brook company plans to own and operate a storage rental facility. for the first month of operations, the company has the following transactions. 1. january 1 issue 10,000 shares of common stock in exchange for $30,000 in cash. 2. january 5 purchase land for $18,000. a note payable is signed for the full amount. 3. january 9 purchase storage container equipment for $7,800 cash. 4. january 12 hire three employees for $1,800 per month. 5. january 18 receive cash of $11,800 in rental fees for the current month. 6. january 23 purchase office supplies for $1,800 on account. 7. january 31 pay employees $5,400 for the first month's salaries.

Answers

Answer 1

The journal entries are as follows,

1st Jan

DR Cash $30,000

CR Common Stock $10,000

CR Stock Premium $20,000

What is journal entry?

Journal entry is the double entry that is recorded by businesses to record the transactions of the business. The double entry or the journal entry records the double accounts effect. After posting of journal entries, the entries are then posted to T-account then this T- account helps preparing trial balance which then is used to prepare income statement and balance sheet.

5th Jan

DR Land $18,000

CR Notes Payable $18,000

9th Jan

DR Container equipment $7,800

CR Cash $7,800

12th Jan

Hiring employee would not require a journal entry.

18th Jan

DR Cash $11,800

CR Rental Income $11,800

23th Jan

DR Office supplies $1,800

CR Notes Payable $1,800

31st Jan

DR Salary expense $5,400

CR Cash $5,400

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Related Questions

Michael works as a financial advisor in a doctors office. The two organizations that Michael most likely belongs to are the..

A. AFP and AMA
B. AFP and ACS
C. AMA and AIA
D. AIA and ACS​

Answers

Michael works as a financial advisor in a health practitioner's office. the 2 agencies that Michael maximum possibly belongs to are the: A. AFP and AMA

A monetary adviser or financial advisor is a professional who offers economic services to clients based totally on their monetary state of affairs. In many nations, financial advisors should whole precise education and are registered with a regulatory body in an effort to provide advice.

A financial advisor is a professional who's paid to offer financial recommendations to customers. simply as you would hire an architect to create a plan for your house, you hire a financial marketing consultant to create a plan for your budget. it is all about paying a person for the know-how you need to reach unique goals.

A monetary guide will now not simplest set you up financially. they could help make choices on the most important existence adjustments like how tons maternity go away can you have the funds to take while having a child. They also can help maintain you on target financially while lifestyles throw you curve balls which include redundancy.

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What actions does the central bank take to control the rising inflation?

Answers

Raising interest rates to dampen demand and contain inflation.Interest is the amount of cash a lender or financial group receives for lending out money.

Interest also can talk to the quantity of possession a stockholder has in a corporation, typically expressed as a percent.

The 3 types of interest consist of easy (everyday) hobby, collected hobby, and compounding hobby. When cash is borrowed, normally via the approach of a loan, the borrower is required to pay the interest agreed upon with the aid of the two events.

The bank makes cash, and it then pays interest on the savings account in order that humans invest in financial savings accounts. The bank desires to have get entry to to the ones budget whilst it wants to offer loans.

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Carla gave David an option to purchase her property within 30 days for a consideration of $500. Under the terms of this agreement:

Answers

Under the terms of the option agreement between Carla and David, C. David can require Carla to sell the property.

Carla is not the optionee but the optionor while David is not the optioner but the optionee.  While Carla cannot require David to purchase the property but David can require Carla to sell the property within the 30-day period.

Answer Options:

A. Carla is the optionee

B. David is the optionor

C. David can require Carla to sell the property

D. Carla can require David to purchase the property

Thus, as the optionor, Carla cannot require David to buy the property but C. David can require Carla to sell the property.

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Explain why the credit industry wants you to believe that you need a credit score

Answers

Answer:

Because the credit industry gains a profit from it's users. Credit is a tool, and if used wisely can be beneficial for many people who don't have enough cash to pay for things. Having "good" credit score means that it's easier for you to receive a loan.

Let understand that Credit score refers the score which tells about a consumer's creditworthiness.

In practice, the higher the credit score of an individual, the higher the rate of repayment of credit gotten.

The Credit scoring is used the lenders to help them decide whether to borrow, extend or deny credit.

Therefore, the credit industry wants one to believe you need credit score because its helps them to ascertain your creditworthiness.

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The fiscal gap is defined as
a. total government expenditures minus total government tax receipts.
b. the present value of all future government expenditures minus the present value of all future government tax receipts.
c. federal government expenditures minus federal government tax receipts.
d. the present value of all federal government tax receipts.

Answers

The fiscal gap is defined as (b) the present value of all future government expenditures minus the present value of all future government tax receipts.

The fiscal gap refers to the difference between the present value of all future government expenditures and the present value of all future government tax receipts. It takes into account both expenditure commitments and expected tax revenues over an extended time horizon. This measure provides an assessment of the sustainability of a government's fiscal position by considering the long-term implications of its spending and revenue policies.

By calculating the present value of future cash flows, the fiscal gap captures the net imbalance between projected government expenditures and tax revenues, offering insights into the potential need for policy adjustments or fiscal reforms to ensure long-term fiscal stability.

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galt motors currently produces 500,000 electric motors a year and expects output levels to remain steady in the future. it buys armatures from an outside supplier at a price of $2.50 each. the plant manager believes that it would be cheaper to make these armatures rather than buy them. direct in-house production costs are estimated to be only $1.80 per armature. the necessary machinery would cost $700,000 and would be obsolete in 10 years. this investment would be depreciated to zero for tax purposes using a 10-year straight line depreciation. the plant manager estimates that the operation would require additional working capital of $40,000 but argues that this sum can be ignored since it is recoverable at the end of the ten years. the expected proceeds from scrapping the machinery after 10 years are estimated to be $10,000. galt motors pays tax at a rate of 21% and has an opportunity cost of capital of 14%. the incremental cash flow that galt motors will incur in year 10 if they elect to manufacture armatures in-house is closest to: group of answer choices $40,000. $335,000. $375,000. $405,000.

Answers

Tax shield is added, the tax on salvage value is subtracted, and the result is $375,000 is the closest possible response.

Explain the context of the depreciation.

The following factors must be taken into account in order to determine the additional cash flow that Galt Motors will experience in year 10 if they decide to produce armatures in-house:

$700,000 was initially spent on the machinery.

The required working capital is $40,000. (which is recoverable at the end of ten years)

Depreciation provides an annual tax benefit of $700,000 / 10 * 0.21 = $14,700.

$10,000 * 0.21 = $2,100 is the tax on the salvage value of the machinery.

The difference between the cash flows with and without in-house production of armatures will represent the additional cash flow in year 10. Galt Motors will pay $2.50 for each armature if they purchase them from the outside supplier, which is $1.80 more expensive than the $0.70 cost of producing each armature internally.Galt Motors produces 500,000 electric motors annually, so in year 10, the additional cash flow will be:

$1.80 * 500,000 - $0.70 * 500,000 = $550,000

The tax shield is added, the tax on salvage value is subtracted, and the result is:

$550,000 + $14,700 - $2,100 = $563,600

Therefore, $375,000 is the closest possible response.

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Assume that Ms. Sawyer's salary is $42,000, up from $40,000 last year, while the CPI is 157.5 this year, up from 150 last year. This means that Ms. Sawyer's real income has

Answers

Answer: stayed the same

Explanation:

The Consumer Price Index (CPI) simply measure average change in price over time based on the prices that were paid for goods and services.

If Ms. Sawyer's salary is $42,000, up from $40,000 last year, while the CPI is 157.5 this year, up from 150 last year. This means that Ms. Sawyer's real income has stayed thesame. This is because:

$42,000/157.5 = 266.67

$40,000/150 = 266.67

Since we both got thesame answers, Sawyer's real income is thesame.

What documents will you include in your portfolio?
How will creating a portfolio benefit you with future employment?

Answers

Answer:

./Table of Contents

./Career and professional development goals, tailored for each ./interviewer

./Work philosophy statement; personal mission statement

./List of areas of expertise

./Works in progress (activities and projects)

./Samples of your best work from academic, employment, and internship settings

./Resume, references, transcripts, letters of recommendation

./Evaluations from work/volunteer experiences, agendas of meetings you conducted

./Certificates, diplomas, licenses, awards, letters of appreciation you received

./Records of community service/volunteer work

./Professional memberships and service activities

./Work reports or excerpts from term papers

./Grants or proposals you wrote

./Newspaper clippings featuring you, media clips of your work, promotional materials you designed

./Photographs of you in a professional setting

./Printouts/links to websites, web pages, or blogs you created

./Certificates of attendance from seminars or workshops

./Documentation of leadership experience

this will help you greatly in the future when it comes to people looking to higher you as it shows your skills/weaknesses

Explanation:

brainliest pls

IF YOU WANT TO BE A VET READ THIS!!!

Requierments:

- They never take students who do not have straight A's, so keep working hard!!

- To go into collage you must have at least 2 years of language (this doesn't mean you have to be fluent or even know it, its just good for applications)

- Have volunteer hours

- Have a clean slate, no laws broken, detentions, etc... (just show your a good person)

- Have good credits

And of course much more, but those are just the basics.



PET VETS:

College: 8+ years
Average Wage: $100,000-$110,000+ yearly
Aedemics: D.V.M or V.D.M


FARM VETS:

College: 6+ years
Average Wage: $100,000-$105,000+ yearly
Aedemics: D.V.M or V.D.M

ZOO VETS:

College: 6+ years
Average Wage: $86,757-$104,000+ yearly
Aedemics: D.V.M or V.D.M

AQUATIC VETS:

College: 8+ years
Wage: $90,000-$100,000+ yearly
Aedemics: D.V.M or V.D.M


I hope this helps you!
Please answer in the vet proffession that you would like and your favorite animal in that group and why!

PLEASE DO NOT REPORT!! I know this isn't a question but it is important information i find interesting to share!

Have a great day!

Answers

Yes! I am in going into 10th grade and am so excited to do vet school! I take a vet class and a marine biology class every week! I already started looking into colleges like UCDavis and the university of Colorado! I have birds fish and dogs as well!

when a taxable bond is issued at a premium, the taxpayer may elect to calculate and apply the yearly amortization amount to reduce a portion of the actual interest payments that taxpayers include in gross income.

Answers

When a taxable bond is issued at a premium, taxpayers can choose to calculate and apply the yearly amortization amount to reduce a portion of the actual interest payments included in their gross income. This helps align the tax liability with the economic reality of the investment.

When a taxable bond is issued at a premium, it means that the bond's purchase price exceeds its face value. In such cases, the taxpayer has the option to elect to calculate and apply the yearly amortization amount. This allows them to reduce a portion of the actual interest payments that are included in their gross income.

The purpose of amortizing the premium is to align the bondholder's taxable income with the economic reality of the investment. By amortizing the premium over the life of the bond, the taxpayer can deduct a portion of the premium each year, thus reducing the amount of interest income that needs to be reported.

To calculate the yearly amortization amount, the taxpayer generally uses a constant yield method. This method spreads the premium evenly over the bond's remaining life. The amortization amount is then subtracted from the bond's stated interest payment, and the reduced interest amount is included in the taxpayer's gross income.

By electing to amortize the premium, taxpayers can mitigate the immediate tax burden associated with owning a bond issued at a premium. This allows for a more accurate reflection of the economic benefit received over the bond's life.

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Let's say that the economy consists of 100 people. Each person is to divide 1 unit of time between work and leisure given the wage rate w (paid on the labor market). Each person also receives dividends of T. The final total profit of this firm is n. The person's utility function depends on consumption c and leisure I and it is assumed to satisfy u(c, l) = 0 ln(c) + (1 - 0) ln(l), where 0 € (0, 1). On the flip side of the market, there are firms who hire workers and produce output. The representative firm operates with a Cobb-Douglas production technology Y = 2K ¹N ², Z = total factory productivity K = fixed amount of capital. Each of these firm's employees receive a wage of w (total labor cost of the firm is equal to wN). The profit is then given back equally to the shareholder as dividend income. G=0 0=3,2=1, K = 1600. Let's say initially 1. Write the equation that will show relation between each person's dividend income and firms total profit П. 2. Write the consumers budge constraint and maximization problem. Plot these 3. Write down the maximization problem of the firm. 4. Write down the government budget constraint. 5. Find the equilibrium price w, allocations c, N

Answers

The equation T = П / 100 relates each person's dividend income (T) to the firm's total profit (П), distributing profit equally among the 100 individuals.

The consumer's budget constraint, c + w - T = 1, constrains consumption (c), wage income (w), and dividend income (T), while the maximization problem aims to optimize utility subject to the budget constraint. Firm maximization problem and equilibrium price w are not provided.

The equation T = П / 100 represents the relationship between each person's dividend income (T) and the firm's total profit (П). Since there are 100 people in the economy, the total profit is divided equally among them, resulting in each person's dividend income being equal to the total profit divided by 100.

The consumer's budget constraint, c + w - T = 1, defines the limitations on the individual's consumption (c), wage income (w), and dividend income (T). It states that the sum of consumption, wage income, and dividend income should equal 1 unit of time available to each individual, indicating that all income must be allocated between consumption, leisure, and other expenses.

The consumer's maximization problem involves maximizing the utility function u(c, l) = 0 ln(c) + (1 - 0) ln(l), where c represents consumption and l represents leisure. The objective is to find the combination of consumption and leisure that maximizes the individual's utility, subject to the budget constraint. By solving this problem, the optimal levels of consumption and leisure can be determined.

The information provided does not include the maximization problem of the firm, which would involve determining the optimal combination of inputs (capital and labor) to maximize output or profit based on the Cobb-Douglas production technology given.

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Kerr Company's account balances at December 31 for Accounts Receivable and Allowance for Doubtful Accounts were $2,100,000 and $20,000 (Cr.), respectively. An aging of accounts receivable indicated that $170,000 are expected to become uncollectible. The amount of the adjusting entry for bad debts at December 31 is

Answers

Answer:

$150,000

Explanation:

Calculation to determine what The amount of the adjusting entry for bad debts at December 31 is

Using this formula

Bad debts=Accounts receivable-Allowance for Doubtful Accounts

Let plug in the formula

Bad debts=$170,000-$20,000

Bad debts=$150,000

Therefore The amount of the adjusting entry for bad debts at December 31 is $150,000

advantages of collaborative office layouts​

Answers

Answer:

By far, one of the greatest benefits of breaking down literal walls in the office is increased collaboration.

Explanation:

When multiple people are working in the same space, they are more likely to share ideas and ask for input.

Corporate social responsibility includes the actions of a firm that go beyond the requirements of the law and the direct interests of the firm. True False

Answers

The given statement "Corporate social responsibility includes the actions of a firm that go beyond the requirements of the law and the direct interests of the firm." is true because corporate social responsibility involves actions that exceed legal requirements and a company's direct interests, focusing on societal and environmental well-being.

Corporate social responsibility (CSR) refers to the voluntary actions and initiatives undertaken by a company that go beyond legal requirements and the firm's immediate self-interests.

It encompasses the company's efforts to have a positive impact on society, the environment, and various stakeholders.

While legal compliance is essential for any business, CSR involves taking additional steps to address social and environmental concerns.

It encompasses various areas such as philanthropy, environmental sustainability, ethical business practices, employee well-being, and community engagement.

By engaging in CSR activities, companies demonstrate their commitment to being responsible corporate citizens.

They recognize that their actions have consequences beyond their immediate bottom line and seek to contribute to sustainable development and the well-being of society at large.

Examples of CSR initiatives include implementing environmentally friendly practices, supporting charitable causes, promoting diversity and inclusion, investing in employee training and development, and engaging in fair trade practices.

These actions demonstrate a company's willingness to go beyond legal requirements and make a positive difference in the world.

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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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What type of federal funding is free money, but is based
on financial need only?

A.Federal grants

B.All federal scholarships

C.The 529 Plan

D.None of these are correct

Answers

Answer:

Try A. Federal Pell Grant

Answer:

answer : b

Explanation:

cauise

Melissa plans to become a nurse. What would be a good extracurricular activity for Melissa during high school? O A. O B. O C. O D. joining the cheerleading squad taking charcoal drawing lessons participating in gymnastics volunteering at a health clinic after school​

Answers

Answer:

Volunteering at a health clinic after school​

Explanation:

If Melissa plans on becoming a nurse, she should look for extracurriculars which could help support her in her future years. Volunteering at a health clinic could provide her with hands on experience opposed to cheerleading or charcoal drawing which are good for hobbies and fun activities. But if Melissa really has a passion to become a nurse she should look for extracurriculars which not only interest her but may be of benefit to her.

This graph shows the relationship between the amount of two products a
company can make. This is also known as a(n):
Product A
7
3
A
VO
39
Product B
OA. opportunity cost graph.
OB. capital investment model.
OC. projected annual growth plan.
OD. production possibilities curve.
QB
65

This graph shows the relationship between the amount of two products acompany can make. This is also

Answers

The graph which shows the relationship between the amount of two products a company can make is also known as a production possibilities curve. The Option D is correct.

What is the use of production possibilities curve in economics?

The Production Possibilities Curve (PPC) is a model that illustrates the tradeoffs involved in allocating resources between the production of two goods. Scarcity, opportunity cost, efficiency, inefficiency, economic growth, and contractions can all be illustrated using the PPC.

Because the PPF is a curve based on two variables representing resources between two goods, the data can be manipulated to see how scarcity, growth, inefficiency, efficiency, and other factors affect production.

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what is the most direct result of free trade supplying productive resources to areas where they're most needed?

Answers

In addition to lowering and removing tariffs, free trade agreements also assist in addressing hidden trade barriers that would otherwise obstruct the flow of goods and services, promote investment, and enhance the regulations governing matters like intellectual property, e-commerce, and public procurement.

What is Free Trade?

Import and export restrictions are not present in a free trade system. It can also be seen as the free market concept implemented in global trade. A free trade agreement is an agreement between two or more countries to lower import and export restrictions. Under a free trade policy, there are little to no government tariffs, quotas, subsidies, or prohibitions that prevent the exchange of products and services across international borders. In a free trade area (FTA), goods from one country can enter another without being subject to import duties or quotas. Free trade areas include, for instance: Norway, Iceland, Switzerland, and Liechtenstein make up the EFTA (European Free Trade Association). NAFTA: North American Free Trade Agreement (being renegotiated)

Hence, In addition to lowering and removing tariffs, free trade agreements also assist in addressing hidden trade barriers that would otherwise obstruct the flow of goods and services, promote investment, and enhance the regulations governing matters like intellectual property, e-commerce, and public procurement.

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1. When would a corporation make sense for a business, such as a construction company?

Answers

Answer:

when they can make profits

Explanation:

A corporation simply refers to a company that can be for-profit or non-profit that is authorized and recognized to act as a separate entity in law.

Thus, for a corporation to be categorized or make sense as a business it needs to fulfill the main objective of a business, which is profit-making. By so doing, the construction company would make sense for a business.

In an answer of at least two well-developed paragraphs, define the terms shortage and surplus and explain how each impact the prices of goods in the marketplace.
I will make you brainliest and you'll get 25 points


Thank youuu. I know its a lot but I really need help. ​

Answers

a surplus is a market condition existing at any price where the quantity supplied is greater than the quantity demanded. a shortage is a market condition existing at any price where the quantity supplied is less than the quantity demanded. a shortage occurs when the quantity demanded is greater than the quantity supplied at current price. consumer surplus is the difference between the maximum price consumers are willing to pay for a product and the market price of the product.

forces of surplus and shortage guarantee that all other prices are temporary. each of these definitely impact the economy and the prices of goods. if there is a shortage, most likely the price is going to go up. if there is a surplus, the price most likely will go decrease

sorry if this didn't help!!!

Netflix stock has dropped almost 50% during the last 3 months. Which of the following is true if we assume that the earnings per share estimates have not changed?
Group of answer choices
The P/E is higher
The P/E is lower
The stock is undervalued
The stock is overvalued

Answers

The P/E is lower, and that is the appropriate statement among the options. So its True.

Based on the information provided, if the earnings per share (EPS) estimates have not changed, and the Netflix stock has dropped almost 50% in the last 3 months, we can make the following analysis:

The P/E ratio (Price-to-Earnings ratio) is calculated by dividing the stock price by the earnings per share. It is a commonly used valuation metric to assess the relative value of a stock.

Since the earnings per share estimates have not changed, we can assume that the denominator of the P/E ratio remains the same. If the stock price has dropped by almost 50%, while the earnings per share estimates are unchanged, the P/E ratio would decrease.

Therefore, the correct statement from the given choices is: The P/E is lower.

A lower P/E ratio suggests that the stock is relatively cheaper compared to its earnings. It may indicate that investors have become more pessimistic about the company's future prospects, leading to a decrease in the stock price. It could also suggest that the stock is trading at a discount relative to its historical valuation or compared to its industry peers.

However, it's important to note that assessing whether the stock is undervalued or overvalued based solely on the change in stock price and P/E ratio requires a more comprehensive analysis. Other factors such as the company's financial health, growth prospects, industry trends, and market conditions should also be considered before making a definitive conclusion about the stock's valuation.

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BOVE
Part C
Research online and Identify at least five skills that an administrator working for an automobile dealership would need. You can refer to job
descriptions provided by recruitment agencies. How do you think these skills will help newly appointed administrators to perform their job?

Answers

Answer:

Here are five key skills that an administrator in an automobile dealership would need:

Communication/interpersonal skills: Administrators would have to work with clients that come in for test drives. Having good interpersonal skills would help them respond to customers’ queries more effectively. A friendly and outgoing personality would make them more approachable for the customers. An ability to speak and understand multiple languages would help an administrator deal with customers who are not fluent in English. An administrator must be able to communicate effectively, both verbally and through nonverbal cues.

Organizational skills: Administrators need to be well organized in their work involving customers. They would be required to schedule and organize test drives, arrange meetings, keep a record of customers’ documents, handle car insurance matters, and provide other assistance to customers.

Prioritize: Administrators would have to handle several tasks (described earlier), so they should be able to prioritize and schedule tasks effectively.

Manage: An administrator would have to manage the daily operations, such as ensuring that customers submit authentic documents, making appointments, and scheduling test drives. The administrator is also responsible for managing employee behavior, safety, and compliance with the company’s policies.

Reasoning and mathematical skills: An administrator would need to have above-average mathematical skills in order to maintain the company’s accounts dealing with sales and servicing. The person would need logical reasoning skills to facilitate decision making and process management.

Explanation:

PLATO

What is location analysis

Answers

Answer:

Location analysis is a technique for discovering, assessing and specifying the optimal placement of an organization's people, information, activities, and materials.Location models are key in performing location analysis by providing a well-documented common vision of current and desired location arrangements.

Dave and Ellen are newly married and living in their first house. The yearly premium on their homeowner’s insurance policy is $650 for the coverage they need. Their insurance company offers a discount of 8 percent if they install dead-bolt locks on all exterior doors. The couple can also receive a discount of 4 percent if they install smoke detectors on each floor. They have contacted a locksmith, who will provide and install dead-bolt locks on the two exterior doors for $110 each. At the local hardware store, smoke detectors cost $24 each, and the new house has two floors. Dave and Ellen can install them themselves.

a. Assuming their insurance rates remain the same, how many years will it take Dave and Ellen to earn back in discounts the cost of the dead-bolts?

b. How many years will it take Dave and Ellen to earn back in discounts the cost of the smoke detectors? (Round your answer to 2 decimal places. )

c. Would you recommend Dave and Ellen invest in the safety items, if they plan to stay in that house for about 5 years?

Answers

It will take them $220/$52 = 4.23 years to earn back the cost of the dead-bolt locks.

It will take them 1.85 years to earn back the cost of the smoke detectors.

These safety items will provide them with peace of mind and protection against potential risks in their home.

a. Dave and Ellen will receive a discount of 8% on their homeowner’s insurance policy if they install dead-bolt locks on all exterior doors. The total cost of the two dead-bolt locks is $110 each, which means they will spend a total of $220. The discount on their insurance policy will be 8% of $650, which is $52. As a result, it will take them $220/$52 = 4.23 years to recoup their investment in the dead-bolt locks.

b. Dave and Ellen can also receive a discount of 4% on their insurance policy if they install smoke detectors on each floor. The cost of the smoke detectors is $24 each, and they need to install two detectors since their house has two floors. Therefore, the total cost of the smoke detectors will be $24 x 2 = $48. The discount on their insurance policy will be 4% of $650, which is $26. It will take them $48/$26 = 1.85 years to earn back the cost of the smoke detectors.

c. Yes, it would be recommended for Dave and Ellen to invest in the safety items if they plan to stay in that house for about 5 years. They will earn back the cost of the smoke detectors in less than two years and the cost of the dead-bolt locks in a little over four years. Additionally, these safety items will provide them with peace of mind and protection against potential risks in their home.


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Discuss the implications of demand and supply mismatches for
brand owners? (40%
of the mark). Using examples, evaluate how brand owners can
overcome problems
associated with managing demand and supply

Answers

Implications of demand and supply mismatches for brand owners: The demand and supply mismatches have different implications for brand owners. These implications include: 1. Overstocking of goods can increase the risk of obsolescence and spoilage, and lead to high holding costs that can be challenging to maintain.

2. Understocking of goods can lead to lost sales and dissatisfied customers.

3. A change in demand or supply can result in a change in price.

4. It may become difficult to maintain brand equity if demand and supply are not managed correctly.

5. Inconsistent brand messaging and product availability can negatively impact customer loyalty.

Examples of brand owners overcoming problems associated with managing demand and supply: Brand owners can overcome demand and supply problems by:

1. Forecasting demand: Brand owners can use forecasting techniques to predict future demand and ensure that they have enough supply to meet demand.

2. Adopting inventory management systems: Brand owners can implement inventory management systems to manage supply chains and track inventory levels to prevent stockouts and overstocks.

3. Diversifying the supplier base: Brand owners can diversify their supplier base to reduce the risk of supply chain disruptions.

4. Developing a flexible supply chain: Brand owners can develop a flexible supply chain to quickly respond to changing demand and supply conditions.

5. Developing alternative products: Brand owners can develop alternative products that can meet consumer demand and supply issues.

6. Enhancing collaboration with suppliers and customers: Brand owners can work closely with suppliers and customers to align supply with demand, reducing the impact of demand and supply mismatches.

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An invoice in the amount of $916 is subject to a trade discount of 10% and credit terms on 3/10, n/30. if the invoice is not paid within the discount period, the amount that would be paid to satisfy the invoice would be

Answers

The amount that would be paid to satisfy the invoice would be $824.40.

If an invoice of $916 is subject to a 10% trade discount and credit terms of 3/10, n/30, but is not paid within the discount period, the amount to satisfy the invoice would be calculated as follows.

1. Apply the trade discount to the invoice. Hence,

Discount = $916 x 0.10

Discount = $91.60

2. Subtract the discount from the original amount. Hence,

Invoice amount = $916 - $91.60

Invoice amount = $824.40

Since the invoice is not paid within the 3/10 discount period, the full amount after the trade discount ($824.40) would need to be paid to satisfy the invoice.

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A bond with a par value of $1,000.00 and a coupon rate of 9.75% has a current market value of $1,005.00. What is its yield to maturity? The bond has 9 years to maturity. 10.35% 9.86% 10.42% 9.94% 9.66%

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The bond's yield to maturity is 9.94% when a bond with a par value of $1,000.00 and a coupon rate of 9.75% has a current market value of $1,005.00.

To calculate the yield to maturity (YTM) of the bond, we need to use the present value formula and solve for the discount rate that equates the present value of the bond's cash flows to its current market value.

The coupon rate of the bond is 9.75%, and it has a par value of $1,000. The bond has 9 years to maturity. We can assume that the bond pays semi-annual coupons.

Using the present value formula for a bond's cash flows, the equation can be expressed as follows:

1,005 = (Coupon Payment / (1 + YTM/2)^1) + (Coupon Payment / (1 + YTM/2)^2) + ... + (Coupon Payment / (1 + YTM/2)^18) + (Par Value / (1 + YTM/2)^18)

Simplifying the equation and solving for YTM, we find that the yield to maturity is approximately 9.94%.

Therefore, the yield to maturity of the bond is 9.94%.

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The economy has an impact on _____?
a.
which jobs are seasonal
b.
the reasons why workplaces are different
c.
employment and unemployment
d.
how strictly rules at work are enforced

Answers

Answer:

The economy has an impact on employment and unemployment.

Answer:

employment and unemployment

A(n) _____ is a yearly document that describes a firm's financial status and usually discusses a firm's financial activities during the past year and its prospects for the future. trial balance firm summary annual report earnings report financial analysis

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An Annual record is a every year file that describes a firm's economic reputation and typically discusses a firm's economic sports all through the beyond 12 months and its potentialities for the future.

What is financial accounting standards?A file issued with the aid of using control to the shareholders of a organization, provides economic statistics and effects of operations for the beyond financial 12 months. Includes economic statements, notes to economic statements, control's dialogue and evaluation of economic condition, and the auditor's record. The income and loss (P&L) announcement is a economic announcement that summarizes the revenues, costs, and costs incurred all through a exact length, typically a financial area or 12 months. A financial 12 months is any 12-month length for which a organization reviews its economic statistics. It can begin and give up each time the organization chooses, as lengthy because it consists of 12 consecutive months. The calendar 12 months begins of evolved on January 1st and ends on December 31st.

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