Larry purchases land to be used for a new commercial headquarters. The items for which Capitalization happens include options a, c, d and e
This includes costs to remove an old building, legal fees to secure the title, title insurance, and grading the land.
Cost is the loss or penalty incurred especially in gaining something.
Cost capitalization refers to the practice of not recognizing the cost of a fixed asset, tangible or intangible, in the period it was incurred but rather expensing it over a period of time through depreciation or amortization, respectively.
With capitalized costs, the financial value will not leave the company with the purchase of an item, as it is retained in the form of a fixed or intangible asset.
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The private equity firm Clarence Partners is looking at a leveraged buyout
opportunity on the Longo Trattoria restaurant chain. Longo today (Year O) has a
capital structure of 75% equity, 25% debt. Its free cash flow last year (FCFO) was
$1 Million and it is expected to grow at constant rate of 8% per year. All its assets
are operating assets. Its WACC equals 14%. If Clarence invests in the deal (it
would acquire 100% of the company), it plans to exit at the end of Year 5, at
which point Longo's capital structure will be 90% equity and only 10% debt, and
its enterprise value (EV) will be estimated at 20 times its FCF in Year 5 (FCF5). All
interim cash flows will be used to pay down debt. Clarence has a minimum 35%
IRR hurdle rate.
1. What is Longo's value of equity today?
2. What will be Longo's value of equity at the end of Year 5?
3. How much equity should Clarence invest today if it is to meet exactly its
hurdle rate?
4. How much debt should Clarence contract, in addition to its equity
investment, in order to close the deal with Longo today?
Answer:
I dont know
Explanation:
Just want the points
What is black and white and read all over?
The thing that is black and white and read all over is known to be called the Newspaper.
What can be read everywhere in black on white?The use of the black and white in Newspaper is symbolic. The contrast of white and black (light and darkness, day and night) has a long history of metaphorical usage that may be seen in the Pythagorean Table of Opposites and dates back to the Ancient Near East. Both in Confucianism and Western culture, the contrast stands for the moral dualism of good and evil.
Note that Photography in black and white has a strong emotional appeal. An photograph naturally becomes more timeless and nostalgic when the color is removed from it, and it might take you back to bygone eras. Black & white photography forces us to pay attention to the image's narrative without getting sidetracked by color.'
Therefore, The news of the globe is published in newspapers. Newspapers offer general knowledge and information. News regarding a nation's economy, sports, business, etc., can be found in newspapers. It's a good habit to read the newspaper, and it's already a part of contemporary life and it is often done anywhere one find themselves.
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Which area is not protected by most homeowners insurance?
The home
Your view
Loss of use
Personal property
Homeowners insurance typically covers the home itself, personal property, and loss of use. But it does not cover the view from the home. So, the correct option is "Your view".
The view from a domestic isn't secured by Homeowners insurance since it isn't seen as a physical asset that can be insured.
The cost of repairs or substitution will not be secured by Homeowner's protections, if the house is harmed or destroyed by a secured event, such as a fire or surge. According to the perspective, they seem to have been able to get supplemental protections, but usually as a rule not secured by a conventional homeowner's security policy.
To understand what is and isn't covered, it is vital to carefully examine the Homeowner's insurance policy.
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Mazu Mavuso is a 43-year-old South African resident who was employed by Veg & Fruit Limited, a South African company, until 30 November 2022. On 30 November 2022, Veg & Fruit Limited ceased its operations and the pension fund that Veg & Fruit Limited established for its employees also closed down. The Veg & Fruit Limited pension fund paid out R80 000 to Mazu Mavuso during the 2023 year of assessment. All Mazu Mavuso's pension fund contributions have been deducted in the determination of his taxable Income. Mazu Mavuso also decided to join a retirement annuity fund, to which he made a total contribution of R7 000 during the 2023 year of assessment. For the 2023 year of assessment, Mazu Mavuzo's receipts and expenses were as follow: Salary Director's fees earned Local dividends from South African companies Local interest from a non 'tax free investment' Pension fund contributions at 6.5% of his salary Retirement annuity fund contributions Qualifying medical expenses paid Donation to a qualifying section 18A Public Benefit Organisation R 720 000 110 000 45 000 24 500 ? 7 000 61 630 6 000 Calculate Mazu Mavuso’s taxable income for the 2023 year of assessment. (25 marks) 1.2) Calculate Mazu Mavuso’s total normal tax liability for the 2023 year of assessment. Assume that Mazu Mavuso had a taxable income of: • R770 900 before any retirement fund lump sum withdrawal benefits. • R843 900 after any retirement fund lump sum withdrawal benefits. (17 marks) Competency Framework Reference: E1.2 Interpretation of tax legislation b) Demonstrate the ability to apply the principles of tax interpretation to any new or unfamiliar tax legislation. E1.3 Application of tax legislation to calculate tax obligation a) Analyse the taxpayer’s tax profile. c) Apply the relevant law to the facts, determine the tax position and compute the tax payable (VAT or normal tax) for individuals and companies.
Explanation:
to calculated this question to solve
Libby bought 250 stocks of a company named Xylet last year. Xylet’s total earning for the year is $ 4million and it has 1,000,000 outstanding stocks. What is Xylet’s Earning per share (EPS)?
A.
4
B.
0.04
C.
40
D.
400
Answer:
4
Explanation:
Betterton Corporation uses an activity based costing system to assign overhead costs to products. In the first stage, two overhead costs—equipment depreciation and supervisory expense-are allocated to three activity cost pools—Machining, Order Filling, and Other—based on resource consumption. Data to perform these allocations appear below:
Overhead costs:
Equipment depreciation $ 49,000
Supervisory expense $ 3,000
Distribution of Resource Consumption Across Activity Cost Pools:
Activity Cost Pools
Machining Order Filling Other
Equipment depreciation 0.50 0.30 0.20
Supervisory expense 0.10 0.40 0.50
In the second stage, Machining costs are assigned to products using machine-hours (MHs) and Order Filling costs are assigned to products using the number of orders. The costs in the Other activity cost pool are not assigned to products. Activity data for the company's two products follow:
Activity: Activity:
MHs (Machining) Orders (Order Filling)
Product A8 3,000 500
Product K2 17,000 1,500
Total 20,000 2,000
What is the overhead cost assigned to Product A8 under activity-based costing?
Answer:
$7,695
Explanation:
The computation of overhead cost assigned to Product A8 under activity-based costing is shown below:-
Overhead Amount Machining Amount Order Amount Other Amount
Filling
Equipment
Depreciation $49,000 0.5 $24,500 0.3 $14,700 0.2 $9,800
Supervisory
Expense $3,000 0.1 $300 0.4 $1,200 0.5 $1,500
Total $52,000 $24,800 $15,900 $11,300
Cost per Activity pool unit
Particulars Machining Order Filling Allocated Cost a $24,800 $15,900
Activity b 20,000 hours 2,000 order Fillings Cost per Activity pool unit 1.24 7.95
c = a ÷ b per machine Hour per order fillings
Here, in reference to Product A8
Machine Hours 3,000
Cost per Activity pool unit 1.24 per Machine Hour
Total Cost 3,720
To reach total cost we simply multiply the machine hours with cost per activity pool unit
Order Filling 500
Cost per Activity pool unit 7.95 per order fillings
Total Cost 3,975
To reach total cost we simply multiply the order filling with cost per activity pool unit
Total Overhead cost assigned to Product A8 = Total cost of machine hours + Total cost of order filling
= $3,720 + $3,975
= $7,695
Which of the following would appear in the cash flows from investing activities section of the statement of cash flows?
a. Cash received from stock issued
b. Cash received from bonds payable
c. Depreciation expense on equipment
d. Cash paid for equipment
The correct answer is:
d. Cash paid for equipment
Cash flows from investing activities include transactions related to the acquisition or sale of long-term assets such as property, plant, and equipment. Cash paid for the purchase of equipment would be categorized as an investing activity because it involves the outflow of cash for the acquisition of a long-term asset.
lorelei's trust fund will pay her $10,000 a year for the next 30 years. The current value of these payments is called the: g
The current value of these payments to Iorelei from her trust fund is called the present value of an annuity.
What is the present value of an annuity?When a set payment is made every period then this is called an annuity. The amount of $10,000 that Iorelei is receiving is therefore an annuity.
The current value of this annuity is therefore the present value of an annuity.
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The right to a safe and healthy workplace is accurately described by which statement? Group of answer choices Over recent years no new categories of accidents or illnesses have emerged. Extensive training and careful precautions are necessary to avoid accidents, injuries, and illness. A very limited number of jobs are potentially hazardous to workers’ safety and health. Regulations and enforcement have failed to curb worker accidents.
Answer:
The correct answer is the second option: Extensive training and careful precautions are necessary to avoid accidents, injuries and illness.
Explanation:
To begin with, all of the other options are describing the fact that the laws that regulate the workplace environment are no necessary or state that are enough. That is why that in the option chosen it is stated that it is absolutely necessary to have extensive training in the areas of work, specially those who are danger, and to take precautions around all so that the accidents can be prevented and the injuries will no happen as well as the illnesses. Therefore that the right to a safe workplace is accurately described by that statement.
Sandra’s Purse Boutique has the following transactions related to its top-selling Gucci purse for the month of October. Sandra's Purse Boutique uses a periodic inventory system.
Date Transactions Units Unit Cost Total Cost
October 1 Beginning inventory 6 $ 790 $ 4,740
October 4 Sale 4
October 10 Purchase 5 800 4,000
October 13 Sale 3
October 20 Purchase 4 810 3,240
October 28 Sale 7
October 30 Purchase 8 820 6,560
$ 18,540
3. Using LIFO, calculate ending inventory and cost of goods sold at October 31
The cost of goods sold (COGS) was $17,260, and the ending inventory was $3,160 using the LIFO method.
The LIFO method (last-in, first-out) of inventory valuation requires that the most recent purchases of inventory be used first in the cost of products sold and ending inventory calculations. The ending inventory and cost of products sold at the end of October will be calculated using the LIFO method, based on the data given in the table.Based on the data given, the total units sold is 14, and the total units purchased is 17. Here's how to calculate the ending inventory and cost of products sold using the LIFO method:Step 1: The last purchase of 8 units at a cost of $820 each on October 30 is deducted from the inventory count, leaving 9 units.Step 2: The previous purchase of 4 units at a cost of $810 each on October 20 is deducted from the inventory count, leaving 5 units.Step 3: The next purchase of 5 units at a cost of $800 each on October 10 is deducted from the inventory count, leaving 0 units.Step 4: Based on the LIFO method, the cost of the ending inventory is the sum of the cost of the oldest units remaining in stock, which is 4 units at a cost of $790 each on October 1, totaling $3,160.Step 5: Based on the LIFO method, the cost of goods sold (COGS) is calculated by adding the total cost of units sold, which is 14 units at a cost of $820 each on October 30, 4 units at a cost of $810 each on October 20, and 5 units at a cost of $800 each on October 10, totaling $17,260.Therefore, the cost of goods sold (COGS) was $17,260, and the ending inventory was $3,160 using the LIFO method.For more questions on cost of goods sold (COGS)
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When transporting food items off site the label should include?
Organizations working in the food business face a significant test: food transport. For this strategic move toward be done proficiently and without misfortunes, there are a progression of precautionary measures to be noticed.
On account of transport, it should be broke down whether the item is moved at the ideal temperature, whether the vehicle is perfect, without any vectors and vermin.
Hence, while shipping food off-site, the mark should incorporate the name of the food, termination date and time and guidelines for lead and conveyance.
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7. White has previously said that we need a new way to think about being old in America. She is calling on artists, change agents, and social entrepreneurs to help imagine a change that will better the life of older, retired people. Discuss how you think that we, as a nation, could improve the personal finance crisis?
Personal crisis could be resolved by a nation if more jobs opportunity are created.
What is personal financial crisis?A personal financial crisis comes when an individual does not have enough money to cater for his or her needs.
This could have happened dues to loss Job, theft, bankruptcy or a sudden medical illness.
Therefore, Personal crisis could be resolved by a nation if more jobs opportunity are created, empowerment programs and funding are made available for those who do not have.
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You decide to decrease the price of your product to increase total sales revenue, because you believe your product's demand is
A) perfectly inelastic
B) unit elastic
C) price elastic
D) price inelastic
Answer:
C) price elastic.
Explanation:
The operating budget provides a roadmap for financial plans for a short-term, future period. What is a typical “future period” for an operating budget?
An operating budget is a financial statement that outlines the organization's expenditures and revenues for a specific period.
The operating budget is typically for a fiscal year, which is usually twelve months. The future period for an operating budget is usually a fiscal year or less than a year. The operating budget is critical because it establishes guidelines for financial activities and operations in an organization. It provides a roadmap for financial plans for a short-term, future period, which typically begins on January 1st and ends on December 31st.
An organization creates an operating budget to aid in the allocation of resources and expenditures to achieve its objectives for a given period. A typical operating budget is for a fiscal year. A fiscal year is the period when an organization prepares its financial statements. It is usually 12 months, but it may be shorter or longer depending on the organization. An operating budget typically covers one fiscal year; however, it may be longer or shorter based on the organization's preferences.
The future period for an operating budget is frequently updated to reflect the company's current situation and financial standing. It takes into account the actual results of the previous period and the estimated expenditures and revenues for the upcoming year to develop the operating budget for a future period.
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future value can be found if the interest rate ( i), the number of periods ( n), and the present value ( p) are known.
It depends on what you mean by “solve.” If you’re given the interest rate and the number of periods, you can determine the ratio of the future value to the present value.
The present value problem and the future value problem are actually the same problem, one moving forward and the other backward. But they are based on the same formula.
Without initial conditions of what to add or discount, there is not enough information to determine what the total would be at any other point in time.
yes no. You need one to get the other. However, you can get a percentage of face value. For example, he knows that the payment will be made in 5 years. I think you can get 200%. Now use the rate per period and the number of periods to calculate the present value expressed as a percentage.
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Consider how Hunter Valley, a popular ski resort, could use capital budgeting to decide whether the $9 million River Park Lodge expansion would be a good investment.
Assume that Hunter Valley uses the straight-line depreciation method and expects the lodge expansion to have a
Assume that Hunter Valley's managers developed the following estimates concerning a planned expansion to its River Park Lodge(all numbers assumed):
Number of additional skiers per day 122
Average number of days per year that weather
conditions allow skiing at Flint Valley 162
Useful life of expansion (in years) 9
Average cash spent by each skier per day $245
Average variable cost of serving each skier per day $142
Cost of expansion $9,000,000
Discount rate 12%
residual value of $500,000 at the end of its nine-year life. Requirement 1. Compute the average annual net cash inflow from the expansion. 2. Compute the average annual operating income from the expansion. First enter the? formula, then compute the average annual operating income from the expansion.? (Round your answer to the nearest? 3. Compute the payback period. 4. Compute the ARR.
Answer:
1.$2,035,692
2.$1,091,248
3.8.24 years
4.22.97%
Explanation:
Hunter Valley
1. Computation for the average annual net cash inflow from the expansion.
Formula for Average annual net cash inflow from operation
= Numbers of skiers day * Contribution margin per skier
(122*162) * ($245 - $142)
=19,764*$103
= $2,035,692
2.Computation for the average annual operating income from the expansion
Formula for Average annual operating income from expansion
= Annual cash inflow - Depreciation
= $2,035,692 - ($9,000,000 - $500,000) / 9
= $2,035,692-$8,500,000/9
$1,091,248
3.Computation for the Payback period
Payback period = Initial investment / Annual cash inflows
= $9,000,000 / $1,091,248
= 8.24 years
4.Computation for the ARR
ARR = Average annual income / Average investment
Hence:
Average investment = (Cost +Residual value) / 2
= ($9,000,000 +$500,000) / 2
=$9,500,000/2
= $4,750,000
ARR = $1,091,248 / $4,750,000
=0.2297×100
= 22.97%
Which of the following sections of a business plan comes first but should be written last?
A. Goals and Strategy
B. Executive Summary
C. Products and Services
D. Funding Request
Please select the best answer from the choices provided
A
B.
С
D
Answer:
B. Executive Summary
Explanation:
Executive Summary is a business plan which comes first and should be written last
Answer:
B, Executive Summary.
Explanation:
Hope this helped!
Dufner Co. issued 17-year bonds one year ago at a coupon rate of 6.3 percent. The bonds make semiannual payments. if the YMT on these bonds is 5.5 percent, what is the current dollar price assuming a par value of $1,000?
Answer:
-_-
Explanation:
-
The order of presentation of activities on the statement of cash flows is______________
1 point
a) Operating, Investing, and Financing.
b) Operating, Financing, and Investing.
c) Financing, Operating, and Investing.
d) Financing, Investing, and Operating.
The order of presentation of activities on the statement of cash flows is Operating, Financing, and Investing.
The option (B) is correct.
Cash flows are classified and introduced into working exercises (either utilizing the 'immediate' or 'circuitous' technique), contributing exercises, or funding exercises, with the last two classes commonly introduced on a gross premise. as it shows whether the business has sufficient fluid money to put in now is the ideal time and invest in assets.
When creating your income statement, list incomes first. Then, at that point, drill down any costs your organization had during the period and take away the costs from your income. The lower part of your pay proclamation will let you know whether you have a net gain or shortfall for the period.
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Conan, a hotel owner, has recently decided to go ahead and pay the fee in order to be included in a GDS system. Why is this likely worth paying a fee to Conan?
It is worth paying a fee to Conan because the GDS is often used to tap into the corporate travel market. GDS has the ability to present hotels, flights, and car rentals in one simple interface providing convenience for users.
What is the significance of GDS to the hoteliers?GDS is a network or platform that permits travel agencies and their clients to have access to travel data, shop for and compare hotel options and book travel. GDS platform like the other systems in similar business earns a lot of money or profit in global travel sales.
Therefore, the correct answer is as given above.
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This interview type is used to determine which applicants have the necessary qualifications and will continue to the next level of interviews.
a.
Group interview
b.
Performance interview
c.
Stress interview
d.
Screening interview
Answer: D
Explanation: Screening interviews are conducted to determine if an applicant is qualified for a job and it is typically the first round of hiring process
Concerning segmentation criteria, _____ refers to the degree to which information on the particular buyer characteristic exists or can be obtained.
Concerning segmentation criteria, Data availability refers to the degree to which information on the particular buyer characteristic exists or can be obtained.
The five requirements for efficient market segmentation are as follows: Your market's size and purchasing power profiles should be quantifiable, which means there should be statistics available. The profiles and data of a consumer give marketing strategists the knowledge they need to execute their campaigns. In contrast to many others, demographic factors are also quite simple to quantify. The market can be segmented using psychographic market segmentation criteria based on factors including socioeconomic class, lifestyle, and personality. For a detailed explanation of how to use psychgraphics as a potent segmentation criterion in marketing, see this page.
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Straight-Line Depreciation A refrigerator used by a wholesale warehouse has a cost of $99,350, an estimated residual value of $5,100, and an estimated useful life of 10 years. What is the amount of the annual depreciation computed by the straight-line method
Answer:
See below
Explanation:
Given the above, straight line method of annual depreciation is
= Cost of purchase - Residual value / Number of useful life
Cost of purchase = $99,350
Residual value = $5,100
Number of useful life = 10
= $99,350 - $5,100 / 10
= $94,250 / 10
= $9,425
Therefore, the amount of annual depreciation computed by the straight line method is $9,425
What are the (3) three principal organizations designed to facilitate international trade? (List)
The three principal organizations designed to facilitate international trade are - Option D, E and F
World BankE. World Trade OrganizationF. International Monetary FundInternational trade is the buying and offering of labour and products by organizations in various nations. Purchaser merchandise, unrefined substances, food, and hardware all are traded in the international marketplace.
Worldwide exchange permits nations to extend their business sectors and access labour and products that in any case might not have been accessible locally. Because of global exchange, the market is more cutthroat. This eventually brings about more cutthroat evaluation and brings a less expensive item home to the purchaser.
Worldwide exchange was critical to the ascent of the worldwide economy. In the worldwide economy, the organic market — and subsequently costs — both affect and are affected by worldwide occasions. Political change in Asia, for instance, could bring about an expansion at the expense of work. This could build the assembling costs for an American shoe organization that is situated in Malaysia, which would then bring about an expansion in the cost charged for a couple of tennis shoes that an American customer could buy at their neighbourhood shopping centre.
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Complete Question -
Identify the three principal organizations designed to facilitate international trade.
A. NATO
B. NAFTA
C. United Nations
D. World Bank
E. World Trade Organization
F. International Monetary Fund
Elaine and Ronald Sumter consider purchasing a new home for $179,000. A 15 percent down payment is required. What is the
amount of the mortgage loan needed to finance the purchase?
A)
$11.933.33
B)
$26,850.00
$152,150.00
C)
D)
$205,850.00
Answer:
$152,150.00
Explanation:
The deposit required is 15%.
The mortgage will be 85% of $179,000( 100% - 15% deposit).
The actual mortgage will be
= 85% of $179,000
=85/100 x $179,000
=0.85 x $179,000
=$152,150
THIS IS FOR CULINARY
A contingency plan for labor may include (choose one answer)
A. taxes
B. insurance
C. cross trained employees
D. layoffs
Answer:
D. layoffs
Explanation:
A contingency plan is an alternative plan of action in case of unexpected outcomes. It is devised and kept in place to be implemented in bad times. A contingency plan is a sort of a risk mitigation plan to help the business navigate through a bad situation efficiently.
A contingency plan for labor include measures that can help a business overcome tough seasons. The business may need to layoff some employees to save on labor in times of economic downtime
According to the box "Reaching Beyond Our Borders, Tesla was able to do the impossible feat of
Multiple Choice
opening up a new auto plant in China in under 18 months.
sending the first U.S. citizen to the moon.
building an electric bicycle that can be recharged on solar power.
building over 1 million vehicles each year.
Answer: Based on the information provided in the box “Reaching Beyond Our Borders,” the correct answer would be option A: opening up a new auto plant in China in under 18 months.
In the indicated time, Tesla indeed managed to complete the incredible achievement of opening a new auto manufacturing plant in China in under 18 months, a testament to their commitment to advancing the use of renewable energy and marking a significant expansion in their global presence.
Explanation:According to the box 'Reaching Beyond Our Borders', Tesla was able to accomplish the seemingly impossible feat of opening up a new auto plant in China in under 18 months. This accomplishment was striking as it signified a significant leap towards promoting sustainable energy on a global level, given Tesla's primary focus on electric vehicles. Meanwhile the options of - sending the first U.S. citizen to the moon, building an electric bicycle that can be recharged on solar power, and building over 1 million vehicles each year - do not correctly match the facts reportedly associated with Tesla's activities within the given timeframe.
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_____ is the careful coordination of all promotional activities to produce a consistent, unified message that is customer focused a) Promotional mixing b) Interpersonal and mass communications approach c) Integrated marketing communications d) Promotional mixing e) Creative selling f) Relationship marketing
Answer:
d
Explanation:
_ is the careful coordination of all promotional activities to produce a consistent, unified message that is customer focused a) Promotional mixing b) Interpersonal and mass communications approach c) Integrated marketing communications d) Promotional mixing e) Creative selling f) Relationship marketing
What are two cons of using a credit card?
Which part of the LRAS curve looks similar to a " Classical LRAS^ prime prime curve?
A. The Segment between A and B
B. The Segment between B and C
C. The Segment between C and D
D. The Segment between A and C
Answer:
C. The segment between C and D
Explanation:
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