The introduction of airline pilots' use of a laptop to perform their preflight check is an example of a process innovation.
The introduction of a brand-new or significantly improved manufacturing or delivery system is referred to as a process innovation. This covers material adjustments to methods, tools, and/or software. It may be designed to lower production or delivery unit costs, improve quality, or create or deliver new or noticeably improved items.
Process innovations offer brand-new or vastly improved techniques for producing and delivering services. These may include major adjustments to the tools and software used by service-oriented businesses, as well as to the methods or tactics utilised to provide services.
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a taxpayer sold equipment for $200,000. the equipment was purchased for $160,000 and had accumulated depreciation of $60,000. what amount is reported as ordinary income under code sec. 1245?
The amount reported as ordinary income under code sec. 1245 was $60,000, which is the amount of depreciation claimed on the equipment.
Depreciation is a method of allocating the cost of an asset over its useful life. It is used to account for the wear and tear on the asset as well as its eventual obsolescence.
In this scenario, the equipment had accumulated depreciation of $60,000. This means that the book value of the equipment was $100,000 ($160,000 - $60,000). When the equipment was sold for $200,000, there was a gain on the sale of $100,000 ($200,000 - $100,000).
Under code sec. 1245, certain types of property are considered to be "Section 1245 property". This includes tangible personal property, such as equipment, that is subject to depreciation. When Section 1245 property is sold, any gain on the sale is treated as ordinary income up to the amount of depreciation claimed on the property.
In this scenario, the equipment sold is Section 1245 property since it is tangible personal property subject to depreciation. The amount of depreciation claimed on the equipment is $60,000.
Therefore, the amount reported as ordinary income under code sec. 1245 would be $60,000. The remaining gain of $40,000 ($100,000 - $60,000) would be treated as a capital gain and taxed at a lower rate.
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in a proportionate liquidating distribution, sam receives a distribution of $30,000 cash, accounts receivable (basis of $0, fair market value of $50,000), and land (basis of $20,000, fair market value of $50,000). in addition, the partnership repays all liabilities of which sam's share was $40,000. sam's basis in the entity immediately before the distribution was $120,000. as a result of the distribution, what is sam's basis in the accounts receivable and land, and how much gain or loss does he recognize?
As the result of the distribution, Sam's basis in the accounts receivable is $50,000, and his basis in the land is $45,000. He recognizes a gain of $5,000 on the land, which is taxable as a long-term capital gain.
To calculate Sam's basis in the accounts receivable and land, we need to allocate his share of the distribution among the distributed assets. Since the fair market value of the accounts receivable and land is the same ($50,000 each), we assume that Sam receives an equal share of both assets.
The basis of the accounts receivable is $0, and the fair market value of the accounts receivable is $50,000. Therefore, Sam's basis in the accounts receivable is also $50,000.
The basis of the land is $20,000, and the fair market value of the land is $50,000. Therefore, Sam's basis in the land is
=> $20,000 + ($50,000 - $20,000) / 2 = $45,000.
Sam's basis in the accounts receivable is $50,000, which is equal to its fair market value, so he does not recognize any gain or loss on the accounts receivable.
Sam's basis in the land is $45,000, and its fair market value is $50,000. Therefore, Sam recognizes a gain of $5,000 ($50,000 - $45,000) on the land. This gain is taxable as a long-term capital gain since Sam held the land for more than one year.
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shareholders influence a company by multiple choice question. voting to establish corporate policies. voting for the officers who manage the company. appointing the top management of the company. voting for the board of directors.
Shareholders influence a company by voting to establish corporate policies, voting for the officers who manage the company, and voting for the board of directors.
About corporation's shareholdersIn the United States, a corporation's shareholders elect the board of directors, which is the company's decision-making body.
The board of directors, in turn, appoints the company's top management, which is responsible for running the company on a day-to-day basis. Shareholders have an impact on the company's activities because the board of directors, the top management, and the officers all report to them.
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a typical common stockholder of a corporation: a. has the right to act for the firm. b. can fire employees of the cor
A typical common stockholder of a corporation, Neither option a nor b is correct.
A typical common stockholder of a corporation has ownership in the company, but they do not have the right to act for the firm or directly fire employees of the corporation.
As an owner of the company, a common stockholder has the right to vote on important matters such as the election of the board of directors and other major corporate decisions. However, they do not have the right to manage the day-to-day operations of the business or make decisions on behalf of the corporation.
Additionally, a common stockholder does not have the power to directly fire employees of the corporation. That authority lies with the management team and board of directors.
Therefore, option (a) and (b) both are incorrect.
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which of the following is not a feature of a whole life policy? a increasing premium b permanent protection c cash value d nonforfeiture values
In a whole life insurance policy, the premium remains level or constant over the life of the policy. The other options listed are features of whole life policies: The correct answer is: a) increasing premium
b) permanent protection: Whole life policies provide coverage for the entire lifetime of the insured, as long as the premiums are paid.
c) cash value: Whole life policies have a cash value component that grows over time and can be accessed by the policyholder during the lifetime of the insured.
d) nonforfeiture values: Whole life policies typically have nonforfeiture options that allow the policyholder to receive some value from the policy if it is surrendered or lapsed, such as a paid-up policy or a reduced paid-up policy. These are considered nonforfeiture values.
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china inn and midwest chicken exchanged assets. midwest chicken received equipment and gave a delivery truck. the fair value and book value of the delivery truck given were $26,800 and $28,900 (original cost of $34,200 less accumulated depreciation of $5,300), respectively. to equalize market values of the exchanged assets, midwest chicken received $8,300 in cash from china inn. 1. at what amount did midwest chicken record the equipment?
At $37,700, midwest chicken recorded the equipment.
The delivery truck was priced at fair value since that's the amount that the buyer is willing to pay. In accounting, book value is the value of an asset according to its balance sheet account balance. For assets, the value is based on the original cost of the asset less any depreciation, amortization or impairment costs made against the asset.
Amount recorded=Fair value+Cash from China Inn
where;
Fair value=$30,100
Cash from China Inn=$7,600
Amount recorded=(30,100+7,600)=37,700
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comparing actual costs to what the costs should have been for the actual level of activity is done on a(n)
Comparing actual costs to what the costs should have been for the actual level of activity is done on a(n) variance analysis.
Variance analysis involves calculating the difference between the actual cost incurred during a certain period and the expected cost based on the predetermined budget or standard cost for that period. This difference is known as the variance, which can be either favorable or unfavorable. A favorable variance occurs when actual costs are lower than the budgeted costs, while an unfavorable variance occurs when actual costs exceed budgeted costs.
There are two main types of variances in this analysis - direct cost variances and overhead variances. Direct cost variances include material, labor, and other expenses directly related to the production of goods or services. Overhead variances refer to the differences between actual and budgeted overhead costs, such as rent, utilities, and administration expenses.
By conducting variance analysis, businesses can identify the causes of discrepancies between their budgeted and actual costs. This information can be used to improve future budgeting processes, enhance operational efficiency, and make informed decisions on resource allocation. Ultimately, the goal of variance analysis is to help managers better understand their organization's performance and take appropriate corrective actions when necessary.
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an individual reports the following income and expenses for the current tax year: assuming the taxpayer itemizes deductions, what amount of the taxpayer's investment interest expense may be deducted on the current year's tax return, if any?
An individual reports the following income and expenses for the current tax year: assuming the taxpayer itemizes deductions. The taxpayer's investment interest expense that can be deducted on the current year's tax return is $3,000.
Itemized deductions refer to the expenses a taxpayer may subtract from their taxable income when preparing their tax returns. There are several eligible expenses, such as mortgage interest, state and local taxes, medical and dental bills, and charitable donations. An individual reports the following income and expenses for the current tax year: wages: $65,000, short-term capital gains: $1,000, long-term capital gains: $2,500, qualified dividend income: $2,000, investment interest expense: $3,500, gambling losses: $1,000, medical expenses: $2,000, charitable contributions: $2,500, state and local taxes: $6,000, home mortgage interest: $3,000.
Assuming the taxpayer itemizes deductions, The taxpayer's investment interest expense that can be deducted on the current year's tax return is $3,000. Although the taxpayer has investment interest expense of $3,500, the limit on the amount that can be deducted is $3,000.
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according to the economic way of thinking, when would an economist consider a theory to be valid? group of answer choices when the assumptions behind the theory are accurate. only after carefully testing the theory using real world data or empirical evidence, controlling for other factors that could influence the test, with the results of the test confirming that theory. when the implications of the theory are in favor of the current public policy that you support. when its repeated on the news, social media, and by the people you know.
A particular economist would only think a theory to be valid after a careful testing of the theory using the real world as well as the evidence, controlling the other types of factors with the tests which will be able to confirm the theory.
The correct option is option B.
From the point of view of a economist, a theory can only been proven to be true through a very thorough as well as a careful testing of the said theory which will be done using the real world data as well as the empirical evidence. There will also be a strict control on the factors which can possibly be influencing the result of the test.
The tests of the tests will then be studied in order to confirm the theory which has been proposed.
Hence, the correct option is option B.
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last month a local government collected property taxes, collected gas taxes reserved for highway expansion, and received a monetary contribution from an estate. the contribution is to be held intact, but earnings are reserved for the purchase of a special collection of historical books for the public library. what governmental funds should be used to account for these items? then, discuss with at least two of your peers.
The local government should use different governmental funds to account for these items based on their purpose and restrictions. Here's how each item should be accounted for:
Property taxes: These taxes are general revenue and should be accounted for in the general fund. The general fund is the primary operating fund of the local government and is used to account for all financial resources except those required to be accounted for in another fund.
Gas taxes reserved for highway expansion: These taxes are restricted revenue and should be accounted for in a capital projects fund. A capital projects fund is used to account for financial resources used for the acquisition or construction of major capital facilities, such as highways.
Monetary contribution from an estate: This contribution is restricted revenue and should be accounted for in a special revenue fund. A special revenue fund is used to account for specific revenue sources that are legally restricted to expenditure for specific purposes, such as the purchase of historical books for the public library.
Discussing with peers can provide different perspectives on the matter. Some possible points of discussion are:
Are there any potential issues or challenges in accounting for these items in the suggested funds? For example, are there any timing differences or restrictions that need to be considered?
What are some other possible sources of revenue for the special revenue fund that could be used to purchase the historical books? Are there any other restrictions or requirements that need to be taken into account?
How important is it for the local government to have clear and transparent accounting for these items? What are some potential consequences of not following proper accounting procedures?
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match each form of control to its best description. group of answer choices personal achieved through budgets and capital spending rules to direct the actions of subunits bureaucratic measured through objective performance metrics such as profitability, productivity, growth, market share and quality output measured through objective performance metrics such as profitability, productivity, growth, market share and quality cultural involves identifying and preventing problems in an organization before they occur
Personal control system is basically through the personal contact which is present with the subordinates, bureaucratic control system is through the capital spending rules, budgets, etc. and output system and objective system is based on the performance metrics like profitability, productivity, etc.
Control systems in an organization can be basically defined as metrics which are basically used in order to measure the performance of the subunits, for example, in order to measure the performance and the profitability is a control system.
The bureaucratic control system is based on the capital spending rules, budget as well as the rules and procedures in order to direct the actions of the subunits. The personal control system is basically through personal contact with subordinates and the output control system is based on the performance metric such as the market share, profitability, growth, quality etc.
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graphically derive the y s curve under the assumption that labor supply is an increasing function of the real interest rate. how does the y s curve look different than the version of the model considered in class?
The YS curve derived under the assumption that labor supply is an increasing function of the real interest rate is steeper than the YS curve in the IS-LM model, indicating a stronger relationship between output and the real interest rate.
In the YS curve derived under the assumption that labor supply is an increasing function of the real interest rate, the curve would be steeper compared to the version of the model that assumes labor supply is independent of the real interest rate. This is because an increase in the real interest rate will lead to an increase in labor supply, resulting in a larger increase in output for any given increase in the real interest rate. Therefore, the YS curve in this case would be more responsive to changes in the real interest rate.
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--The complete question is, In a macroeconomics class, the instructor taught about the IS-LM model, which assumes that labor supply is independent of the real interest rate. However, in a homework assignment, the students were asked to graphically derive the YS curve under the assumption that labor supply is an increasing function of the real interest rate. How does the YS curve look different than the version of the model considered in class?--
the solow model assumes the saving rate is: group of answer choices increasing as income increases. decreasing as income increases. constant. zero. larger as the interest rate rises.
The Solow model is an economic growth theory that predicts how savings, population growth, and technological progress affect the economy's long-term growth rate.
The Solow model assumes that the saving rate is constant, meaning that it does not change as income increases or decreases. This is because the saving rate is determined by societal and cultural factors that are relatively stable over time. The model also assumes that the interest rate plays a role in determining the level of savings, with higher interest rates incentivizing individuals and firms to save more.
Overall, the Solow model provides insights into the relationship between savings, investment, and economic growth over time.
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the greatest threats to organizational security stem from: a. natural threats b. environmental threats c. international threats d. internal threats
Internal threats are the main source of security hazards to organizations. Option d is Correct. An internal danger is the possibility that someone working for a corporation may utilize a system to steal information or inflict damage.
Threats of this nature are especially unsettling since workers are thought to be trustworthy persons who are given rights that might easily be exploited. Employee departures: One of the most frequent insider risks comes from departing workers, whether they do so freely or involuntarily.
They could take something they're proud of to help them find a new job or, more ruthlessly, they might steal and reveal private information as payback. Option d is Correct.
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a decrease in social security payments will part 2 a. decrease export spending. b. decrease consumption spending. c. decrease government spending. d. decrease investment spending.
A decrease in social security payments will decrease consumption spending (option B).
Social security payments are a system of social insurance and welfare payments made by the government to the elderly, disabled, or unemployed. In the United States, Social Security is the largest federal program, providing retirement, disability, and survivor benefits to qualified people. It is financed by payroll taxes paid by workers, employers, and self-employed persons.
Social security payments are aimed at providing financial assistance to those in need. A decrease in these payments may have an impact on various economic indicators. A decrease in social security payments will decrease consumption spending. Social security payments help support consumer spending. A reduction in the amount of money paid to individuals would result in a decrease in consumer spending.
As a result, the decrease in social security payments would impact the economy by decreasing consumer spending. This could lead to a decrease in business revenue, which could lead to layoffs, creating a cycle of reduced spending and decreased economic growth. The other choices are not affected by a decrease in social security payments. It would not impact export spending, government spending, or investment spending.
Correct answer is B.
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given a tolerable misstatement of $140,000 and an expected misstatement of $40,000 for an account balance with a book value of $2 million, the tolerable misstatement is
The percentage of the tolerable misstatement is 7%, which is calculated by dividing the tolerable misstatement by the book value of the account balance and multiplying the result by 100.
In other words, the tolerable misstatement is a benchmark used by auditors to determine the level of risk associated with a particular account balance or financial statement line item.
In this scenario, the book value of the account balance is $2 million, the expected misstatement is $40,000, and the tolerable misstatement is $140,000. Therefore, we can calculate the percentage of the tolerable misstatement as follows:
Percentage of Tolerable Misstatement = (Tolerable Misstatement / Book Value) x 100
= ($140,000 / $2,000,000) x 100
= 7%
The percentage of the tolerable misstatement in this case is 7%, which means that the auditor is willing to accept an error of up to 7% of the book value of the account balance without concluding that the financial statement is materially misstated.
It is important to note that the tolerable misstatement is not a fixed number and can vary depending on several factors such as the level of risk associated with the account balance, the materiality of the financial statement line item, and the level of assurance required by the auditor.
In conclusion, the tolerable misstatement for the given account balance is $140,000, and it represents the maximum amount of error that the auditor is willing to accept without concluding that the financial statement is materially misstated.
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which of the following is the most accurate statement? question 11 options: protection is necessary in order for young industries to grow up and be successful. protection is not necessary for an industry to grow. protection is necessary because if young industries are not protected, they may suffer losses. protection may not always be necessary for infant industries, but it has proven to be useful in most cases.
The most accurate statement is option a. protection is necessary in order for young industries to grow up and be successful.
Protectionism is the adoption of policies and practices that attempt to shield domestic industries from foreign competition by placing restrictions on imports or supporting domestic industries. It may be achieved through tariffs, quotas, and other trade barriers. For infant industries, protectionism may be used to enable them to expand and develop before being exposed to foreign competition. This can assist in preventing foreign companies from taking over the domestic industry. The term "infant" refers to a sector that is in its early stages of growth and development.
Protectionism is used to assist infant industries in gaining a foothold in the market and expanding. A key component of industry protection is imposing tariffs on imported goods. In addition, subsidies and export incentives may be provided to local businesses. Protectionism is seen as a positive measure for developing nations because it assists in the creation of local jobs and the development of industries that would otherwise be destroyed by foreign competition. As a result, alternative solutions to industry protection are not effective in guaranteeing that an infant industry will be able to grow and be successful.
Therefore, the most accurate statement is option a. protection is necessary in order for young industries to grow up and be successful.
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andrews art studio purchased its shop fifteen years ago. during the current year, the business installed a new roof and central air-conditioning system. which of the following choices is correct regarding the substantial improvements made during the current year? multiple choice question. the cost of the assets will be classified as nonresidential property and recovered over 39 years. the cost of the assets will be added to the adjusted basis of the building and depreciated over the remaining recovery period for the building. the assets will be classified as personal property and the cost will be recovered over 7 years.
The cost of the assets will not be classified as nonresidential property and recovered over 39 years or classified as personal property and the cost will be recovered over 7 years. Option D is correct.
The cost of the assets will be added to the adjusted basis of the building and depreciated over the remaining recovery period for the building is the correct choice regarding the substantial improvements made during the current year by Andrews Art Studio. When Andrews Art Studio installed a new roof and central air-conditioning system during the current year, these are considered substantial improvements. These substantial improvements increase the value of the building and thus, must be capitalized.
The cost of these assets will be added to the adjusted basis of the building and depreciated over the remaining recovery period for the building. This means that the cost of the assets will be depreciated over the remaining useful life of the building, which is determined by the IRS.This method is used for improvements that are considered part of the building, which includes components such as the roof, walls, and HVAC systems. The cost of the assets will not be classified as non residential property and recovered over 39 years or classified as personal property and the cost will be recovered over 7 years. Option D is correct.
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globalization opens the doors for companies to attract new customers. one of the challenges is to determine how to meet the needs of these customers who have group of answer choices different income levels. low income levels. high income levels. steady income levels.
Globalization presents a challenge for companies to meet the needs of customers with different income levels, including low, high, and steady income levels.
Globalization has provided chances for businesses to grow their customer base, but it also poses a challenge in meeting the requirements of customers with varying income levels. Companies must determine how to customise their goods or services to attract consumers with low, high, or consistent revenue levels, and their pricing tactics may need to be adjusted appropriately.
For example, providing low-income customers affordable choices or deals, or premium goods or services to high-income customers. To stay competitive in the global market, businesses must find a compromise between maximising earnings and guaranteeing accessibility and cost for all customers.
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hich of the following bonds has the highest interest rate? a. a long term and a high credit risk b. a high credit risk and a short term c. a long term and a low credit risk d. a low credit risk and a short term
Bonds with a high credit risk and a long-term have the highest interest rate. Option (a) is true.
A bond is a security that promises to pay the bondholder a specified amount of money with interest over a predetermined period. In other words, a bond is a loan that is issued to the borrower in exchange for interest payments over the term of the bond. When a person buys a bond, they are loaning money to a company, government, or other organization. Interest rates vary depending on the risk and duration of the bond.
Credit risk refers to the possibility of default on a bond or other debt instrument by the borrower. A higher credit risk implies a greater risk of default on the bond. The interest rate on a bond is determined by the creditworthiness of the borrower and the duration of the bond.
The higher the credit risk and duration of the bond, the higher the interest rate charged. Short-term bonds, on the other hand, have lower interest rates due to the lower credit risk involved. Long-term bonds with high credit risk are the most profitable
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a professional interviewer holds a 90-minute discussion with one member of the target market to find out why that respondent purchases a particular brand of clothing. this is an example of a .
Answer: in-depth interview
Explanation:
In-depth interviews are a type of research method used to collect detailed information about a particular topic or experience from an individual or a small group of individuals. In this case, the professional interviewer is conducting an in-depth interview with a member of the target market to gain insight into why they purchase a particular brand of clothing. The purpose of this type of research is to gain a deep understanding of the attitudes, beliefs, and behaviors of the target market, and to use that information to inform marketing strategies or product development. In-depth interviews can be conducted in-person, over the phone, or online, and typically involve a structured set of questions that allow the interviewer to probe deeply into the respondent's thoughts and experiences.
A professional interviewer holding a 90-minute discussion with one member of the target market to find out why that respondent purchases a particular brand of clothing is an example of a focus group interview.
Focus group interview is a form of qualitative research that is used to gather data about people's perceptions, beliefs, or attitudes towards a particular product or service. This method is often used to test the effectiveness of a product or service before it is launched on the market. In a focus group interview, a professional interviewer will usually select a small group of people who are representative of the target market for a product or service. Then, the interviewer will lead a discussion that is designed to elicit participants' opinions, attitudes, and beliefs about the product or service in question. The interviewer will ask open-ended questions and encourage participants to share their thoughts and feelings in a free-flowing conversation.
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siegell's locksmith shop is taking out a mortgage on a new building. it is going to be an interest-only, 12-year balloon mortgage for $350,000. the apr is 3.35%. the last payment will be the balloon payment of the full principal. a. find the total number of monthly payments, not including the final balloon payment. 143 b. find the amount of each monthly payment if the payments are interest-only. round to the nearest cent. $977.08 c. find the difference between the regular monthly payment and the balloon payment, to the nearest hundred dollars. $11,643 d. if the mortgage was not a balloon mortgage, what would be the amount of the monthly payment, rounded to the nearest cent? $977.8
The total number of monthly payments, not including the final balloon payment, is 144 monthly payments. Each monthly payment amounts to $977.08. The difference between the regular monthly payment and the balloon payment is $349,022.92
Siegell’s Locksmith Shop is taking out an interest-only, 12-year balloon mortgage for $350,000 with an APR of 3.35%.
a. The total number of monthly payments, not including the final balloon payment, is 12 years * 12 months/year = 144 monthly payments.
b. The amount of each monthly payment can be calculated by multiplying the loan amount by the monthly interest rate and dividing it by the number of payments per year. The monthly interest rate is 3.35% / 12 = 0.2792%. Therefore, the monthly payment is $350,000 * 0.002792 / 1 = $977.08.
c. The difference between the regular monthly payment and the balloon payment is $350,000 - $977.08 = $349,022.92, rounded to the nearest hundred dollars.
d. If the mortgage was not a balloon mortgage and instead was fully amortized over 12 years with a fixed interest rate of 3.35%, the monthly payment would be calculated using a standard loan amortization formula. Using this formula, the monthly payment would be $350,000 * (0.002792 / (1 - (1 + 0.002792)^(-144))) = $3,114.94, rounded to the nearest cent.
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cheung corporation's stock is currently selling at $42 per share. there are 1 million shares outstanding. the firm is planning to raise $2 million to finance a new project. what are the ex-rights stock price, the value of a right, and the appropriate subscription price under the following scenarios?
Cheung Corp plans to raise [tex]$2M[/tex] by issuing 47,619 new shares at [tex]$42/share[/tex]. Ex-rights price is [tex]$41.23[/tex], subscription price is [tex]$42[/tex].
To raise [tex]$2 million[/tex], Cheung Company needs to give 47,619 new offers at [tex]$42 per share[/tex]. The ex-freedoms cost is the market cost per share after the privileges offering and is determined as (market worth of old offers + new offers gave)/(number of old offers + new offers gave). Accordingly, the ex-freedoms cost is [tex]$41.23 per share[/tex].
The worth of a right is the contrast between the ex-freedoms cost and the membership cost. To compute the membership cost, partition the aggregate sum to be raised ([tex]$2 million[/tex]) by the quantity of new offers to be given (47,619) to get [tex]$42[/tex]. Consequently, the worth of a right is [tex]$0.77[/tex] ([tex]$41.23[/tex] - [tex]$42[/tex]) per share. The fitting membership cost is [tex]$42[/tex] per share.
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The complete question is:
Can you calculate the ex-rights stock price, the value of a right, and the appropriate subscription price for Cheung Corporation under the given scenarios? The current stock price is $42 per share, and there are 1 million shares outstanding. The firm is planning to raise $2 million to finance a new project?
on august 1, 2019, abc company sold 150 shares of teal company's stock for $15,400. on the previous balance sheet, the stock had a fair value of $14,400. the journal entry to record the sale will include a
The journal entry to record the sale of 150 shares of Teal Company's stock for $15,400 will include a debit to Cash for $15,400 and a credit to Marketable Securities for $14,400 and a credit to Gain on Sale of Marketable Securities for $1,000.What is a balance sheet?
A balance sheet is a financial statement that shows the company's assets, liabilities, and equity at a specific point in time.
On August 1, 2019, ABC Company sold 150 shares of Teal Company's stock for $15,400. The previous balance sheet showed a fair value of $14,400. To record the journal entry for this sale, you would:
1. Debit the Cash account for $15,400, as the company received cash from the sale.
2. Credit the Investments account (Teal Company's stock) for $14,400, as this was the previous balance sheet value.
3. Record the difference between the sale price and the balance sheet value as a gain. In this case, the gain is $15,400 - $14,400 = $1,000. Credit the Gain on Sale of Investments account for $1,000.
The journal entry would include a debit to Cash for $15,400, a credit to Investments for $14,400, and a credit to Gain on Sale of Investments for $1,000.
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true or false: buyers must have the ability to sense market trends, analyze sales data continually, and make appropriate adjustments in prices and inventory levels.
True. Buyers play a crucial role in a company's success, as they are responsible for selecting and procuring the products that will be sold to customers.
In order to effectively manage inventory levels and pricing, buyers must have the ability to sense market trends and analyze sales data continually. This involves staying up-to-date with industry news and understanding customer behavior and preferences.
Buyers must also be able to make informed decisions about inventory levels, balancing the need to have enough product to meet demand while minimizing excess inventory that can lead to wastage and additional costs.
By keeping a finger on the pulse of market trends and making appropriate adjustments in pricing and inventory levels, buyers can help their companies stay competitive and maximize profitability.
A buyer's success depends on their ability to analyze data, anticipate customer needs, and make strategic decisions that benefit their company.
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if the demand for donuts is elastic, a decrease in the price of donuts will group of answer choices increase total revenue of donut sellers. decrease total revenue of donut sellers. not change total revenue of donut sellers. there is not enough information to answer this question.
A drop in doughnut prices will boost donut vendors' overall revenue if the demand for donuts is elastic.
Revenue in accounting refers to the entire amount of money made through the sale of products and services that are essential to the company's core operations. Sales or turnover are other terms used to describe commercial revenue. Some businesses make money from royalties, interest, or other fees. As in "Last year, Business X had revenue of $42 million," the term "revenue" can refer to either general income or the sum of money earned during a specific period of time. Since it enhances equity, income is considered a component of the Equity section of the balance statement in accounting. It frequently goes by the name "top line" as a result.
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what employees have taken an oath and been given powers by the state to make arrests and use necessary force in the commission of their duties?
Employees who have taken an oath and been given powers by the state to make arrests and use necessary force in the commission of their duties are law enforcement officers.
These officers work for various government agencies, such as local police departments, state police, and federal law enforcement agencies. They are responsible for maintaining public safety and order, enforcing laws and regulations, investigating crimes, and apprehending criminals. The powers given to them by the state include the authority to detain and arrest individuals, use force when necessary, and carry firearms. The use of these powers is strictly regulated by law and subject to oversight to ensure they are used appropriately and fairly.
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for the past year, hawkeye, inc., had a cost of goods sold of $67,382. at the end of the year, the accounts payable balance was $12,089. How long on average did it take the company to pay off its suppliers during the year?
It took Hawkeye, Inc. about 65.53 days to pay off its suppliers during the year. This is an approximation based on the available information and could vary if additional data were provided.
The APT ratio measures the number of times a company can pay off its average accounts payable balance during a specified period. First, let's find the APT ratio: Accounts Payable Turnover (APT) ratio = Cost of Goods Sold / Average Accounts Payable
Hawkeye, Inc. has a Cost of Goods Sold (COGS) of $67,382 and an ending Accounts Payable balance of $12,089. Since we do not have the beginning balance for accounts payable, we'll use the ending balance as an estimate for the average balance throughout the year.
This means that Hawkeye, Inc. paid off its suppliers approximately 5.57 times during the year.
Now, let's find the average payment period:
Average Payment Period = 365 days / APT ratio
Average Payment Period = 365 days / 5.57 ≈ 65.53 days
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the number-one private-sector employment category in the united states is in which industry? multiple choice manufacturing banking and investments food service retail entertainment
The number-one private-sector employment category in the United States is in the retail industry. Option D is the correct answer.
An industry is a grouping of businesses that produce related goods or provide comparable services. The economy of a nation is divided into different sectors, each of which is composed of various industries. Industries can be grouped together based on their main activity, such as manufacturing or retailing.
The number-one private-sector employment category in the United States is in the retail industry. Retail is a critical sector of the economy since it employs millions of individuals and generates trillions of dollars in revenue every year. Retail encompasses a wide range of companies and goods, from supermarkets and clothing stores to electronic retailers and online marketplaces.
Correct answer is option D.
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jimmy, a floor manager at latsy's restaurant, passes lewd comments about his subordinates' personal appearances. this is an example of .
Jimmy, a floor manager at Latsy's restaurant, passing lewd comments about his subordinates' personal appearances is an example of sexual harassment.
Sexual harassment refers to any form of unwelcome behavior of a sexual nature that makes a person feel uncomfortable or intimidated. Sexual harassment is not limited to physical contact or verbal actions. Rather, it can take many forms, including unwelcome advances, comments, or behavior of a sexual nature that makes the recipient feel uncomfortable, intimidated, or threatened.
Sexual harassment can be classified into two categories:
Quid pro quo refers to situations where an individual is subjected to unwanted sexual advances, verbal abuse, or a hostile work environment. The victim's job security is often put at risk if they refuse to participate in the sexual advances or don't respond to the harasser's advances.
Hostile work environment: This refers to cases where the workplace is made hostile, offensive, or intimidating by frequent, severe, or pervasive sexual remarks, gestures, or conduct by one or more people.
Floor manager Jimmy passing lewd comments about his subordinates' personal appearances is an example of sexual harassment.
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