Llungby AB spent 1,000,000 krone in 2020 on the development of a new product. The company determined that 25 percent of this amount was incurred after the criteria in IAS 36 for capitalization as an intangible asset had been met. The newly developed product is brought to market in January 2021 and is expected to generate sales revenue for five years. Assume that Llungby AB is a foreign company using IFRS and is owned by a company using U. S. GAAP. Thus, IFRS balances must be converted to U. S. GAAP to prepare consolidated financial statements. Ignore income taxes. Required: Prepare journal entries for development costs for the years ending December 31, 2020, and December 31, 2021, under (1) IFRS and (2) U. S. GAAP. Prepare the entry(ies) that the U. S. Parent would make on the December 31, 2020, and December 31, 2021, conversion worksheets to convert IFRS balances to U. S. GAAP

Answers

Answer 1

Journal entries for development costs for the years ending December 31, 2020, and December 31, 2021, under IFRS: Development costs 250,000 krone, Cash 250,000 krone

December 31, 2021: Development costs 750,000 krone Cash 750,000 krone

Journal entries for development costs for the years ending December 31, 2020, and December 31, 2021, under U.S. GAAP:

December 31, 2020:

Development costs 0

Cash 0

December 31, 2021:

Development costs 750,000 krone

Cash 750,000 krone

Under IFRS, development costs can be capitalized if certain criteria are met, including that the development costs can be reliably measured, it is probable that the future economic benefits will flow to the company, and the company has the ability to use or sell the intangible asset.

In this case, 25% of the 1,000,000 krone spent on the development of the new product can be capitalized, which amounts to 250,000 krone in 2020 and 750,000 krone in 2021. The journal entries for both years under IFRS involve debiting the Development Costs account and crediting the Cash account for the same amount.

Under U.S. GAAP, development costs are generally expensed as incurred, except for certain costs related to the development of computer software.

Therefore, there are no journal entries for development costs in 2020 under U.S. GAAP. However, in 2021, the capitalized amount of 750,000 krone under IFRS must be recorded as an intangible asset. Therefore, the journal entries under U.S. GAAP in 2021 involve debiting the Intangible Asset account and crediting the Cash account for the same amount.

Finally, when preparing consolidated financial statements, the U.S. parent company must convert the IFRS balances to U.S. GAAP using the appropriate exchange rate at the balance sheet date.

The conversion entries for both years involve translating the Development Costs and Cash accounts using the exchange rate in effect at each balance sheet date.

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Related Questions

Many internal service challenges are the result of difficult people in the organization. Group of answer choices a True b False
Complete the following sentence: Acknowledge that we work in a diverse world
Group of answer choices
A. …and there are many difference in how people look, talk, think and act
B. …where there always will be conflict and strife.
C. …which makes it difficult to stay focused.

Answers

The answer to the question is "True."Many internal service challenges are the result of difficult people in the organization. This statement is true. There are many internal service challenges that can affect the operations of an organization, and difficult people in the organization can exacerbate these challenges.

In organizations, individuals are likely to encounter people who are hard to work with or who don't share the same goals and values.Acknowledge that we work in a diverse world and there are many differences in how people look, talk, think and act. This sentence emphasizes the importance of recognizing diversity in our world. When working in an organization or interacting with people from various backgrounds, it's crucial to recognize and appreciate diversity.

The differences in appearance, language, thinking, and behavior make the world a diverse and interesting place to live. Many internal service challenges are the result of difficult people in the organization. A. Acknowledge that we work in a diverse world and there are many differences in how people look, talk, think, and act.

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Anne Jenkins is a finance manager for J.L.N. Used Cars (JLN), a used-car business with about 30 dealerships. She is in charge of running the company's financing program. She sets terms for loans provided through the dealerships. She also manages a team that works directly with dealerships to ensure that loans are promoted and granted appropriately.
on Tuesday, she woke at 5:45 a.m. before getting out of bed, she pulled out her iPad to check email and her to-do list. She already had roughly a dozen messages from colleagues, and she wanted to respond to each of these messages before a series of meetings that would begin at 10:00 a.m. On her to-do list for the day, She had several writing tasks, including a memo to dealership managers about changes in financing eligibility and purchasing plus an email to the dealership managers about developing customer profiles for dealership financing. She also wanted to write an email to the personnel director requesting compensation for mileage for several recent trips. since she also expected an additional dozen or so email messages that would require responses throughout the day, she knew she'd need to be efficient with her writing.
A. Anne wants to better understand the customer profile of those who choose to finance their car purchases through the dealerships. she most likely to put in this message?
-Claim, rationale, call to action, goodwill
-Goal, directions, goodwill
-Request, rationale, call to action, goodwill
-Attention, announcem

Answers

As Anne wants to better understand the customer profile of those who choose to finance their car purchases through the dealerships, she is most likely to put "Request, rationale, call to action, goodwill" in this message. Therefore, the correct option is C.

In Anne's message to better understand the customer profile of those who choose to finance their car purchases through the dealerships, she would most likely include the following elements:

1. Request: Anne would start by asking the dealership managers to provide information on customer profiles for those who opt for financing through the dealerships.

2. Rationale: She would explain the reason behind this request, such as improving the financing program or tailoring it better to meet customer needs.

3. Call to action: Anne would provide clear instructions on what information she needs from the dealership managers and possibly set a deadline for them to provide this information.

4. Goodwill: Finally, she would close the message by expressing her gratitude for their cooperation and offering support if they need assistance in gathering the requested information.

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the wage rate is $20 per hour and the last worker hired by the firm increased output by 100 units. computers rent for $50 per hour and the last computer rented by the firm increased output by 200 units. if the firm is producing the desired level of output, what should the firm do to minimize costs?

Answers

To minimize costs, the firm should allocate its resources such as labor and capital in a way that maximizes its output at the lowest cost.

In this case, the firm should compare the marginal cost of labor with the marginal cost of capital to determine the most cost-effective combination of inputs.

Assuming that the last worker hired and the last computer rented are equally productive, the firm should calculate the marginal product per dollar spent on each input.

The marginal product of labor is 100 units per hour and the marginal cost of labor is $20 per hour, which means that the firm's marginal product per dollar spent on labor is 5 units per dollar.

On the other hand, the marginal product of capital is 200 units per hour and the marginal cost of capital is $50 per hour, which means that the firm's marginal product per dollar spent on capital is 4 units per dollar.

Therefore, based on these calculations, the firm should hire more workers and reduce its use of computers.

Specifically, the firm should hire workers up to the point where the marginal product per dollar spent on labor equals the marginal product per dollar spent on capital. This will help the firm to produce the desired level of output at the lowest cost.

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Tailwind Inc. , produces high-quality but expensive training shoes for runners. The Tailwind show, which sells for $210, contains both gas- and liquid-filled compartments to provide more stability and better protection against knee, foot, and back injuries. Manufacturing the shoes requires 10 separate tasks. There are 400 minutes available for manufacturing the shoes in the plant each day. Daily demand is 60. The information for the tasks is as follows (with time in minutes): What is the system Cycle Time and the minimum number of workstations

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The system cycle time is 15 minutes and the minimum number of workstations required is 6. This means that Tailwind Inc. can produce a maximum of 26 pairs of shoes per day.

To calculate the system cycle time and the minimum number of workstations required for Tailwind Inc., we need to perform the following steps:

1. Calculate the total time required to produce one pair of shoes:

Total time = Sum of task times = 3 + 9 + 15 + 7 + 10 + 4 + 6 + 8 + 5 + 10 = 77 minutes

2. Calculate the theoretical maximum production rate:

Theoretical maximum production rate = Available time / Cycle time

where Available time = 400 minutes per day (given)

To calculate the cycle time, we need to find the bottleneck task, which is the task with the longest time:

Bottleneck task = 15 minutes (Task 3)

Cycle time = Bottleneck task time = 15 minutes

Theoretical maximum production rate = 400 / 15 = 26.67 pairs per day

3. Calculate the minimum number of workstations required:

Minimum number of workstations = Total time / Cycle time

Minimum number of workstations = 77 / 15 = 5.13 (rounded up to 6)

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Select the statement that correctly explains the relationship between interest rates and present or future value

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The relationship between interest rates and present or future value is, "Assuming other variables stay the same, if the interest rate decreases, the future value of an investment increases."

This means that as the interest rate decreases, the investment grows at a faster rate, resulting in a higher future value. This is because when the interest rate decreases, the cost of borrowing decreases, making it easier for individuals and businesses to invest and borrow money. As a result, the value of an investment in the future is higher when the interest rate is lower.

It is important to note that the interest rate and the future value of an investment are inversely related. This means that when the interest rate goes up, the future value of an investment goes down, assuming all other variables stay the same. Similarly, assuming other variables stay the same, if the interest rate decreases, the present value of an investment decreases. Therefore, the correct option is Assuming other variables stay the same, if the interest rate decreases, the future value of an investment increases.

The complete question is:

Select the statement that correctly explains the relationship between interest rates and present or future value.

Assuming other variables stay the same, if the interest rate decreases, the future value of an investment increases.

The interest rate and the future value of an investment are inversely related.

Assuming other variables stay the same, if the interest rate decreases, the present value of an investment decreases.

Assuming other variables stay the same, if the interest rate increases, the future value of an investment increases.

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Which type of team is designed to complete a specific task in a given timeframe and involve workers essential to accomplishing the initiative

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Task Forces: These teams are created with the specific intent of working on a single project or solving a highly pressing issue. For their companies, project teams work on specific projects.

Project team members often represent several departments and carry out duties in accordance with their skill levels. A cross-functional team is made up of individuals with various specialties who work together to accomplish a shared objective.

Employees from various divisions and levels usually participate. Functional work teams are teams at the workplace made up of employees from different organizations that collaborate to achieve a single organizational goal. The accounting division is a good illustration.

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1. Assume a firm owns a small warehouse. The warehouse is subject to the risk of a fire. Below is the probability distribution for losses: Loss ($) P(Loss) 0 0. 75 10,000 0. 15 15,000 0. 07 20,000 0. 03 The firm has six current risk management options it can use to manage this risk: [1] Retention with a worry value of $3,000. [2] Insurance policy with a FA of $10,000, a premium of $2,900. This option has a worry value of $2,500. [3] Insurance policy with a face amount (FA) of $12,000, a premium cost of $3,200. Also Implement a loss reduction program that costs $400 and changes the probability of a $0 loss to 78% and eliminates the potential of a $20,000 loss. All other loss probabilities stay the same. This option has a worry value of $2,000. [4] Insurance policy with a face amount (FA) of $20,000 with a premium cost of $5,000 and a deductible of $700. This option has a worry value of $600 [5] Insurance of $20,000 with a premium cost of $6,000. A. Construct a loss matrix. What is the expected cost for each option

Answers

The expected costs for each option calculated from the probability distribution are 1. $5,250 2. $2,925 3. $1,740 4. $1,750 5. $2,400.

To construct a loss matrix, we first calculate the expected loss for each option by multiplying each loss amount by its probability of occurrence and summing the products.

For option [1], the expected loss is $5,250 ($0.750 + $0.1510,000 + $0.0715,000 + $0.0320,000 - $3,000).

For option [2], the expected loss is $2,925 ($0.752,900 + $0.15(10,000-10,000) + $0.07*(15,000-10,000) + $0.03*(20,000-10,000) - $2,500).

For option [3], the expected loss is $1,740 ($0.78*(3,200+400) + $0.07*(15,000-20,000) + $0.15*(10,000-12,000)).

For option [4], the expected loss is $1,750 ($0.755,000 + $0.15(10,000-700-10,000) + $0.07*(15,000-700-10,000) + $0.03*(20,000-700-10,000) - $600).

For option [5], the expected loss is $2,400 ($0.756,000 + $0.15(10,000-20,000) + $0.07*(15,000-20,000) + $0.03*(20,000-20,000)).

The loss matrix is a table that shows the expected cost of each option under different loss scenarios. The rows represent the possible losses, and the columns represent the different risk management options.

The expected cost for each option can be obtained by summing the expected loss and the cost of the option. The loss matrix is as follows:

                   Option 1 Option 2    Option 3     Option 4    Option 5

$0             $5,250 $5,425    $4,140       $5,050    $6,400

$10,000      $2,925 $2,925    $2,925       $2,925    $2,925

$15,000     $1,740         $1,740    $1,740       $1,740

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The Classic Car Co. Has a before-tax cost of debt capital of 9%, a cost of preferred stock of 10%, a cost of equity capital of 14%, and a marginal tax rate of 40%. The market values of its debt, preferred stock and common stock are $40 million, $20 million, and $60 million respectively. Therefore, for evaluating average risk projects, the manager should use a discount rate of _____. (Do not round intermediate calculations. Round final answer to two decimal places. )

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The manager should use a discount rate of 12.56% for evaluating average risk projects.

To calculate the discount rate for evaluating average risk projects, we need to find the weighted average cost of capital (WACC). The WACC is a combination of the costs of debt, preferred stock, and equity capital, each weighted by its respective proportion in the company's capital structure. Here's a step-by-step explanation:

1. Calculate the after-tax cost of debt: Before-tax cost of debt (9%) * (1 - marginal tax rate (40%)) = 9% * (1 - 0.4) = 5.4%.

2. Calculate the proportion of each component in the capital structure:
- Debt: $40 million / ($40 million + $20 million + $60 million) = 0.4
- Preferred stock: $20 million / ($40 million + $20 million + $60 million) = 0.2
- Common stock: $60 million / ($40 million + $20 million + $60 million) = 0.6

3. Multiply the cost of each component by its proportion:
- Debt: 5.4% * 0.4 = 2.16%
- Preferred stock: 10% * 0.2 = 2%
- Equity capital: 14% * 0.6 = 8.4%

4. Add the weighted costs together to get the WACC:
WACC = 2.16% + 2% + 8.4% = 12.56%

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which of the following acquisitions would be considered the least related? group of answer choices a candy manufacturer purchases a chemical laboratory specializing in food flavorings. an upscale sushi restaurant chain acquires a travel agency. a chain of garden centers acquires a landscape architecture firm. a hospital acquires a long-term care nursing home.

Answers

"An upscale sushi restaurant chain acquires a travel agency" that acquisitions would be considered the least related. So the option B is correct.

This acquisition would be considered the least related because the two businesses have very different operations and customer bases. Sushi restaurants focus on providing high-end food to customers, while travel agencies specialize in helping people book flights and other travel arrangements.

The two businesses are also in different industries, so the acquisition would require a significant amount of restructure and reorganization. Furthermore, the travel industry is currently in a state of flux due to the COVID-19 pandemic, which may make the acquisition more difficult.

In addition, the sushi restaurant chain would need to develop new marketing strategies and sales channels to reach the travel agency's customers, which could be a significant challenge. So the option B is correct.

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The complete question is:

Which of the following acquisitions would be considered the least related?

Group of answer choices

A. a candy manufacturer purchases a chemical laboratory specializing in food flavorings.

B. an upscale sushi restaurant chain acquires a travel agency.

C. a chain of garden centers acquires a landscape architecture firm.

D. a hospital acquires a long-term care nursing home.

in the long run, assume a firm uses both labor and capital to produce 25 units of output. the marginal product of the last unit of labor being employed is 100 ; the marginal product of the last unit of capital being employed is 500 . the wage rate of labor is $10 . if the firm is minimizing the cost of producing 25 units of output, what must be the unit price of capital?

Answers

If the firm is minimizing the cost of producing 25 units of output, the unit price of capital must be $50.

The firm is minimizing the cost of producing 25 units of output by using both labor and capital. The marginal product of the last unit of labor being employed is 100 and the wage rate of labor is $10, meaning that the marginal cost of employing one extra unit of labor is $10.

The marginal product of the last unit of capital being employed is 500, and the firm must pay $50 for one extra unit of capital. The cost of producing 25 units of output is minimized when the firm pays $50 for each unit of capital and $10 for each unit of labor.

This means that the unit price of capital must be $50 in order for the firm to minimize the cost of producing 25 units of output.

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you own an office building that is currently vacant but are entertaining offers from two different potential tenants for a 5-year term. one offer is a 5-year lease starting with rent of $125,000 next year and will increase at 4% per year. the other potential tenant prefers a fixed lease payment that will not increase over the 5-year lease. what is the minimum fixed annual rental payment you would accept for a five-year agreement? use a discount rate of 10%.

Answers

The minimum fixed annual rental payment that would be acceptable for a five-year lease is $500,000, as this amount has a higher present value than the lease with increasing rent.

To determine the minimum fixed annual rental payment that would be acceptable for a five-year lease, we need to calculate the present value of the future rental cash flows for both lease options and compare them.

For the lease with increasing rent, we can use the formula for the present value of a growing perpetuity to calculate the present value of the rental cash flows:

PV = C / (r - g)

where PV is the present value, C is the initial cash flow, r is the discount rate, and g is the growth rate.

Using this formula, we can calculate the present value of the rental cash flows for the lease with increasing rent:

PV = $125,000 / (0.1 - 0.04) x (1 - (1 + 0.04)^-5)

PV = $455,737.53

For the fixed lease payment, we can simply calculate the present value of an annuity formula:

PV = C x ((1 - (1 + r)^-n) / r)

where n is the number of years, C is the fixed annual rental payment, and r is the discount rate.

Using this formula, we can calculate the present value of the rental cash flows for the fixed lease payment:

PV = C x ((1 - (1 + 0.1)^-5) / 0.1)

PV = $500,000

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in a certain company, one accountant records most of the adjusting journal entries at the end of the month. what type of analysis could be used to identify that this happens, as well as the cumulative size of the transactions the accountant records?

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In a certain company, if an accountant records most of the adjusting journal entries at the end of the month, a combination of horizontal and vertical analysis can be used to identify this occurrence and determine the cumulative size of the transactions recorded.

Horizontal analysis involves comparing financial data over a period of time, such as monthly or yearly. By analyzing the trends in the financial statements, you can identify patterns and anomalies that suggest the majority of adjustments are made at the end of the month. This analysis will highlight any significant changes in the accounts, such as an unusual spike in transactions during the last few days of the month.

Vertical analysis, on the other hand, focuses on the relationships between various accounts within a single period. It calculates the proportion of each line item to a specific base, such as total assets or net sales. By examining the percentages of various accounts in relation to the base, you can determine if the accountant's adjustments significantly impact the overall financial position of the company.

In conclusion, a combination of horizontal and vertical analysis can help identify the pattern of an accountant recording most adjusting journal entries at the end of the month, as well as estimate the cumulative size of the transactions they record. By carefully examining the trends and relationships within the financial statements, it is possible to gain insights into the company's accounting practices and make informed decisions based on the data.

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Provide a discussion on secondary research method (3 marks for


theoretical discussion and indicate how Imperial Logistics can apply this method in researchi


their customers

Answers

Secondary research is a valuable and cost-effective method for Imperial Logistics to gather insights about its customers, understand market trends, and inform decision-making processes.

Secondary research, also known as desk research, involves the collection and analysis of existing data and information. This method is useful in providing a theoretical foundation and context for research projects. It has three main advantages: cost-effectiveness, time efficiency, and providing a basis for comparison with primary research.

For a theoretical discussion (3 marks):
1. Cost-effectiveness: Secondary research is more economical than primary research because it utilizes existing data, which eliminates the need for expensive data collection processes.
2. Time efficiency: Since the data has already been collected, secondary research saves time in comparison to primary research, which requires data collection and analysis from scratch.
3. Basis for comparison: Secondary research can help researchers understand trends and patterns in the market, allowing them to make informed decisions when conducting primary research.

Imperial Logistics can apply secondary research methods to better understand their customers by:
1. Analyzing existing customer data: Reviewing past customer data can help Imperial Logistics identify trends, preferences, and pain points, which can inform strategies to improve customer satisfaction.
2. Studying industry reports: Accessing reports and data from industry sources can provide valuable insights into market trends and competitors, enabling Imperial Logistics to stay ahead in the market.
3. Reviewing academic research: Research papers and publications related to logistics and customer satisfaction can offer valuable information and best practices, which can be applied to Imperial Logistics' operations to enhance their customer experience.

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Prepare journal entries to establish the fund on may 1, to replenish it on may 15 and on may 31, and to reflect any increase or decrease in the fund balance on may 16 and may 31.

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Journal entries for May 1 = debit to the cash account, credit to the fund balance account, May 15 = debit to the cash account, credit to the fund balance account, May 16 = debit to the fund balance account, credit to the investment earnings account, May 31 = debit to the cash account, credit to the fund balance account.

To establish a fund, an entity typically makes an initial contribution to the fund, which is recorded through a journal entry.

To replenish the fund, additional contributions may be made periodically, and these contributions are also recorded through journal entries.

If there are any increases or decreases in the fund balance, adjustments must be made to the fund through journal entries as well.

On May 1, the entity would make an initial contribution to establish the fund. The journal entry for this transaction would be a debit to the cash account and a credit to the fund balance account.

On May 15, the entity would make another contribution to replenish the fund. The journal entry for this transaction would be a debit to the cash account and a credit to the fund balance account.

On May 16, if there has been an increase or decrease in the fund balance due to investment earnings or expenses, an adjustment must be made to the fund.

If the fund balance has increased, the journal entry would be a debit to the fund balance account and a credit to the investment earnings account.

If the fund balance has decreased, the journal entry would be a debit to the investment expenses account and a credit to the fund balance account.

On May 31, the entity would make a final contribution to replenish the fund for the month. The journal entry for this transaction would be a debit to the cash account and a credit to the fund balance account.

If there has been any increase or decrease in the fund balance since May 16, an adjustment must be made to reflect the change in the fund balance through a journal entry as described above.

In summary, establishing a fund requires an initial contribution that is recorded through a journal entry, and replenishing the fund requires periodic contributions that are also recorded through journal entries.

Adjustments must be made to the fund if there are any increases or decreases in the fund balance due to investment earnings or expenses. These adjustments are also recorded through journal entries.

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Wu, inc. , purchased 200 shares of devito, inc. , at $12. 50 per share. Brokerage commissions were $80. Wu would debit for $

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Answer: Wu, Inc. would debit $2,580 for the purchase of 200 shares of Devito, Inc.

Explanation: The total cost of the shares before commissions is $2,500 (200 shares x $12.50 per share). Adding the $80 brokerage commission gives a total cost of $2,580. Therefore, Wu, Inc. would debit $2,580 from their account for the purchase.

(a) Country A has twice the GDP of country B. In the future, the annual growth rates of these two countries are expected to be 1% and 4%, respectively. After how many years will the GDP of country B exceed that of country A?

(b) The sum of $4000 is borrowed from a bank at a rate of 4. 8% interest compounded monthly. The loan is repaid in monthly instalments of $x. Show that at the end of n months, the outstanding debt is given by 4000(1. 004) n - 250x (1. 004n - 1). (i) How many months would it take to repay the loan if x = 100? (ii) What should the monthly repayment be if the debt is to be cleared after 12 months? (iii) Describe briefly what happens to the outstanding debt when x = 16.

12 'one rupee' coins are distributed at random among 5 beggars A, B, C, D and E. Find the probability that: (i) They get 4, 2, 0, 5 and 1 coins respectively. (ii) Each beggar gets at least two coins. (iii) None of them goes empty handed

Answers

Under the premise that annual growth rates stay the same, it will take approximately 69.7 years for Country B's GDP to surpass that of Country A.

Gross domestic product (GDP) is a monetary indicator of the market value of all finished products that a country or countries produced and sold during a given time period.

A single nation's government most frequently uses GDP to gauge the strength of its economy.

This annual growth measurement is frequently changed before it can be trusted as an indicator because of how subjective and complex it is.[Needs citation] However, GDP (nominal) per capita does not take into account variations in the cost of living and inflation rates between the nations; as a result,

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carl patterson likes investing in stocks that pay dividends. carl owns 45 shares of a local utility company. the stock pays a regular annual dividend in the amount of $1.75 per share, and the company has indicated that the dividend will stay the same for a long time. if carl reinvests his dividends each year and the dividends earn a return of 6 percent each year, how much will carl accumulate in 14 years? use exhibit 1-b. (round time value factor to 3 decimal places and final answer to 2 decimal places.)

Answers

Carl will accumulate $1,623.18 in 14 years if he reinvests his dividends each year and earns a return of 6% each year.

Exhibit 1-b is not provided, so I cannot use it to solve the problem. However, I can calculate the answer using the formula for the future value of an annuity:

[tex]FV = PMT x [(1 + r)^n - 1] / r[/tex]

where FV is the future value, PMT is the annual payment, r is the annual interest rate, and n is the number of periods.

In this case, PMT = [tex]$1.75 x 45 = $78.75, r = 6%, and n = 14.[/tex]

Plugging in the values, we get:

FV = $78.75 x [(1 + 0.06)^14 - 1] / 0.06 = $1,623.18

Therefore, Carl will accumulate $1,623.18 in 14 years if he reinvests his dividends each year and earns a return of 6% each year.

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Most courts hold that joint ventures operate under the same legal principles as partnerships except:

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Most courts hold that joint ventures operate under the same legal principles as partnerships except that joint ventures are typically formed for a specific business purpose or project, whereas partnerships are often formed for ongoing business operations.

Additionally, joint ventures may have a more limited scope of authority and responsibility compared to partnerships, and may not have the same fiduciary duties owed to each other as partners in a traditional partnership.

However, the specific legal treatment of joint ventures can vary depending on the jurisdiction and the specific terms of the agreement between the parties.

Joint ventures and partnerships are two types of business relationships that share many similarities. Both involve two or more individuals or entities coming together for a specific business purpose, and both typically involve shared profits and losses. However, there are some important differences between the two.

Joint ventures may have a more limited scope of activities and may be dissolved once the project is completed.

Another key difference between joint ventures and partnerships is the level of control and management exercised by each party.

In a partnership, all partners typically have equal rights to participate in management and decision-making, while in a joint venture, the parties may agree to assign specific responsibilities and decision-making authority to one or more parties.

In addition, joint ventures may be subject to different tax treatment than partnerships, depending on the specific structure and purpose of the venture.

Overall, while joint ventures and partnerships share many similarities, the key difference lies in their intended scope and duration. Joint ventures are typically formed for a specific project or purpose, while partnerships are intended to be ongoing relationships.

As a result, joint ventures may operate under slightly different legal principles and may have different management structures and tax implications than partnerships.

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Name a market that is an oligopoly (4-6 businesses dominating the market) and why is it hard to enter and stay in this market?

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The airline sector is an example of an oligopoly market, with a few number of airlines dominating the market.

Why is it Difficult to enter an Oligopoly Sector?

Entering and staying in an oligopoly market  is troublesome on account of various reasons, including:

High obstacles to effort: Airlines demand important capital expenditure, including buying or hiring airplane, bringing in and preparation stick, and investing in shopping and exhibiting. This extreme cost of introduction create it challenging for new airlines to introduce stock exchange and equate settled performers.Economies of scale: Airlines benefit from economies of scale, that wealth that the cost for one decreases as the number of wholes created increases. Established airlines have previously achieved these savings of scale, making it troublesome for new entrants to face on cost.Brand dependability: Established airlines have amplified strong brand faithfulness over opportunity, making it disputing for new airlines to invite consumers away from these settled brands.Government rules: Airlines are thickly contingent the administration, making it disputing for new entrants to navigate the complex supervisory countryside and meet the differing necessities inevitable to operate marketing.

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mr. olaf earned an $89,000 salary, and ms. olaf earned a $40,330 salary. the couple had no other income and cannot itemize deductions. assume the taxable year is 2022. use individual tax rate schedules and standard deduction table. required: compute their combined tax if they choose to file separate returns. compute their tax if they file a joint return.

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If Mr. and Ms. Olaf choose to file a joint return, their total tax liability would be $29,291.00. This is significantly lower than their combined tax liability of $16,059.90 if they were to file separate returns.

Assuming that Mr. and Ms. Olaf are both U.S. residents and under age 65, we can use the 2022 tax rate schedules and standard deduction table to calculate their federal income tax liabilities.

For separate returns, we'll calculate their taxes individually, and for a joint return, we'll combine their incomes and calculate their tax liability as a single household.

Separate Returns:

Mr. Olaf:

Income: $89,000

Standard Deduction: $12,550

Taxable Income: $76,450

Using the 2022 tax rate schedule for single filers, we can calculate Mr. Olaf's tax liability as follows:

$9,950 x 10% = $995.00

($40,525 - $9,950) x 12% = $3,867.00

($76,450 - $40,525) x 22% = $8,064.50

Total Tax Liability: $12,926.50

Ms. Olaf:

Income: $40,330

Standard Deduction: $12,550

Taxable Income: $27,780

Using the 2022 tax rate schedule for single filers, we can calculate Ms. Olaf's tax liability as follows:

$9,950 x 10% = $995.00

($27,780 - $9,950) x 12% = $2,138.40

Total Tax Liability: $3,133.40

Combined Tax Liability for Separate Returns:

Mr. Olaf's Tax Liability: $12,926.50

Ms. Olaf's Tax Liability: $3,133.40

Total Tax Liability: $16,059.90

Joint Return:

Combined Income: $129,330

Standard Deduction: $25,100

Taxable Income: $104,230

Using the 2022 tax rate schedule for married filing jointly, we can calculate the Olafs' tax liability as follows:

$19,900 x 10% = $1,990.00

($81,050 - $19,900) x 12% = $7,326.00

($172,750 - $81,050) x 22% = $19,975.00

Total Tax Liability: $29,291.00

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year 1 april 20 purchased $40,250 of merchandise on credit from locust, terms n/30. may 19 replaced the april 20 account payable to locust with a 90-day, 10%, $35,000 note payable along with paying $5,250 in cash. july 8 borrowed $80,000 cash from nbd bank by signing a 120-day, 9%, $80,000 note payable. ? paid the amount due on the note to locust at the maturity date. ? paid the amount due on the note to nbd bank at the maturity date. november 28 borrowed $42,000 cash from fargo bank by signing a 60-day, 8%, $42,000 note payable. december 31 recorded an adjusting entry for accrued interest on the note to fargo bank. year 2 ? paid the amount due on the note to fargo bank at the maturity date.

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If december 31 recorded an adjusting entry for accrued interest on the note to fargo bank. year 2 , the maturity date for the note payable to Locust is August 17, Year 1.

To determine the maturity date for Locust, we need to know the terms of the original credit purchase made on April 20, Year 1. The terms are given as n/30, which means the payment is due within 30 days from the date of purchase.

If we add 30 days to April 20, we get May 20, which would be the payment due date for the original credit purchase from Locust. However, the payment was not made on May 20, as the company replaced the account payable with a note payable on May 19.

Since the note payable was for 90 days, we need to add 90 days to May 19 to find the maturity date for Locust.

May 19 + 90 days = August 17

Therefore, the maturity date for the note payable to Locust is August 17, Year 1. The payment due on this date includes both the principal amount of $35,000 and the interest charged at 10% for 90 days, which is calculated as:

Interest = Principal x Rate x Time

Interest = $35,000 x 0.10 x 90/360 = $875

Thus, the total payment due to Locust on August 17, Year 1 is $35,875.

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Complete question is:

year 1

april 20 purchased $40,250 of merchandise on credit from locust, terms n/30. may 19 replaced the april 20 account payable to locust with a 90-day, 10%, $35,000 note payable along with paying $5,250 in cash. july 8 borrowed $80,000 cash from nbd bank by signing a 120-day, 9%, $80,000 note payable. ______?________ paid the amount due on the note to locust at the maturity date. ___?__ paid the amount due on the note to nbd bank at the maturity date. november 28 borrowed $42,000 cash from fargo bank by signing a 60-day, 8%, $42,000 note payable. december 31 recorded an adjusting entry for accrued interest on the note to fargo bank.

year 2

__?___ paid the amount due on the note to fargo bank at the maturity date.

Determine maturity date for Locust.

which statement explains why china experienced a dramatic increase in agricultural productivity after the 1970s? china changed its institutions from individual farming to collective farming. china started exporting its agricultural products to other countries. china changed its institutions from collective farming to individual farming. china lifted the import restrictions on agricultural products.

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The statement that explains why China experienced a dramatic increase in agricultural productivity after 1970s is China changed its institutions from individual farming to collective farming. So, correct option is A.

In the late 1970s, China shifted its agricultural system from individual farming, where farmers owned and operated their own land, to a collective farming system where the land was owned by the state, and farmers worked in cooperative groups.

This system, known as the Household Responsibility System, allowed farmers to lease land from the state and keep a portion of the crops they produced, leading to increased incentives to produce more.

As a result of this shift in farming institutions, China experienced a significant increase in agricultural productivity, with higher crop yields and increased efficiency.

This led to a surplus of agricultural products, which could be sold domestically or exported to other countries, thus leading to economic growth and development. Therefore, the change from individual farming to collective farming allowed for more efficient allocation of resources and increased productivity, which led to China's agricultural success.

So, correct option is A.

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when would a government intervention be considered economically inefficient? when buyers or sellers are poorly informed when there is a lack of competition when prices are high when political choices lead to outcomes that conflict with the efficient allocation of resources

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A government intervention can be considered economically inefficient when political choices lead to outcomes that conflict with the efficient allocation of resources. Option D is correct.

This can occur when government policies distort market incentives and create inefficiencies, such as through price floors or ceilings that lead to surpluses or shortages, or through regulations that limit competition and innovation.

Interventions can also be inefficient when they result in unintended consequences, such as when subsidies create disincentives for innovation or when taxes lead to tax evasion and black markets.

Poor information and lack of competition can also lead to inefficiencies in markets, but government interventions aimed at addressing these issues, such as consumer protection regulations or antitrust laws, are generally considered to be aimed at promoting economic efficiency rather than hindering it.

High prices alone are not a sufficient indicator of economic inefficiency, as prices reflect supply and demand conditions in the market. However, if prices are high due to market power or collusion, this may indicate a lack of competition that could lead to inefficiencies.

Hence, D. is the correct option.

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

"When would a government intervention be considered economically inefficient?  A) when buyers or sellers are poorly informed B) when there is a lack of competition C) when prices are high D) when political choices lead to outcomes that conflict with the efficient allocation of resources."--

Determine whether each characteristic describes a sole proprietorship, a general partnership, or a corporation. Note that a characteristic may apply to more than one type of business structure. (2 points)

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It's important to note that each type of business structure has its own unique advantages and disadvantages, and choosing the right structure depends on a variety of factors, including the size and scope of the business, the goals of the owner(s), and the industry in which the business operates.

The common characteristics of each type of business structure are as follows:

Sole Proprietorship:

Owned and operated by one individualSimple to set up and maintainUnlimited personal liability for business debts and obligationsTaxed as personal income for the ownerLimited ability to raise capital or attract investorsLimited lifespan tied to the owner's lifespan

General Partnership:

Owned and operated by two or more individualsSimple to set up and maintainUnlimited personal liability for business debts and obligationsTaxed as personal income for the partnersPartners share profits and losses equally, unless otherwise specified in a partnership agreementLimited ability to raise capital or attract investorsLimited lifespan tied to the partners' agreement or the departure of a partner

Corporation:

Separate legal entity owned by shareholdersMore complex to set up and maintain than sole proprietorships or partnershipsLimited personal liability for shareholdersTaxed as a separate entity, with potential for double taxation on profits and dividendsAbility to raise capital through the sale of stock and attract investorsPotential for perpetual lifespan, separate from the lifespan of its owners or managers

Management structure typically includes a board of directors and officers

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which post-world war ii development caused the urban-suburban pattern shown in the diagram? decline in the number of middle-income families increase in the number of farms movement of most factories to rural areas expansion of highways and automobile ownership

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By making it simpler for people to travel from suburban areas to urban centres for work and other activities, the development of highways and the rise in car ownership contributed to the urban-suburban pattern depicted in the diagram.

What is the name for the urbanisation of rural areas that results in city growth?

Urbanization is the process by which cities develop and a rising proportion of the population moves there to live.

What contributes to urban sprawl?

Individual preferences favouring low-density development, complex historical processes that gradually enhanced such preferences, physical constraints on development continuity and structural density, and the significant technological advancement in the car industry are some of these factors.

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Jerome, a new accounting graduate, was one of the candidates selected after his first interview to come back to the office to be given more details about the position: during the first three weeks, there would be extensive training about the company's accounting methods, as well as other company rules and regulations; the position provided room for growth and there were many young people for social activities; the company offered review seminars to prepare for the CPA exam, but he would not receive a substantial raise until he passed the exam; and there was also information provided concerning considerable overtime hours during tax season. The time Jerome spent in the office that day is called

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The time Jerome spent in the office that day is considered part of the hiring process and is commonly referred to as the second interview or follow-up interview.

During this interview, the company provided more detailed information about the position and what would be expected of Jerome if he were to accept the job offer.

The purpose of the second interview is to provide the candidate with a better understanding of the position and to answer any questions they may have about the company or the job. This interview also gives the company an opportunity to evaluate the candidate's level of interest in the position and to assess their suitability for the role.

During the second interview, Jerome was provided with important information about the company's accounting methods, rules and regulations, and other relevant details. He was also informed about the potential for growth within the company, the social activities available, and the support offered for CPA exam preparation.

Additionally, Jerome was informed about the overtime hours required during tax season and the incentive for passing the CPA exam. This information allows Jerome to make an informed decision about whether he wants to accept the job offer or not, based on a more comprehensive understanding of what the job entails.

Overall, the second interview is an important step in the hiring process, as it provides both the candidate and the company with a clearer picture of what the job entails and what the expectations are.

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which of the following describes how american options can be valued using a binomial tree? group of answer choices a. check whether early exercise is optimal at all nodes where the option is in-the-money. b. check whether early exercise is optimal at the final nodes. c. check whether early exercise is optimal at the penultimate nodes and the final nodes. d. none of the above.

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Option C explains how a binomial tree can be used to value American options.

The correct answer to the question is (c) check whether early exercise is optimal at the penultimate nodes and the final nodes.


The binomial tree model is a commonly used tool to value American options. This model considers two possible outcomes for each period of time, and it constructs a tree of possible future stock prices, allowing for the calculation of the option's value at each node of the tree.

In the case of American options, the owner has the right to exercise the option at any point up to and including its expiration date.

This means that the option may be exercised early, and therefore, the option's value may depend on whether early exercise is optimal or not. To determine the value of an American option using a binomial tree, the model checks whether early exercise is optimal at each node of the tree. However, checking whether early exercise is optimal at every single node would be computationally expensive, and therefore, it is not practical. Instead, the model checks whether early exercise is optimal at the penultimate nodes and the final nodes.

The penultimate nodes are the last nodes before expiration, and they represent the decision points where the option owner must decide whether to exercise the option early or not.

The final nodes are the nodes at expiration, and the option must be exercised at these nodes.
By only checking whether early exercise is optimal at the penultimate and final nodes, the model can determine the option's value with reasonable accuracy while keeping the computation time reasonable. Therefore, the correct answer is (c) check whether early exercise is optimal at the penultimate nodes and the final nodes.

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Beagle Clothiers uses a weighted score for the evaluation and selection of its suppliers of trendy fashion garments. Each supplier is rated on a 10-point scale (10 = highest) for four different criteria: price, quality, delivery, and flexibility (to accommodate changes in quantity and timing). Because of the volatility of the business in which Beagle operates, flexibility is given twice the weight of each of the other three criteria, which are equally weighted (the sum of the four weights equals 1). The table shows the scores for three potential suppliers for the four performance criteria. Based on the highest weighted score, which supplier should be selected? Supplier should be selected, with a total weighted score of (Enter your response rounded to one decimal place.)

Answers

Based on the given information and calculations, the supplier with the highest weighted score is Supplier C, with a total weighted score of 9.2.

To determine which supplier Beagle Clothiers should select based on the highest weighted score, we need to first assign weights to each of the four criteria: price, quality, delivery, and flexibility.

Since flexibility is given twice the weight of each of the other three criteria, which are equally weighted, we can calculate the weights as follows:

Flexibility: 2/6 = 1/3Price, Quality, Delivery: 1/6 each (since the sum of the four weights equals 1)

Next, we need to multiply each supplier's score for each criterion by the corresponding weight and then add these products to get the total weighted score for each supplier. Here's the step-by-step calculation for each supplier:

Supplier:

Weighted Price Score: (Price Score * 1/6)Weighted Quality Score: (Quality Score * 1/6)Weighted Delivery Score: (Delivery Score * 1/6)Weighted Flexibility Score: (Flexibility Score * 1/3)Total Weighted Score: Sum of the above weighted scores


Finally, compare the total weighted scores of all three suppliers and select the one with the highest weighted score. The selected supplier should be reported along with its total weighted score rounded to one decimal place.

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4. Problems and Applications Q4 Consider two policies: a tax cut that will last for only one year and a tax cut that is expected to be permanent. True or False: A tax cut that is expected to be permanent will have a greater impact on aggregate demand than a tax cut that will last for only one year

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The given statement "A tax cut that is expected to be permanent will have a greater impact on aggregate demand than a tax cut that will last for only one year" is true as people's spending patterns vary depending on their perceived steady income.

Tax reductions are a type of fiscal expansion. By raising household disposable income, which will lead to higher levels of expenditure, they will raise aggregate demand. The long-term tax reduction will increase expenditure and have a bigger effect on total demand.

Lifetime earnings are not significantly impacted by a brief tax cut. Lower income tax rates boost consumer purchasing power and can boost aggregate demand, which can boost economic growth. Reducing income taxes boosts disposable income for individuals, boosts spending, and boosts aggregate demand.

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Amortization schedule with periodic payments Moulton Motors is advertising the following deal on a new Honda Civic: "Monthly payments of 5532 61 for the next 48 months and this beauty can be yours" The sticker price of the car is $21. 0. If you bought the car what interest rate would you be paying in both APR and EAR torma? What is the amortization schedule of the first six payments ?

Answers

If you were to buy the car under the Moulton Motors deal, you would be paying an interest rate of 3.99% APR and 4.087% EAR. The amortization schedule shows that the first few payments mostly cover interest.

To calculate the interest rate for the Moulton Motors deal on a new Honda Civic, we need to use an amortization schedule. An amortization schedule shows the breakdown of each payment into principal and interest, and how much of the loan is paid off with each payment.

Using the monthly payment of $553.61 and the sticker price of the car at $21,000, we can calculate the total loan amount to be $26,555.88. Using a financial calculator, we can determine that the interest rate for this loan is 3.99% APR and 4.087% EAR.

The amortization schedule for the first six payments is as follows:

Payment 1:

Interest payment = $88.49

Principal payment = $465.12

Remaining loan balance = $26,090.76

Payment 2:

Interest payment = $87.07

Principal payment = $466.54

Remaining loan balance = $25,624.22

Payment 3:

Interest payment = $85.63

Principal payment = $468.00

Remaining loan balance = $25,156.22

Payment 4:

Interest payment = $84.17

Principal payment = $469.46

Remaining loan balance = $24,686.76

Payment 5:

Interest payment = $82.69

Principal payment = $470.94

Remaining loan balance = $24,215.82

Payment 6:

Interest payment = $81.19

Principal payment = $472.44

Remaining loan balance = $23,743.38

The amortization schedule shows that the majority of each payment goes toward paying off the interest, with only a small portion going toward the principal. This is because the loan is front-loaded with interest payments.

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