firm's identified design factors.
Overall, B. Distributor storage with package carrier delivery provides the firm with improved response time, order visibility, and returnability, making it a more suitable choice for their distribution network design.
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The repair service that fixes your farming equipment doesn’t seem to fix your plow correctly. The technician says that if you are not happy, you can buy a new plow from him, but the cost is extremely high. Do you have other options available to you for higher-quality repairs or cheaper equipment? Explain your answer.
Answer:
Your best option would be for higher quality repairs and higher quality equipment, this would save you more money and time in the long run where you have the ability to do other things.
Explanation:
Mark as Brainliest please!
Ill give u a cookie
Answer:
No, because in command economies, there is no competition. So, there are no other repair services that would offer higher-quality repairs or cheaper equipment. Additionally, no incentive exists for the technician to provide high-quality service.
Explanation:
the actual answer
In functions of business, what is an example of accounting?
Answer:
A few examples of management accounting reports are aging of accounts receivable, inventory levels, monthly sales and status of accounts payable. Internal accounting reports are also used for the preparation of budgets and forecasts.
a corporation must write that set out the purpose of the business and how it is to be governed. multiple choice question. an indenture agreement articles of incorporation a partnership agreement a legal will
Academics refer to the "shareholder primacy standard" and many refer to the duty of corporate management as "shareholder wealth maximization." A corporation's aim is to serve its shareholders.
How is a corporation defined?Corporation a company that is owned by a number of persons and granted legal standing by the state where it is located so that it can function independently of its owners. Milton Friedman asserts that a corporation exists to make money for its shareholders. A firm must take into account how its decisions will affect all of its stakeholders, according to the stakeholder theory. Governmental organizations create public corporations for governmental or political purposes. Municipal corporations, as they are sometimes known, are entities formed by local governments to perform services like those related to water, sewerage, schools, parks, etc.
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FILL IN THE BLANK Typical cost drivers include ______ (Select all that apply).
flight-hours
machine-hours
utilities cost
machine depreciation
computer time
Typical cost drivers include computer time, machine hours and flight-hours.
Typical costs refer to the costs that a company is expected to incur in the production and sale of its products or services under normal operating conditions. These costs are based on historical cost patterns and the practices of the industry in which the company operates.
Typical costs may include direct costs such as raw materials, direct labor and manufacturing overhead. Some of the main drivers of these costs are as follows:
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What type of loan uses real estate for security?
A point of sale
A line of credit
. A disclaimer (it’s not disclaimer)
A second mortgage
Answer:
A second mortgage loan uses real estate for security
What's+the+present+value+of+$1,650+discounted+back+5+years+if+the+appropriate+interest+rate+is+6%,+compounded+monthly?
The Present value is $ 1223.26.
Future value = $1650
n = 5 years
Interest = 6%
Calculation of present value:
Rate = 6.1678 %
Present value = future value / \((1+rate)^{n}\)
= $ 1223.26.
Present value is a technique of accounting based on the value of replacing assets on the fees that would be paid now, instead of on the charges they had been at first sold for modern cost accounting can yield consequences which can be materially extraordinary from traditional accounting based totally on ancient fees.
The fair price of the stock is a subjective term calculated using the contemporary monetary statements, marketplace function, and feasible growth cost from a fixed of metrics. In comparison, the market fee is the cutting-edge percentage price at which the inventory or asset is traded.
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in blank analysis, management evaluates the firm's various products and businesses, then allocates resources according to potential profit outlook.
In portfolio analysis: Management evaluates the firm's a variety of products and agencies and management allocates its resources to merchandise with the best possible to be profitable.
A advertising strategy: Outlines what a company plans to do to appeal to conceivable customers.
Why portfolio evaluation approach is important?Portfolio evaluation gives the following advantages: It encourages management to consider each of the organization's organizations for my part and to set objectives and allocate sources for each. It stimulates the use of externally oriented information to complement management's intuitive judgment.
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https://brainly.com/question/2758250#SPJ4Wright Aircraft, Inc. Wright Aircraft is the global leading builder of long-haul jet aircraft for civilian aviation. Management expects the company to maintain its leadership for the foreseeable future. Wright is considering two projects to develop an improved engine control system to to improve fuel utilization (an important factor in airlines' aircraft purchase decisions). Cash flows due only to sales of the new system are included in Chapter 2. (Assume the projections reasonably reflect the facts of the case.) Project Lindbergh utilizes a revolutionary technology to increase fuel utilization 15%. Project Lindbergh's system can be used on all airline aircraft, whether purchased from Wright or its competitors, and on Wright's next product generation. Project Post utilizes an existing technology that promises to increase fuel utilization 5%. Project Post's system can be used on Wright aircraft only. What discount rate should you use for each project?
Project Lindbergh -(000s of $s) Chapter 1: R&D Phase Chapter 2: Launch and Commercialization Year ($7.500) ($6,000) ($3,500) ($1,500) $60,000 $125,000 $175,000 $235,000 Probability of Techical Success 35% 55% Stage Gate 1 - End of Year 2 - Satge Gate 2 - End of Year 4 Project Post (000s of $s) Year Chapter 1 Cash Flows Chapter 2: Launch and Commercialization 234 5678 ($5,500) ($3,000) ($1,500) $10,000 $20,000 $25,000 $35,000 $45,000 60% Probability of R&D Success (1 stage gate - end of Year 2)
A 25% discount rate for Project Lindbergh and 15% discount rate for Project Post are used.
How to depict the information?The question pertains to capital budgeting and the formula used to calculate Present Value (PV) of future Cash flows is (CFt / (1+r)^t) and NPV is the sum of PV of all future cash flows from t=1 to t=8.
Also,, the probability of success is given for both projects. In the first project, it is 0.35 multiplied by 0.55 and in the second Project, it is 60%.
The NPV should be multiplied by the probability of success in order to get the expected NPV from both projects. The expected NPV of Project 2 is higher than Project 1.
Therefore, the management should go ahead with Project 2.
The missing part of the question:
Project Lindbergh utilizes a revolutionary technology to increase fuel utilization 15%. Project Lindbergh's system can be used on all airline aircraft, whether purchased from Wright or its competitors, and on Wright's next product generation. Project Post utilizes an existing technology that promises to increase fuel utilization 5%. Project Post's system can be used on Wright aircraft only. please assume a 25% discount rate for Project Lindbergh and 15% discount rate for Project Post.
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A network security device that monitors incoming and outgoing network traffic and decides whether to allow or block specific traffic based on a defined set of security rules.
Answer:
Firewall.
Explanation:
Firewall can be defined as a network security device that monitors incoming and outgoing network traffic and decides whether to allow or block specific traffic based on a defined set of security rules.
Simply stated, a firewall is a network security protocol that monitors and controls inbound and outbound traffic based on set aside security rules.
A firewall is used to control access to a computer or network, as it creates a barrier between a computer or a network and the internet in order to protect against unauthorized access.
Basically, it is a network security device or security system pre-installed on most computers to essentially inspect data being transmitted to or from a computer.
Hence, firewalls are typically bidirectional, it checks all sent and received data and only allow authorized traffic through.
Answer:
Firewall.
Explanation:
Hope this helps
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
20 POINTS AND WILL GIVE BRAINLY
PLS ANSWER
Keys printing plans to issue a $1,000 par value, 20-year noncallable bond with a 7. 00% annual coupon, paid semiannually. the company's marginal tax rate is 40. 00%, but congress is considering a change in the corporate tax rate to 30. 0%. assuming key's new bonds are issued at par, how much would the component cost of debt used to calculate the wacc change if the new tax rate was adopted
If the corporate tax rate changes to 30.00%, the component cost of debt used to calculate the weighted average cost of capital (WACC) would decrease.
The component cost of debt is the after-tax cost of debt. It is calculated by multiplying the before-tax cost of debt with (1 - tax rate). Therefore, a decrease in the corporate tax rate would result in a lower after-tax cost of debt and hence a lower component cost of debt. Currently, Keys Printing plans to issue a $1,000 par value, 20-year noncallable bond with a 7.00% annual coupon, paid semiannually. The company's marginal tax rate is 40.00%. The before-tax cost of debt can be calculated as follows: Coupon rate = 7.00% Par value = $1,000
Semiannual coupon payment = $1,000 x 7.00% / 2 = $35 Semiannual yield to maturity = ? Using the bond pricing formula, the semiannual yield to maturity can be calculated as 3.50%: $35 / (1 + 3.50%)^1 + $35 / (1 + 3.50%)^2 + ... + $35 / (1 + 3.50%)^40 + $1,000 / (1 + 3.50%)^40 = $1,000 The before-tax cost of debt is equal to the semiannual yield to maturity multiplied by 2, which is 7.00%. The after-tax cost of debt can be calculated as follows: Before-tax cost of debt = 7.00% Marginal tax rate = 40.00% After-tax cost of debt = 7.00% x (1 - 40.00%) = 4.20% Therefore, the current component cost of debt is 4.20%. If the corporate tax rate changes to 30.00%, the after-tax cost of debt would decrease to 4.90%: Before-tax cost of debt = 7.00% Marginal tax rate = 30.00% After-tax cost of debt = 7.00% x (1 - 30.00%) = 4.90% Therefore, the new component cost of debt would be 4.90%. In summary, if the new tax rate of 30.00% is adopted, the component cost of debt used to calculate the WACC would decrease from 4.20% to 4.90%.
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ABC Corporation outstanding bonds have a par value of $1000, 8% coupon and 15 years to maturity and a 10% YTM. What is the bond's price?
The approximate price of the bond is $1,138.54. This represents the present value of all the future cash flows, discounted at the bond's yield to maturity of 10%.
To calculate the price of a bond, we need to use the present value formula, which takes into account the bond's future cash flows and the yield to maturity (YTM). In this case, we have the following information:
Par value (face value) of the bond = $1000
Coupon rate = 8%
Years to maturity = 15
Yield to maturity (YTM) = 10%
The coupon payment is 8% of the par value, which is $1000 x 8% = $80 per year. The coupon payments occur annually.
To calculate the price of the bond, we can use the present value of the bond's cash flows, which are the coupon payments and the final repayment of the par value at maturity. The formula for calculating the present value of a bond is:
Price = (Coupon Payment / (1 + YTM)^1) + (Coupon Payment / (1 + YTM)^2) + ... + (Coupon Payment / (1 + YTM)^n) + (Par Value / (1 + YTM)^n)
Using this formula, we can calculate the price of the bond:
Price = ($80 / (1 + 10%)^1) + ($80 / (1 + 10%)^2) + ... + ($80 / (1 + 10%)^15) + ($1000 / (1 + 10%)^15)
To simplify the calculation, we can use financial calculators or spreadsheet software. Plugging the values into a financial calculator or spreadsheet, the bond's price is approximately $1,138.54.
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Which multimedia and interactive elements do you think would best support your viewpoint on the topic you chose for your blog? Write two to four sentences explaining what multimedia and interactivity you will use and why.
Answer:
I will use images and details from credible websites, which will boost my own credibility and support my claim. I will also use charts and graphs from trusted web resources, such as government and university sites, to make my supporting evidence clear
Explanation:
I took the test
Brainiest???
The Use of videos, audios, and images in the blog will not only make it attractive but also make it credible.
Best Way to Write BlogTo write a credible and attractive blog we need to use multimedia such as videos, images, link of credible websites. We can also use other elements which can autocorrect grammer mistakes, can easily provide best charts and graphs.
The use of these elements can give a better outlook to our blog, and also create a sense of trust and credible information.
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Write a short paragraph describing the benefits of working as a team to complete a project.
Answer:
A group of people who have to achieve common goal is known as team. If we work in team it increases our creativity and learning, it also builds trust. It boost the particular person when we work in team. We can also learn faster. There are more chances of getting success in particular area if we work in team. As there is saying, " together we can achieve more what each of us can achieve." It also enhances productivity and capability.
a fixed-price contract is useful and appropriate when
which microbes is used to extract ethanol from fruit juice and sugar molasses ·
Answer:
Yeast
Explanation:
A microbe (microorganism) is a microscopic organism which either exist in its single-celled form or as colony of cells. Example of microbes are bacteria, archaea, algae, protozoa.
Yeast is a microbe used in the extraction of ethanol from fruit juices and sugar molasses. Saccharomyces cerevisiae is a specie of yeast which reacts with fruit juices and sugar molasses in the absence of Oxygen to produce ethanol and carbon dioxide.
You are a vendor representative with a new line of fashion watches showing it to a new buyer. The costume jewelry buyer says she would like to buy the line but has too many lines of fashion watches in her assortment already that are not selling. She continues to complain that her worst-selling brand of watches will not help her out with any markdown allowances or take any of the merchandise back. She states that she is no longer buying any more merchandise from this line and will have to wait until it sells before she can bring in a new line of watches. What might you suggest or negotiate?
Answer:
Doing a buyback
Explanation:
Answer:
Since She states that she will no longer buy any more merchandise from this line and she will have to wait until it sells before she can bring in a new line of watches what i would or might you suggest or negotiate is for her to do a BUYBACK.
Therefore BUYBACK can be seen as something or item that have been repurchased due to some unresolved issues that has been reported by the initial owner but has since been resolved and it can as well mean an agreement to buy something in return.
Lastly BUYBACK can tend to be a sale whereby something that is been sold is repurchased from the buyer by either the seller or the initial owner.