If common stock is issued for an amount greater than its par value, the excess amount received by the company is known as the "paid-in capital in excess of par value". This amount is not considered as a part of the legal capital but is included in the total equity of the company.
Legal capital is the minimum amount of capital that a company is required to maintain in order to protect its creditors in case of bankruptcy or insolvency. It is calculated by multiplying the number of outstanding shares with the par value of each share. Any amount received by the company above this legal capital is considered as the paid-in capital in excess of par value.
This excess amount is typically generated when the market value of the company's shares is higher than its par value. By issuing the shares at a premium, the company is able to raise additional funds that can be used for various purposes such as expansion, acquisitions, debt repayment, and so on.
The paid-in capital in excess of par value is a permanent source of equity for the company, and it cannot be distributed as dividends to shareholders. It is usually disclosed separately in the company's balance sheet and is an important indicator of the company's financial strength and market value.
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which is a typical result of a declaration of a cash dividend but not a declarationof a stock dividend
A typical result of a cash dividend declaration but not a stock dividend declaration is a decrease in the company's cash balance and an increase in the shareholder's cash flow.
The shareholders receive the dividend payment in cash and can use it for their personal needs or reinvest it in the company's stocks or other investment opportunities. However, there is no change in the number of shares outstanding or the company's total equity. On the other hand, a declaration of a stock dividend increases the number of outstanding shares, dilutes the earnings per share, and reduces the market value of each share. When a company declares a cash dividend, it is committing to distribute a certain amount of cash to its shareholders. This distribution reduces the company's retained earnings, as it is using the profits it has accumulated over time to pay the dividends.
Additionally, since the dividend is paid in cash, the company's cash balance also decreases. In contrast, when a company declares a stock dividend, it distributes additional shares of its stock to existing shareholders. This does not affect the company's cash balance, as no cash is being paid out. The stock dividend simply results in a redistribution of the company's equity among its shareholders, without reducing the overall value of the company's equity or retained earnings.
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46. What is the meaning of import-substitution-industries?
Answer:
Import substitution industrialization is an economic theory adhered to by developing countries that wish to decrease their dependence on developed countries.
you completed a managerial accounting class last semester or in a prior semester and learned about budgeting concepts. how do government budgeting concepts differ from those used in a corporate setting?
Government budgeting concepts differ from those used in a corporate setting mainly in their objectives, scope, and level of transparency.
Government budgets are often influenced by political considerations and priorities, such as funding for education or healthcare. Corporate budgets, on the other hand, are primarily focused on financial performance and meeting the needs of customers and shareholders.
Government budgeting concepts and corporate budgeting concepts differ in terms of their objectives, scope, and level of transparency, with the former focusing on public service and the latter on maximizing profitability.
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4) The business needs of XYZ, Inc is changing so the company will have to go through ________ to evolve its functionality.
A) preventive maintenance
B) perfective maintenance
C) corrective maintenance
D) adaptive maintenance
The business needs of XYZ, Inc. are changing, so the company will have to go through D) adaptive maintenance to evolve its functionality.
Adaptive maintenance is the process of making changes to a system or application to keep it relevant and effective in a dynamic business environment. This type of maintenance focuses on adjusting and updating the system to meet new business requirements, accommodate changes in technology, or comply with new regulations. In contrast, the other maintenance options mentioned have different focuses:
A) Preventive maintenance involves routine checks and updates to prevent potential issues before they arise, ensuring that the system remains stable and reliable. This type of maintenance is proactive and reduces the risk of unexpected failures.
B) Perfective maintenance aims to improve the system by enhancing its functionality, performance, or usability. This may involve adding new features, optimizing code, or making the user interface more user-friendly.
C) Corrective maintenance focuses on identifying and fixing errors and defects within the system. This type of maintenance is reactive, addressing issues only after they have occurred.
In summary, since the business needs of XYZ, Inc. are changing, adaptive maintenance is the most appropriate choice to evolve the company's functionality. This maintenance type will enable the company to adjust its system to meet new business requirements and adapt to changes in technology, ensuring continued effectiveness and relevancy.
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The business needs of XYZ, Inc. are changing, so the company will have to go through D) adaptive maintenance to evolve its functionality.
Adaptive maintenance is the process of making changes to a system or application to keep it relevant and effective in a dynamic business environment. This type of maintenance focuses on adjusting and updating the system to meet new business requirements, accommodate changes in technology, or comply with new regulations. In contrast, the other maintenance options mentioned have different focuses:
A) Preventive maintenance involves routine checks and updates to prevent potential issues before they arise, ensuring that the system remains stable and reliable. This type of maintenance is proactive and reduces the risk of unexpected failures.
B) Perfective maintenance aims to improve the system by enhancing its functionality, performance, or usability. This may involve adding new features, optimizing code, or making the user interface more user-friendly.
C) Corrective maintenance focuses on identifying and fixing errors and defects within the system. This type of maintenance is reactive, addressing issues only after they have occurred.
In summary, since the business needs of XYZ, Inc. are changing, adaptive maintenance is the most appropriate choice to evolve the company's functionality. This maintenance type will enable the company to adjust its system to meet new business requirements and adapt to changes in technology, ensuring continued effectiveness and relevancy.
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One attendee remembered McFarland standing atop a table frantically yelling instructions at the crowd. If the crowd was not able to understand McFarland's instructions because they could not hear him, it is most likely because of____ in the communications process. Multiple Choice semantic noise physiological noise psychological noise echoing noise physical noise communication
It is most likely due to a breakdown in the communications process if the crowd was unable to comprehend McFarland's instructions because they could not hear him.
What is communications process?There are four essential parts to the communication process. Encoding, transmission medium, decoding, and feedback are some of these components. Two other components are involved in the process, and they take the form of the transmitter and the recipient. There are a few typical tasks that both the sender and the receiver must finish in order to have good communication. The communication process consists of seven crucial steps: sender or source, encoding, message, medium or channel, decoding, receiver, feedback, and noise.
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the business support activities help to sustain quality and organization operations. give an example of a key business support activity and its role in quality.
One key business support activity that helps sustain quality and organization operations is quality control. Quality control involves monitoring and inspecting products or services to ensure they meet established standards of quality.
By implementing a strong quality control program, a business can catch and correct any issues before they reach customers, reducing the likelihood of complaints or returns. This not only ensures high-quality products and services but also helps maintain the reputation of the business. Overall, quality control plays a crucial role in maintaining quality and organization operations by providing a consistent and reliable way to ensure that products and services meet established standards.
Quality Management is a crucial business support activity that involves developing, implementing, and maintaining processes and systems to ensure the products or services of an organization consistently meet or exceed customer expectations.
In the context of organization operations, Quality Management plays a significant role in upholding quality by setting standards, monitoring performance, identifying areas for improvement, and implementing necessary changes. This ensures that the organization continually improves its products, services, and processes, ultimately leading to increased customer satisfaction and business success.
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customer rob hufnagel owes kellman corp. $1,250. kellman determines that the total amount is uncollectible and writes off all of hufnagel's debt. hufnagel later pays $350 to kellman.
Required:
Make the appropriate journal entries (if any) to record the receipt of $350 by Kellman.
Reverse portion of write-off
Record collection of accounts receivable
The original write-off journal entry would have been:
Debit: Allowance for Doubtful Accounts - $1,250
Credit: Accounts Receivable - $1,250
This entry would have been made when Kellman determined that Hufnagel's debt was uncollectible.
To record the receipt of $350 by Kellman, the following journal entry would be made:
Debit: Cash - $350
Credit: Accounts Receivable - $350
To reverse the portion of write-off related to Hufnagel's payment of $350, the following journal entry would be made:
Debit: Accounts Receivable - $350
Credit: Allowance for Doubtful Accounts - $350
Finally, to record the collection of the remaining accounts receivable balance of $900 (after the $350 payment), the following journal entry would be made:
Debit: Cash - $900
Credit: Accounts Receivable - $900
Note that the original write-off journal entry would have been:
Debit: Allowance for Doubtful Accounts - $1,250
Credit: Accounts Receivable - $1,250
This entry would have been made when Kellman determined that Hufnagel's debt was uncollectible.
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What is the name of a short rally of several days up to two weeks following the initial bottom from a sharp news event sell-off? a. Reversal b. Spike C. Dead Cat Bounce d. Exhaustion Gap
The name of a short rally of several days up to two weeks following the initial bottom from a sharp news event sell-off is option a. "Dead Cat Bounce".
Dead Cat Bounce refers to a temporary recovery in the market that is often followed by a further sell-off, similar to the way a dead cat might bounce once before falling to the ground. A spike, on the other hand, refers to a sudden and sharp increase in price or volume, while a temporary recover is a brief period of improvement before returning to previous levels. An exhaustion gap is a gap in the market caused by an increase in trading activity that eventually leads to a decrease in volume and a return to normal levels.
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Grupo Familia - Marketing Questions
Lucas Lopez Lince, director of the Family Care business unit, has 2 key questions that he needs answered:
Are the rising sales related to their digital marketing efforts?
How can he generate more sales from the digital marketing efforts?
Questions
What are the risks or consequences of changing the target persona? List at least 3.
What are the threats or risks to the effectiveness of the current digital marketing program, which has a substantial video-on-demand component? List at least 3.
Describe Patricia’s and Cindy’s customer journey.
What actions can be taken to help show if the digital marketing program is leading to sales? What can be done to better understand the connection between the digital marketing campaign and sales? List at least 3.
There have been 3 suggestions for increasing sales through Grupo Familia’s digital marketing campaign. What are the pros and cons of each suggestion in terms of their impact on increasing sales? List at least 2 pros and 2 cons for each of the suggestions:
Expand free content
Add premium content
Add a loyalty program
1. Risks or consequences of changing the target persona include:
(1) Losing the current customer base, (2) Failing to attract the new target persona, (3) Damaging the brand image and reputation due to confusion and inconsistency.2. Threats or risks to the effectiveness of the current digital marketing program include:
(1) Increasing competition, (2) Decreasing consumer trust and privacy concerns, (3) Changes in technology and platform usage.3. Patricia's and Cindy's customer journey involves discovering the product through a video ad, researching it on the website, reading reviews and comparing it to other products before making a purchase.
4. Actions that can be taken to show if the digital marketing program is leading to sales include:
(1) Tracking website traffic and sales data, (2) Conducting surveys and customer interviews, (3) Analyzing social media engagement and conversion rates.5. Expand free content pros:
(1) Increases brand awareness, (2) Builds customer trust.Cons:
(1) May not lead to immediate sales,(2) Could lead to cannibalization of premium content.Add premium content pros:
(1) Increases revenue potential, (2) Differentiates from competitors.Cons:
(1) May not appeal to price-sensitive customers, (2) Could require significant investment.Add a loyalty program pros:
(1) Increases customer retention, (2) Builds brand loyalty.Cons:
(1) May not attract new customers, (2) Could be costly to implement.1. Risks or consequences of changing the target persona include losing existing customers, failing to attract new customers, and damaging the brand reputation. Changing the target persona can alienate existing customers who identify with the current brand image and messaging, resulting in decreased sales.
Failing to attract new customers can lead to stagnation and reduced revenue growth. Additionally, changing the target persona can result in a loss of credibility and trust among consumers, which can damage the brand's reputation.
2. Threats or risks to the effectiveness of the current digital marketing program with a substantial video-on-demand component include ad fatigue, low engagement rates, and the emergence of new competitors. Ad fatigue can result in reduced engagement rates, leading to fewer clicks and conversions.
Low engagement rates can be caused by poor targeting, messaging, or creative, which can lead to a waste of advertising spend. The emergence of new competitors can make it more challenging to stand out in a crowded digital marketplace, resulting in a loss of market share.
3. Patricia's and Cindy's customer journey involve researching the product online, watching product videos, adding the product to their cart, and completing the purchase. The customer journey also includes post-purchase activities, such as using the product and potentially providing feedback or recommendations to others.
4. To show if the digital marketing program is leading to sales, Grupo Familia can track key performance indicators (KPIs) such as website traffic, conversion rates, and sales revenue. They can also use attribution modeling to better understand which digital marketing channels and campaigns are driving the most sales. Additionally, they can conduct customer surveys and interviews to better understand the impact of digital marketing on the decision-making process.
5. Expanding free content can increase brand awareness and engagement, but it may not directly lead to increased sales. Adding premium content can drive revenue growth and increase customer loyalty, but it may also deter potential customers who are not willing to pay. Adding a loyalty program can incentivize repeat purchases and increase customer retention, but it may not attract new customers and could be costly to implement.
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Will the future value be larger or smaller if we compound an initial amount more often than annually-for example, every 6 months, or semiannually - holding the stated interest rate constant?
The future value will be larger if we compound an initial amount more often than annually - for example, every 6 months, or semiannually - holding the stated interest rate constant.
This is because compounding more frequently increases the frequency of interest calculation, resulting in more interest being earned on the initial amount.
For example, if the stated interest rate is 6%, compounded annually, a $1,000 investment would grow to $1,060 after one year.
However, if the interest is compounded semiannually, the investment would earn interest twice a year at 3%, resulting in a total of $1,060.90 after one year, which is higher than the annual compounding scenario.
Therefore, the more frequently the interest is compounded, the higher the future value will be.
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A nuclear weapon with the explosive power of 10 kilotons of TNT will have a fallout radius of up to 6 miles. This is an example of a (Click to select statement (Click to select) normative positive
This is an example of a positive statement, as it describes a factual relationship between the explosive power of a nuclear weapon and its fallout radius. It does not express any value judgments or opinions about whether such weapons should or should not be used.
A normative statement expresses a value judgment about what ought to be, rather than describing what actually is. Normative statements are subjective and are based on personal beliefs, opinions, or values. For example, "People should not be allowed to own guns" is a normative statement because it expresses a subjective value judgment about what should be allowed in society.
A positive statement, on the other hand, describes what actually is or what can be tested and verified through empirical evidence. Positive statements are objective and based on factual information. For example, "The average global temperature is increasing" is a positive statement because it describes an observable phenomenon that can be measured and verified through data.
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Comparing credit and debit cards. Samuel Ramirez is trying to decide whether to apply for a credit card or a debit card. He has $8,500 in a savings account at the bank and spends his money frugally. What advice would you have for Samuel? Describe the benefits and drawbacks of each type of card.
Samuel should consider a debit card due to his frugal spending and existing savings.
Debit cards offer better control over spending, while credit cards may lead to potential debt and interest charges. Both options have their benefits and drawbacks.
Debit cards allow Samuel to spend only the money he has in his bank account, providing better control over his finances. This helps avoid overspending and accumulating debt. Additionally, debit cards often come with fewer fees compared to credit cards.
However, credit cards can offer benefits such as reward programs, purchase protection, and building credit history. They can also provide short-term borrowing options in case of emergencies. Drawbacks include the potential for accumulating debt and paying interest if the balance is not paid in full each month.
In conclusion, since Samuel is frugal and has a sizeable savings account, a debit card might be the better choice for him to manage his finances effectively without the risk of overspending and incurring interest charges.
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Assuming the total population is 100 million the civilian labor force is 80 million and 76 million workers are employed, the unemployment rate is a. бреrсеnt b. 4 percent c. 8 percent d. 5 percent
The unemployment rate is 5%, which corresponds to option (d) in your question.
To calculate the unemployment rate, we'll use the following terms: total population, civilian labor force, and the number of employed workers. Here's the step-by-step explanation:
1. Total population: 100 million
2. Civilian labor force: 80 million
3. Employed workers: 76 million
To find the unemployment rate, first determine the number of unemployed workers. This is done by subtracting the number of employed workers from the civilian labor force:
Unemployed workers = Civilian labor force - Employed workers
Unemployed workers = 80 million - 76 million
Unemployed workers = 4 million
Next, calculate the unemployment rate by dividing the number of unemployed workers by the civilian labor force and multiplying by 100:
Unemployment rate = (Unemployed workers / Civilian labor force) × 100
Unemployment rate = (4 million / 80 million) × 100
Unemployment rate = 0.05 × 100
Unemployment rate = 5%
So, the unemployment rate is 5%, which corresponds to option (d) in your question.
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The problem of losing desired information from a database when an unwanted record is purged from the database is referred to as the ________ anomaly.
A) purge
B) erase
C) delete
D) integrity
The problem of losing desired information from a database when an unwanted record is purged from the database is referred to as the delete anomaly(C).
This occurs when a record is deleted from a table and other related records become orphaned, causing the loss of important information. The delete anomaly can be prevented by properly designing the database with appropriate relationships and constraints.
The "deletion anomaly" refers to a problem in database management where the deletion of a record from a table may result in the unintended loss of other related data. This happens because the deleted record may contain information that is necessary for other records to remain meaningful or complete. Thus, deleting a single record can result in the loss of data that was associated with it, creating an "anomaly" in the database. This can be avoided by properly structuring the database and its relationships, and using techniques such as cascading deletes or soft deletes to ensure that related data is not lost when a record is deleted.
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Transactions costs are:
A) the return to the entrepreneur.
B) the return to moving a product to market.
C) the expenses of producing a product.
D) the expenses of negotiating and executing a deal.
Transactions costs are the expenses of negotiating and executing a deal.
So, the correct answer is D.
What's transaction costTransaction costs refer to the expenses incurred in the process of making a transaction or deal, such as negotiating, drafting contracts, and enforcing agreements.
These costs include time, effort, and money spent on researching and evaluating potential partners, communicating and negotiating terms, and resolving any disputes that may arise.
Transaction costs are important to consider when making business decisions, as they can significantly impact the profitability and success of a transaction.
For this question, the correct answer is D. the expenses of negotiating and executing a deal.
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Janice purchases large pieces of furniture for customers in her interior design business. How can she protect herself from customers not paying for the expenses she incurs on their behalf?
Answer:
A. Create an estimate for the customer when the furniture is purchased.
B. Invoice the customers for a deposit before the furniture is purchased.
C. Create a progress invoice and include the furniture as an item on it.
D. Enter a bill for the furniture and mark it as billable.
B. Invoice the customers for a deposit before the furniture is purchased.
Janice can protect herself from customers not paying for the expenses she incurs on their behalf by invoicing them for a deposit before purchasing the furniture. This will ensure that the customer has some skin in the game and is committed to paying for the expenses. Additionally, Janice can also create a clear contract or agreement with the customer that outlines the terms of the purchase, including payment schedules and consequences for non-payment. By taking these steps, Janice can minimize the risk of financial losses and maintain a healthy cash flow for her business.
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B. Invoice the customers for a deposit before the furniture is purchased.
Janice can protect herself from customers not paying for the expenses she incurs on their behalf by invoicing them for a deposit before purchasing the furniture. This will ensure that the customer has some skin in the game and is committed to paying for the expenses. Additionally, Janice can also create a clear contract or agreement with the customer that outlines the terms of the purchase, including payment schedules and consequences for non-payment. By taking these steps, Janice can minimize the risk of financial losses and maintain a healthy cash flow for her business.
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Suppose there are two risky stocks. Stock one has an expected return of 10 % and a return standard deviation of 20 %. Stock 2 has an expected return of 5 % and a return standard deviation of 10 %. The correlation between the returns of the two stocks is .5. There is also a riskless asset with a return of 3 %. (a) Suppose you put a fraction w1 of your wealth in stock 1 and a fraction w2 of your wealth in stock 2, with (1 – W1 – W2) going to the riskless asset. What is the expected return, return variance, and Sharpe ratio of this portfolio of risky assets? (b) What is the minimum variance portfolio you can form from investing only in stock 1 and stock 2? (c) What portfolio of stocks 1 and 2 has the largest Sharpe ratio? (i.e. is the tangency portfolio) (d) Suppose you are a mean variance investor that maximizes E(Rp) – 2 * Var(Rp) where Rp is the return on your portfolio of both risky and riskless assets. What fraction of your wealth should you invest in each of the three assets available?
The expected return is 3% .Return variance is 20% and sharpe ratio is Sharpe ratio: (E(Rp) - 3%) / sqrt(Var(Rp)).
(a) To calculate the expected return, return variance, and Sharpe ratio of the portfolio, follow these steps:
Expected return: E(Rp) = w1 * 10% + w2 * 5% + (1 - w1 - w2) * 3%, Return variance: Var(Rp) = (w1^2 * 20%^2) + (w2^2 * 10%^2) + 2 * w1 * w2 * 20% * 10% * 0.5,Sharpe ratio: (E(Rp) - 3%) / sqrt(Var(Rp))
(b) To find the minimum variance portfolio of stock 1 and stock 2, set the derivative of Var(Rp) with respect to w1 equal to zero and solve for w1 and w2.
(c) To find the tangency portfolio with the largest Sharpe ratio, maximize the Sharpe ratio function with respect to w1 and w2.
(d) To determine the optimal investment fractions, maximize the mean-variance investor's objective function, E(Rp) - 2 * Var(Rp), with respect to w1, w2, and (1 - w1 - w2).
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3. given the following information, what is the standard deviation of stock a? economic condition probability return on stock a return on stock b slow growth 30% -9% 4% moderate growth 50% 13% 14% high growth 20% 36% 24%
Based on the given information, the standard deviation of stock A would be 16.01%.
How to find?To calculate the standard deviation of Stock A, we first need to calculate the expected return of Stock A.
We can do this by multiplying the probability of each economic condition by the corresponding return on Stock A and then summing the results:
Expected Return on Stock A = (30% x -9%) + (50% x 13%) + (20% x 36%) = -2.7% + 6.5% + 7.2% = 11%
Next, we need to calculate the variance of Stock A. We can do this by taking the difference between each return on Stock A and the expected return, squaring those differences, multiplying each squared difference by the probability of the corresponding economic condition, and then summing the results:
Variance of Stock A = (30% x (-9% - 11%)^2) + (50% x (13% - 11%)^2) + (20% x (36% - 11%)^2) = 256.7
Finally, we can calculate the standard deviation of Stock A by taking the square root of the variance:
Standard Deviation of Stock A = √256.7 = 16.01%
Hence, the standard deviation of Stock A is 16.01%.
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Title: Tax Planning for Corporate Taxpayers Jackson Corporation prepared the following book income statement for its year ended December 31, 2013:
Sales-------$950,000
Minus: Cost of goods sold--------(450,000)
Gross profit... $500,000
Plus: Dividends received on Invest Corporation stock------------$3,000
Gain on sale of Invest Corporation stock------------------- $30,000
Total dividends and gain $33,000
Minus: Depreciation ($7,500 + $52,000)--- $59,500
Bad debt expense----------------------$22,000
Other operating expenses-----------$105,500
Loss on sale of Equipment 1-------- $70,000
Total expenses and loss-------------- (257,000)
Net income per book before taxes-------------------- $276,000
Minus: Federal income tax expense-------- (90,000)
Net income per book---------------- $186,000
Information on equipment depreciation and sale:
Equipment 1: Acquired March 3, 2011 for $180,000
For books: 12-year life; straight-line depreciation
Sold February 17, 2013 for $80,000
Sales price $80,000
Cost $180,000 Minus: Depreciation for 2011 (1/2 year)...... $7,500
Depreciation for 2012 ($180,000/12)......$15,000
Depreciation for 2013 (1/2 year) ....$7,500
Total book depreciation........ (30,000)
Book value at time of sale....... (150,000)
Book loss on sale of Equipment 1.... $70,000
For tax: Seven-year Modified Accelerated Cost Recovery System (MACRS) property for which the corporation made no Sec. 179 election in the acquisition year and elected out of bonus depreciation.
Equipment 2:
Acquired February 16, 2012 for $624,000
For books: 12-year life; straight-line depreciation
Book depreciation in 2013: $624,000/12 = $52,000
For tax: Seven-year MACRS property for which the corporation made the Sec. 179 election in 2012 but elected out of bonus depreciation.
Other information:
Under the direct write-off method, Jackson deducts $15,000 of bad debts for tax purposes.
Jackson has a $40,000 Net Operating Loss (NOL) carryover and a $6,000 capital loss carryover from last year.
Jackson purchased the Invest Corporation stock (less than 20% owned) on June 21, 2011, for $25,000 and sold the stock on December 23, 2013, for $55,000.
Jackson Corporation has a qualified production activities income of $120,000.
Tasks:
1. For 2013, calculate Jackson's tax depreciation deduction for Equipment 1 and Equipment 2, and determine the tax loss on the sale of Equipment 1.
For Equipment 1:Using the 7-year MACRS property and the mid-month convention, the depreciation for 2011 would be $12,857 (1/2 of the 14.29% rate for 6/12 months) and the depreciation for 2012 would be $27,446 (the full 14.29% rate for 12/12 months).
For 2013, since it was sold in February, only 1/2 year of depreciation would be allowed, which would be $8,199 (the 14.29% rate for 2/12 months). Therefore, the total tax depreciation deduction for Equipment 1 would be $48,502 ($12,857 + $27,446 + $8,199).
The tax loss on the sale of Equipment 1 would be calculated as follows:
Sales price $80,000
Book value at time of sale $150,000
Book loss on sale of Equipment 1 ($70,000)
Tax basis ($180,000 - $12,857 - $27,446 - $8,199) $131,498
Tax loss on sale ($80,000 - $131,498) ($51,498)
For Equipment 2:
Using the 7-year MACRS property and the mid-year convention, the depreciation for 2013 would be $89,143 (the full 14.29% rate for 6/12 months). Therefore, the tax depreciation deduction for Equipment 2 would be $89,143.
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All of the following are psychological influences except _____.
perception
reference groups
attitudes
personality
The correct answer is "reference groups."All of the following are psychological influences except _____.
Psychological influences refer to factors that affect an individual's behavior, thoughts, and emotions. Perception, attitudes, and personality are all examples of psychological influences that can impact an individual's behavior. Perception refers to how we interpret and make sense of the information we receive from our environment. Attitudes are our positive or negative feelings towards something, which can affect our behavior towards it. Personality is a set of characteristics and traits that shape an individual's behavior.
On the other hand, reference groups are social influences, not psychological influences. Reference groups are the groups that individuals use as a basis for comparison in forming their own attitudes and behavior. They include family, friends, coworkers, and other groups that are important to an individual. Reference groups can have a significant impact on an individual's behavior, but they are not considered psychological influences.
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Which Of The Following Is NOT True About Pricing?a. pricing decisions should be viewed as opportunity to create value for customers.b. Price is one of the most important factors in customer purchase decisionsc. it is the only element of the marketing mix that generates revenued. Price is broader than money customers pay to purchase a productimplementing a good pricing strategy is chalenging but can be effective for a very long time.
Pricing is an essential element of a company’s marketing strategy that can have a significant impact on its profitability. It is the only element of the marketing mix that generates revenue, and it is a key factor in customer purchase decisions.
Therefore, pricing decisions should be viewed as an opportunity to create value for customers.
Implementing a good pricing strategy can be a challenging task. First, it is important to determine the target market and understand the desired market position for the product. This will help determine the pricing objectives and pricing strategy. Once the pricing objectives and strategy have been determined, the company must consider the cost structure of the product, competitor prices and the overall pricing environment.
Finally, it is important to monitor the effectiveness of the pricing strategy. Market conditions and customer preferences can change quickly, and the company must be ready to adjust its pricing strategy accordingly.
Companies should also consider using market research to track customer perceptions of their product and price. By taking the time to understand the customer and the market, companies can create pricing strategies that can be effective for a very long time.
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automation, an advantage of using computers, may also be viewed as a disadvantage of using computers, since automation may lead to job losses for those who cannot adapt to changes. TRUE OR FALSE?
True, automation can be both an advantage and a disadvantage of using computers. On one hand, automation improves efficiency, reduces human error, and allows tasks to be completed more quickly. It can save time, money, and resources for businesses, which is a significant advantage.
On the other hand, automation can lead to job losses for those who cannot adapt to changes. As computers and technology continue to evolve, some jobs are being replaced by automated systems. For instance, manufacturing jobs have seen a decline due to the increased use of robots and automated processes.
Workers who do not have the skills to adapt to new technology may find it difficult to secure employment in an automated world.
In conclusion, while automation offers many benefits, it can also be viewed as a disadvantage for certain individuals who struggle to keep up with the ever-changing technology landscape.
The key to mitigating the negative impact of automation is to invest in education and training, enabling people to acquire the skills necessary to adapt to new technologies and job requirements.
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in 2014, the income distribution of the united states was such that 5% of the population had earned more than $206,600. a fictional politician made the claim that this 5% of individuals was earning too much income relative to the rest of the population. her proposed solution was to record identifying information for each individual earning $206,600 or more. the government would then use this list every subsequent year, taxing each individual on record at a higher rate than the rest of the population. why might this proposed solution fail to flatten the income distribution?
The proposed solution may fail to flatten the income distribution for several reasons like: Tax Avoidance; Economic Mobility; Economic Incentives; Distorted Market Behavior; and Negative Effects on the Economy.
Income distribution refers to how a nation's total income is divided among its population. It is a measure of how income is distributed across different individuals or households within a society.
Income distribution can be represented in various ways, such as through income quintiles or percentiles, which divide the population into equal-sized groups based on their income levels.
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what are the rationalizable strategies of the game ""evens or odds"" from exercise s12 in chapter 4?
Both players can use these rationalizable strategies to increase their chances of winning the "evens or odds" game.
In the game "evens or odds" from exercise S12 in Chapter 4, the rationalizable strategies for each player involve choosing between playing an even or an odd number. Both players must consider their opponent's potential choices to maximize their probability of winning.
Player 1's rationalizable strategies would involve estimating the likelihood of Player 2 selecting an even or odd number and choosing their number accordingly. Similarly, Player 2's rationalizable strategies would involve anticipating Player 1's choice between even and odd numbers and making a decision based on that information.
Both players can use these rationalizable strategies to increase their chances of winning the "evens or odds" game.
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In the game "Evens or Odds," there are two players, and each must choose to either show an even or an odd number by holding up one or two fingers.
The sum of the fingers shown determines the winner: if the sum is even, the player who chose even wins, and if the sum is odd, the player who chose odd wins. To find the rationalizable strategies of the game, we can start by analyzing the dominant strategies. However, there are no dominant strategies in this game because the outcome of the game depends on the sum of the fingers shown, not just the individual choices of each player.
Instead, we can identify rationalizable strategies by eliminating the choices that are clearly dominated by others. For example, if a player always chooses to show two fingers, this choice is dominated by the choice to show one finger because the latter gives the same chance of winning with a lower risk of losing.
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in the management in action case, the systems viewpoint would categorize the plant-based fibers and recycled polyester stella mccartney uses to develop "fur-free" fur as
The systems viewpoint in management recognizes the interconnectedness and interdependence of various parts of an organization. In the case of Stella McCartney's "fur-free" fur, the plant-based fibers and recycled polyester used to develop the product would be categorized as inputs in the production process.
These inputs are transformed through a series of processes into the final product, which is the "fur-free" fur. The systems viewpoint would also consider the impact of this product on various stakeholders such as customers, suppliers, employees, and the environment.
By using sustainable and eco-friendly materials, Stella McCartney is not only creating a unique and innovative product but also contributing to the larger goal of promoting environmental sustainability.
Therefore, the systems viewpoint would recognize the importance of considering the entire production process, including the inputs, processes, and outputs, to ensure the sustainability and success of the organization.
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\Superclasses contain more features than their subclasses
false true
False.\Superclasses contain more features than their subclasses
In object-oriented programming, superclasses are higher in the inheritance hierarchy and are typically more general and abstract than their subclasses. As a result, subclasses typically inherit features from their superclasses and may add additional features or override existing ones. Therefore, it is more common for subclasses to contain more features than their superclasses.In object-oriented programming, a superclass is a class that is higher in the hierarchy than another class, also known as a subclass. Superclasses are also referred to as base classes or parent classes, while subclasses are sometimes called derived classes or child classes.
A superclass can define common behaviors and attributes that are inherited by its subclasses, allowing for code reuse and maintaining consistency across related classes. Subclasses can then add their own unique behaviors and attributes, while still inheriting the features of the superclass.
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currency business driver include all except: revenue generation data regulations risk
Regulations, risk, and other factors may impact the decision-making process for businesses involved in currency exchange or trading.
The currency business driver includes all of the listed factors except for revenue generation data. This is because revenue generation data is not necessarily a driving force behind currency business decisions. However, regulations, risk, and other factors may impact the decision-making process for businesses involved in currency exchange or trading.
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Whole food produces cupcakes in its factory using the following production function, with labor (L) and capital (K):
Q = L1/2K1/2
a. [5pts] What is the marginal product of capital? Does the production function exhibit diminishing returns to capital (with labor held fixed)? Explain.
b. [5pts] What is the marginal rate of technical substitution of labor (x-axis) for capital (y-axis)? When the factory uses L=20 and K=10, how many units of capital can be substituted for one unit of labor?
c. [8 pts] Suppose that labor costs $5/unit, and capital costs $10/unit. What levels of capital and labor will Whole food choose to produce an output of Q and minimize costs (that is, L and K must depend on Q)?
d. [7pts] Derive the firm’s cost function in terms of quantity Q. What are the firm’s marginal costs and average costs?
e. [5pts] Does this firm exhibit economies or diseconomies of scale? Explain and show your reasoning.
Whole food produces cupcakes in its factory using the following production function, with labor (L) and capital (K): Q = L1/2K1/2 answers are as below:
a. The marginal product of capital is given by the partial derivative of the production function with respect to capital (holding labor constant):[tex]MPK = ∂Q/∂K = 1/2 * L^{1/2}* K^{-1/2}[/tex]The production function exhibits diminishing returns to capital because the marginal product of capital decreases as more units of capital are added, holding labor constant.b. The marginal rate of technical substitution (MRTS) of labor for capital is the ratio of the marginal product of labor to the marginal product of capital:[tex]MRTS = MPL/MPK = (1/2 * K^{1/2} * L^{-1/2}) / (1/2 * L^{1/2} * K^{-1/2}) = K/L[/tex]When the factory uses L=20 and K=10, the MRTS is 10/20 = 0.5, which means that the firm can substitute 0.5 units of capital for one unit of labor while keeping output constant.c. To minimize costs, the firm must choose the combination of labor and capital that gives the same level of output at the lowest possible cost. The cost function is given by:C = wL + rKwhere w is the wage rate, r is the rental rate of capital, L is the amount of labor used, and K is the amount of capital used. We can substitute the production function into the cost function to get:[tex]C = wL + rK = wL + r(Q/K) = wL + r(L^{1/2}K^{-1/2})[/tex]To minimize costs for a given level of output Q, we take the partial derivatives of the cost function with respect to L and K, set them equal to zero, and solve for L and K:[tex]∂C/∂L = w - 1/2 * r * (K/L)^(3/2) = 0\\∂C/∂K = r/Q - 1/2 * w * (L/K)^(1/2) = 0[/tex]Solving these equations simultaneously, we get:[tex]L = (2w^2/r^2) * Q\\K = (2r^2/w^2) * Q[/tex]Substituting the given values of w and r, we get:[tex]L = (2(5)^2/(10)^2) * Q = 1/2 * Q\\K = (2(10)^2/(5)^2) * Q = 8Q[/tex]d. The firm's cost function in terms of quantity Q is:C(Q) = 5(1/2 * Q) + 10(8Q) = 45QThe marginal cost (MC) is the derivative of the cost function with respect to Q:MC = dC/dQ = 45The average cost (AC) is the cost per unit of output, which is given by the total cost divided by the quantity produced:AC = C/Q = 45e. This firm exhibits economies of scale up to a certain level of output, and diseconomies of scale beyond that level. This can be seen from the fact that the average cost is decreasing up to a certain level of output and increasing beyond that level. The firm has decreasing returns to scale because the production function exhibits diminishing marginal product of labor and capital, and increasing returns to scale at low levels of output because the firm can take advantage of lower unit costs of labor and capital. However, as output increases beyond a certain level, the firm experiences diminishing marginal returns and higher unit costs of labor and capital, leading to diseconomies of scaleFor more such question on production function
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a proton moves at a speed 1.9 × 107 m/s perpendicular to a magnetic field. the field causes the proton to travel in a circular path of radius 0.975 m.
the magnetic field is [tex]0.0216 Tesla.[/tex]
A proton moves at a speed of [tex]1.9 × 10^7 m/s[/tex] perpendicular to a magnetic field, resulting in the proton traveling in a circular path with a radius of 0.975 m due to the magnetic force acting upon it.
The proton is experiencing a magnetic force that is perpendicular to both its velocity and the magnetic field. This force is known as the Lorentz force and is given by the equation [tex]F = q(v x B)[/tex], where F is the force, q is the charge of the particle, v is the velocity, and B is the magnetic field.
Since the proton is traveling in a circular path, it must be experiencing a centripetal force that is directed towards the center of the circle. This force is given by the equation [tex]F = mv^2/r[/tex], where m is the mass of the proton and r is the radius of the circle.
Since the two forces are equal, we can equate them and solve for the magnetic field:
[tex]q(v x B) = mv^2/r[/tex]
[tex]B = mv/(q r)[/tex]
Substituting the given values, we get:
[tex]B = (1.67 x 10^-27 kg)(1.9 x 10^7 m/s)/(1.6 x 10^-19 C)(0.975 m)[/tex]
[tex]B = 0.0216 T[/tex]
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The demand for a product is q = 2000 - 4p where q is units sold at a price of p dollars. Find the elasticity E if the price is $20. Round your answer to two decimal places
The elasticity E if the price is $20 and the demand of product is 1920 is as follows on calculation is 96.00.
Q=2000 - 4p
putting P = 20 we get
q= 1920
we know that elasticity is calculated as = quantity demanded / price
=1920/20 = 96.00
A good's quantity sought is calculated using/utilizing its price elasticity of demand. When prices rise, demand falls for almost all commodities, but certain commodities are affected more than others. When a price increases by 1% while all other factors remain constant, the price elasticity provides the percentage change in quantity required. If the elasticity is 2, a 1% increase in price results in a 2% decrease in amount demanded. The impact of changes in other factors on the required quantity is quantified by various elasticities.
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