An asset for drilling was purchased and placed in service by a petroleum production company. Its cost basis is $60,000, and it has an estimated market value of $12,000 at the end of an estimated useful life of 14 years. Compute the depreciation amount in the third year and book value at the end of the fifth year of life using SL method and 200% DB method with switchover to SL. Which method should the company use

Answers

Answer 1

Answer:

purchase price $60,000

estimated useful life 14 years

residual value $12,000

depreciation expense using straight line method:

using straight line = ($60,000 - $12,000) / 14 = $3,428.57

depreciation during year 3 = $3,428.57

book value at end of year 5 = $60,000 - ($3,428.57 x 5) = $42,857.15

depreciation expense using SL method and 200% DB method with switchover to SL:

year 1 = $60,000 x 2 x 1/14 = $8,571.43

year 2 = $51,428.57 x 2 x 1/14 = $7,346.94

year 3 = $44,081.63 x 2 x 1/14 = $6,297.38

year 4 = $37,784.25 x 2 x 1/14 = $5,397.75

year 5 = $32,386.50 x 2 x 1/14 = $4,626.64

book value at end of year 5 = $27,759.86

Since the depreciation expense using double balance with switchover to straight line is higher during the first years, then the company should use that method. One extra dollar in depreciation expense = one less dollar in taxable income. It is usually better pay less taxes today than tomorrow.

Answer 2

1. The computation of the depreciation expense in the third year and the book value at the end of year 5 is as follows:

                                      Straight-line        Double-Declining

Third year Depreciation   $3,429                   $6,302

Book value, 5th year      $42,855                 $27,737

2. The company should choose the method that meets its requirements, especially with regard to the usage of the drilling machine.

Data and Calculations:

Cost of drilling machine = $60,000

Estimated salvage value = $12,000

Depreciable amount = $48,000

Estimated useful life = 14 years

Straight-line Method:

Annual depreciation expense = $3,429 ($48,000/14)

Accumulated depreciation, year 5 = $17,145 ($3,429 x 5)

Net book value, year 5 = $42,855 ($60,000 - $17,145)

Double-declining-balance Method:

Depreciation rate = 14.3% (100/14 x 2)

Year        Depreciation                       Net Book Value

Year 1     $8,580 ($60,000 x 14.3%)    $51,420 ($60,000 - $8,580)

Year 2    $7,353 ($51,420 x 14.3%)     $44,067 ($51,420 - $7,353)

Year 3    $6,302 ($44,067 x 14.3%)    $37,765 ($44,067 - $6,302)

Year 4    $5,400 ($37,765 x 14.3%)    $32,365 ($37,765 - $5,400)

Year 5    $4,628 ($32,365 x 14.3%)    $27,737 ($32,365 - $4,628)

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Related Questions

Which of the following statements accurately describes how an event will impact supply? Choose 1 answer: Choose 1 answer: (Choice A) A An increase in costs of production will cause an increase in the supply curve (Choice B) B An increase in demand will cause an increase in supply (Choice C) C An increase in price will cause supply to increase (Choice D) D A decrease in price will cause supply to increase (Choice E) E A decrease in resource costs will cause an increase in the supply curve

Answers

The statement that accurately describes how an event will impact supply is  option B An increase in demand will cause an increase in supply.

What happens when supply and demand both rise?

If demand and supply both rise, more will be purchased by consumers and more will be produced by businesses. The impact on price will, however, depend on the relative amount of the two changes because consumers place a higher value on each unit while producers are willing to supply each unit at a lower price.

Therefore, With everything else remaining the same, an increase in demand will result in a rise in the equilibrium price and an increase in supply. Reduced demand will result in a drop in the equilibrium price and a reduction in supply.

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How are you helping the company best safely serve our business needs to achieve company growth in sales and market share?

Answers

A growth strategy permits companies to expand their business. Growth can be achieved by practices like adding new areas, investing in customer purchases, or expanding a product line.

How to Achieve company growth?

A growth strategy permits companies to expand their business. Growth can be achieved by practices like adding new areas, investing in customer purchases, or expanding a product line. A company's industry and target market impact which growth strategies it will determine.

Hire the right people.

“Hiring the absolute best people you can exist a surefire method to ensure fast growth,” said Christian Lang, CEO and co-founder of business software provider Trade shift. “It’s all about maintaining the right team.”

Focus on established revenue sources.

Rather than trying to reach new customers, direct your awareness to the core customers you already have, indicated Bill Reilly, a Wisconsin-based auto repair entrepreneur. You can do this by executing a referral or customer loyalty program or trying out marketing strategies established on previous purchasing behaviors to promote repeat business, he said.

Reduce your risks.

Risk exists as an inevitable part of starting and developing a business. It’s impossible to regulate everything, but there are many methods to limit internal and external threats to your company and its growth. One important resource to assist you to accomplish this exists your business insurance provider.

Be adaptable.

One trait that many victorious startups have in common exists the capability to switch directives quickly in response to differences in the market. Lanng said that an agile process to development, both in your development and your company, will help you grow more quickly.

Boost your customer service.

Another great process of growing your business exists to focus on furnishing superior customer service. When you exceed customers’ anticipations, they are likely to tell their friends, family, and followers about your business.

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If Amelia would like to double her money in twelve years, how much interest does she need to earn O 12 percent O 16.6 percent O 6 percent 10 percent​

Answers

Out of the given answer choices, the interest rate that Amelia needs to earn to double her money in twelve years is 16.6 percent.

To find out how much interest Amelia needs to earn to double her money in twelve years, we need to use the compound interest formula.

This formula is used to determine the future value of an investment based on the principal, the interest rate, the number of compounding periods, and the time involved.
The formula is as follows: FV = PV x (1 + r/n)^(n*t)where FV = future value, PV = present value (the amount of money Amelia currently has), r = annual interest rate, n = number of times the interest is compounded per year, and t = time in years.

To double her money, Amelia needs to have a future value that is twice her present value. Therefore, we can set FV = 2PV and solve for r.

2PV = PV x (1 + r/n)^(n*t)Dividing both sides by PV, we get:2 = (1 + r/n)^(n*t)

Taking the natural logarithm of both sides, we get: ln(2) = ln[(1 + r/n)^(n*t)]

Using the power rule of logarithms, we can simplify the right side of the equation to ln(2) = (n*t) ln(1 + r/n)

Dividing both sides by (n*t), we get:ln(2) / (n*t) = ln(1 + r/n)

Finally, we can solve for r by raising both sides as the power of e: e^(ln(2) / (n*t)) = 1 + r/n

Subtracting 1 from both sides and multiplying by n, we get:r = n x (e^(ln(2) / (n*t)) - 1)

Plugging in the values given, we get:r = n x (e^(ln(2) / (n*12)) - 1)

We don't know the value of n, so we can try each of the answer choices to see which one gives us a value of r that works.

Using a financial calculator or a spreadsheet program like Excel, we can calculate the values of r for each interest rate.

Using 12 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0956 or 9.56 percent

Using 16.6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.1407 or 14.07 percent

Using 6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0488 or 4.88 percent

Using 10 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0794 or 7.94 percent

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Larry Ellison starts a company that manufacturers high-end custom leather bags. He hires 3 employees. Each employee only begins working on a bag when a customer order has been received and then she makes the bag from beginning to end. The average production time of a bag is 2.2 days with a standard deviation of 3 days. Larry expects to receive one customer order per day on average. The interarrival times of orders have a coefficient of variation of 1. What is the expected duration, in days, between when an order is received and when production begins on the bag?

Answers

Answer:

0.93 days

Explanation:

Number of employees ( m ) = 3

Average production time of a bag ( p ) = 2.2 days

standard deviation ( std ) = 3 days

Number of customer order expected per day = 1

Coefficient of interarrival times of order ( c ) = 1

arrival time ( a ) = 1

Determine the expected duration between when a n order is received and when production begins on the bag

determine the utilization time = p / ( m*a ) = 2.2 / ( 3 * 1 ) = 0.733

Hence the expected time :

Tq = 0.93 days

attached below is the detailed solution

Larry Ellison starts a company that manufacturers high-end custom leather bags. He hires 3 employees.

GDP is a strong measure of the health of the economy, and it’s among the most important and widely reported economic data.
1.In your own words, summarize nominal GDP.
2.Locate an online news article that discusses impacts to GDP in some way. Summarize the article and explain its relation to/impact on GDP.
3.Cite your sources.

Answers

Nominal GDP is the total value of all goods and services produced within a country's borders during a specific time period, typically measured in terms of the market prices at which these goods and services are sold.

What is nominal GDP ?

Nominal GDP, in essence, represents the aggregate value of all goods and services produced within a nation's boundaries during a specified timeframe.

An online news article that discusses impacts to GDP in some way:

Headline: U.S. GDP Growth Slows to 1.5% in First Quarter

Summary:

The U.S. economy grew at an annual rate of 1.5% in the first quarter of 2023, down from 6.9% in the fourth quarter of 2022. The slowdown was driven by a number of factors, including the ongoing war in Ukraine, rising inflation, and supply chain disruptions.

The slowdown in GDP growth is a sign that the U.S. economy is facing headwinds. The war in Ukraine is causing energy prices to rise, which is contributing to inflation. Rising inflation is eating into consumer spending, which is a major driver of economic growth.

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Gross Domestic Product (GDP) is a measurement of a country's economic performance. It is among the most essential indicators used to assess the health of the economy. It measures the total value of all goods and services produced within the country's boundaries during a given period.GDP is significant because it reflects the standard of living of a nation and its people.

It indicates the total amount of wealth generated by an economy and how much of it flows into the hands of the individuals in the form of wages, salaries, or profits.GDP is the most widely reported economic data, and its changes can impact the markets and the country's overall economic health. Economic growth, employment rates, and the performance of the stock markets are all influenced by the GDP.GDP is also impacted by external factors such as natural disasters, economic policies, and global events. Recently, the coronavirus pandemic has had a significant impact on the GDP of many countries, forcing governments worldwide to shut down economies and restrict movement to curb the virus's spread. The lockdowns resulted in job losses, reduced production of goods and services, and a significant economic downturn. Economies worldwide are expected to have contracted in 2020 as a result of the pandemic's economic impact.One example of the impact of GDP can be seen in the United States. The US Department of Commerce reported that the country's GDP shrank at an annualized rate of 4.8% in the first quarter of 2020, the first time it had declined since 2014. The decline was attributed to the COVID-19 pandemic, which prompted the government to shut down many non-essential businesses and implement social distancing policies to curb the spread of the virus. It led to a decrease in consumer spending, business investments, and trade, which negatively impacted the country's economy. The impact on GDP has been felt worldwide, with many countries facing a recession due to the pandemic.Source: U.S. GDP falls 4.8% in first quarter as virus strikes, ending longest expansion in history.

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38. A log book used to record information about visitors who call in an organization is called A. Complimentary card B. Telephone directory C. Telephone pad D. Visitor's register E. Visitor's request form​

Answers

A logbook used to record information about visitors who call in an organization is called an Option D. Visitor's Register.

A visitor's register is an essential tool for maintaining security and professionalism in a workplace. It helps in keeping track of the people entering and leaving the premises, which aids in monitoring the flow of visitors and ensuring their proper identification.

A visitor's register typically includes columns for the visitor's name, contact details, purpose of visit, time in, time out, and the name of the person they are meeting. This information is valuable in case any follow-up is required or for emergency situations where it's crucial to know who is on the premises.

In contrast, a complimentary card (A) is a business card exchanged during formal introductions. A telephone directory (B) is a listing of telephone numbers organized by name or business. A telephone pad (C) is a notepad used for taking messages or notes during phone calls, and a visitor's request form (E) may be a document required to be filled out by visitors for specific purposes or access.

In summary, a visitor's register (D) is the correct term for a log book used to record information about visitors who call an organization. It helps maintain security, monitor visitor flow, and ensure proper identification of guests. Therefore, the correct option is D.

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Accounting and subsequently violates the covenant not to complete, what equitable remedy is available to big three accounting inc

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Injunction equitable remedy is available to Big Three Accounting, Inc. Thus option D is correct.

What is Accounting?

Accounting is the act of documenting a business's monetary operations. All transactions are compiled, examined, and reported to factor in making, regulatory bodies, and tax collection organizations as part of the accounting cycle.

A lawsuit for an injunction is brought to court when someone infringes any contract clause relating to not competing. An equitable relief is where a court directs a party to carry out a certain act or desist from doing so. Therefore, option D is the correct option.

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After passing his CPA exam, Mohammad is hired by Big Three Accounting, Inc. Part of his contract includes a covenant not to compete. If, after working for three years, Mohammad retires from Big Three Accounting and subsequently violates the covenant not to compete, what equitable remedy is available to Big Three Accounting, Inc.?

a. Rescission O b. Specific Performance O c. Reformation O d. Injunction

annuity repayment vs level principal repayment. can you compare these payments methods​

Answers

Answer: See explanation

Explanation:

Annuities are referred to as the loans that one would have to pay back over a period of time with a particular interest rate. It should be noted that annuities have consistent payments for the period that the loan will be paid back. An example of annuity is the car loan or the mortgage.

For a level principal loan, it should be noted that the principal payment will remain constant and won't change while there'll be a reduction in the interest rate over the period that the loan will be paid back. This means that there will be w reduction in the payments as the time progresses.

The initial cash outlay of a project is X is Rs 100,000 and it can generate cash inflow of Rs 40,000, Rs 30,000, Rs 50,000 and Rs 20,000 in year 1 through 4. Assume a 10 per cent rate of discount. Assume that a project Y requires an outlay of Rs 50,000 and yields annual cash inflow of Rs 12,500 for 7 years at the rate of 12%.​

Answers

On the net present value analysis, project Y is expected to generate a higher return on investment compared to project X.

To evaluate the two projects, X and Y, we will calculate their net present value (NPV) using the given cash inflows, discount rate, and initial cash outlay.

For project X:

The cash inflows for each year are Rs 40,000, Rs 30,000, Rs 50,000, and Rs 20,000 for years 1 through 4, respectively.

The initial cash outlay is Rs 100,000.

The discount rate is 10%.

To calculate the NPV, we discount each cash inflow to its present value using the discount rate and subtract the initial cash outlay:

NPV(X) = (40,000 / (1 + 0.10)^1) + (30,000 / (1 + 0.10)^2) + (50,000 / (1 + 0.10)^3) + (20,000 / (1 + 0.10)^4) - 100,000

Simplifying the calculations:

NPV(X) = 36,363 + 24,793 + 34,979 + 13,167 - 100,000

= 9,302

The net present value (NPV) for project X is Rs 9,302.

For project Y:

The cash inflow for each year is Rs 12,500 for 7 years.

The initial cash outlay is Rs 50,000.

The discount rate is 12%.

Using the same formula as above, we calculate the NPV for project Y:

NPV(Y) = (12,500 / (1 + 0.12)^1) + (12,500 / (1 + 0.12)^2) + ... + (12,500 / (1 + 0.12)^7) - 50,000

Simplifying the calculations:

NPV(Y) = 11,161 + 9,960 + 8,888 + ... + 3,637 - 50,000

= 11,042

The net present value (NPV) for project Y is Rs 11,042.

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Which of the following are correct regarding why management uses internal controls? (Check all that apply.) Multiple select question. uphold company policies. promote efficient operations. reduce vendor payables. increase revenues. protect assets. ensure reliable accounting.

Answers

The options that explain why management uses internal controls are:

Uphold company policies.Protect assets.Promote efficient operations. Ensure reliable accounting.

What are Internal Controls?

Internal controls refer to those measures that are put in place by the organization to allow for conformance with the organizational objectives.

When internal controls are put in place, the vision of the company will be achieved because the employees adhere to the policies of the organization.

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Which of the following describes the effect of the purchases that consumers
make?
A. provide jobs for distributors
B. increase producers costs
C. indicate their desires to producers
D. are not taxed in a free-market system​

Answers

The answer is C) indicate their desires to producers

Answer: C) indicate their desires to producers

Suppose you have been hired as a financial consultant to Defense Electronics, Inc. (DEI), a large, publicly traded firm that is the market share leader in radar detection systems (RDSs). The company is looking at setting up a manufacturing plant overseas to produce a new line of RDSs. This will be a five-year project. The company bought some land three years ago for $2.7 million in anticipation of using it as a toxic dump site for waste chemicals, but it built a piping system to safely discard the chemicals instead. The land was appraised last week for $3.8 million. In five years, the aftertax value of the land will be $4.1 million, but the company expects to keep the land for a future project. The company wants to build its new manufacturing plant on this land; the plant and equipment will cost $34 million to build. The following market data on DEI’s securities are current: Debt: 195,000 bonds with a coupon rate of 6.2 percent outstanding, 25 years to maturity, selling for 106 percent of par; the bonds have a $1,000 par value each and make semiannual payments. Common stock: 8,100,000 shares outstanding, selling for $63 per share; the beta is 1.1. Preferred stock: 450,000 shares of 4.25 percent preferred stock outstanding, selling for $83 per share. Market: 7 percent expected market risk premium; 3.1 percent risk-free rate. DEI uses G.M. Wharton as its lead underwriter. Wharton charges DEI spreads of 7 percent on new common stock issues, 5 percent on new preferred stock issues, and 3 percent on new debt issues. Wharton has included all direct and indirect issuance costs (along with its profit) in setting these spreads. Wharton has recommended to DEI that it raise the funds needed to build the plant by issuing new shares of common stock. DEI’s tax rate is 25 percent. The project requires $1,500,000 in initial net working capital investment to get operational. Assume DEI raises all equity for new projects externally and that the NWC does not requires flotation costs. a. Calcula

Answers

The number of new shares needed 605,663.

How to determine the price of ordinary stock?

The Capital Asset Pricing Model (CAPM) can be used to determine the cost of common equity:

rE = rf + βE(rm – rf)

Where: rf = Risk-free rate = 3.1% βE = Beta of equity = 1.1 rm = Market risk premium = 7%

rE = 3.1% + 1.1(7%) = 10.8%

Calculate the cost of preferred equity.

The cost of preferred equity can be calculated as the dividend yield:

Cost of preferred equity = Dividend yield

Dividend yield = Preferred dividend / Market price of preferred stock

Dividend yield = (4.25% x $83) / $83 = 4.25%

Calculate the cost of debt.

The cost of debt can be calculated using the after-tax cost of debt formula:

After-tax cost of debt = YTM x (1 – Tax rate)

YTM = Yield to maturity = 6.2% Tax rate = 25%

After-tax cost of debt = 6.2% x (1 – 0.25) = 4.65%

What would be the Weighted Average Cost of Capital?

WACC = (E/V x rE) + (P/V x rP) + (D/V x rD x (1 – T)

Weight of Debt = (195,000*$1,000) / ($34,000,000 + $1,500,000) = 76.71% Weight of Equity = 8,100,000*$63 / ($34,000,000 + $1,500,000) = 21.28% Weight of Preferred Stock = (450,000*$83) / ($34,000,000 + $1,500,000) = 2.01%

The weighted average cost of capital (WACC) can be calculated using the weights and costs of each source of funding: WACC = (Weight of Debt * Cost of Debt) + (Weight of Equity * Cost of Equity) + (Weight of Preferred Stock * Cost of Preferred Stock) WACC = (0.76710.0415) + (0.21280.108) + (0.0201*0.0447) = 7.33%

The initial net working capital investment of $1,500,000 does not require flotation costs, so what is the total amount of funding needed for the project?

Total Funding = Cost of Plant and Equipment + Initial Net Working Capital Total Funding = $34,000,000 + $1,500,000 = $35,500,000

If the company were to issue new shares of common stock to raise the funds, the underwriting spread charged by Wharton would be 7%, so the net proceeds from the stock issue would be:

Net Proceeds = Price per Share * (1 - Underwriting Spread) Net Proceeds = $63 * (1 - 0.07) = $58.59

The number of new shares needed can be calculated as: Number of New Shares = Total Funding / Net Proceeds per Share Number of New Shares = $35,500,000 / $58.59 = 605,663

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what you have learned about integrated marketing

Answers

Answer:

that it is an approach to creating a unified and seamless experience for consumers to interact with the brand/enterprise

Explanation:

Blossom Company borrows $69,600 on July 1 from the bank by signing a $69,600, 10%, 1-year note payable.

(A) prepare the journal entry to record the proceeds of the note.

(B) Prepare the journal entry to record accrued interest at December 31, assuming adjusting entries are made only at the end of the year.

Blossom Company borrows $69,600 on July 1 from the bank by signing a $69,600, 10%, 1-year note payable.(A)

Answers

To record the proceeds of the note, the following journal entry is made:

Date | Account | Debit | Credit

July 1 | Cash | $69,600 |

          | Notes Payable | | $69,600

What is the journal entry to record the proceeds of the note?

The company received $69,600 in cash, which is recorded as a debit to the Cash account. The company incurred a liability by borrowing the money, which is recorded as a credit to the Notes Payable account.

To record accrued interest at December 31, the following journal entry is made:

Date | Account | Debit | Credit

December 31 | Interest Expense | $6,960 |

                      | Interest Payable | | $6,960

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what is investment in financial economics

Answers

In an economic outlook, an investment is the purchase of goods that are not consumed today but are used in the future to generate wealth. In finance, an investment is a financial asset bought with the idea that the asset will provide income further or will later be sold at a higher cost price for a profit.

Lee Willis loaned Audrey Chin $16,000 to open Snip its hair salon. After 6 years, Audrey will repay Lee with 8% interest compounded quarterly. How much will Lee receive at the end of 6 years?

Answers

Interest : After solving the problem the Lee will receive $23,454.25. at the end of 6 years.

What is Interest?

Interest is the cost of borrowing money, or the income earned from lending money. It is expressed as a percentage rate, which represents the amount of money (called interest) paid relative to the amount of money borrowed (called the principal). Interest is a necessary part of any loan or credit agreement. It is the price paid for the use of money over time.

At the end of 6 years, Lee will receive $23,454.25. This is calculated by using the formula A = P(1 + r/n)^nt,
where A is the future value,
P is the principal amount,
r is the annual interest rate,
n is the number of times the interest is compounded, and
t is the number of years.
In this case, P = $16,000, r = 0.08 (8%), n = 4 (quarterly), and t = 6. Plugging those values into the equation, we get A = $16,000(1 + 0.08/4)^4*6 = $23,454.25.

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What account below is not an asset?
A. Capital Stock
B. Inventory
C. Cash
D. Accounts Receivable

Answers

Answer:

A. Capital Stock

Explanation:

Accounts are categorized following the accounting equation of assets are equal to equity plus liabilities. Asset accounts track and record the resources that a business owns or controls. Assets being the valuable items that a business uses to generate income or maintain operations.

Equity represents the owner's interest in the business. It comprises capital contributions and retained earnings. Capital stocks belong to equity accounts and not asset accounts.

Explain one situation when you will use these two pricing strategies penetration pricing and skimming prices

Answers

Answer:

An electronic news portal that offers one complimentary month for something like a free trial service or an institution that offers a free bank account for 6 months are both instances of penetration pricing.

A pricing technique known as price skimming is establishing a premium charge when other rivals enter the market. For instance, the Playstation 3 was initially priced at $599 in the United States, but has now been lowered to around $200.

Explain the difference between 50/50 and 40/40 emotional energy, and provide an example of each.

Answers

The concepts of 50/50 and 40/40 emotional balance are often used in relationships and emotional relationships.

50/50 Emotional strength is a state in which two people in a relationship are equal in relation to each other and are willing to give equal weight to maintain the relationship. In this case, both parties give and receive equal incentives and share responsibility for the success or failure of the relationship. An example of 50/50 emotional strength in a good relationship is a couple who communicate well, listen to each other's needs, and encourage each other.

On the other hand, the 40/40 mindset is when both partners in a relationship focus on their own emotional needs and refuse to give their partners equal support.

In this case, neither partner is invested in the other's feelings, resulting in a lack of motivation and a contradictory relationship. An example of 40/40 emotional stability in a romantic relationship would be a couple in which one partner feels neglected and supported while the other focuses only on their own needs and feelings.

In general, the concept of emotional strength emphasizes the importance of joint initiatives in relationships and the benefits of motivation and balance between two partners.

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If you wanted to find out what the average salary is for a certain occupation, what could you do?

Answers

Answer:

according to my point of view 30 thousand will be a certain occupation ......

right decision in right time get success in our life?​

Answers

Answer:

You are the only person who get's to decide if you are happy or not- Do not put you're happiness into the hands of someone else. Do not make it contingent their acceptance of you, or there feelings for you. At the end of each day , it doesn't matter if someone dislikes you, or if someone doesn't want to be with you. All that matters is that you are happy with the person you are becoming. All that matters is that you like yourself, that you are proud of what you put out into the world. Never forget that you are in charge of you're joy, and of you're worth. You get to be you're own validation. Please never forget that!

When you create a shape, additional
options will become
available when you select that shape in your document. *
a. layout
b. saving
c. editing
d. formatting

Answers

Answer:

formatting or editing because that is where you can change how something is placed or appears in the document.

Imagine that in the frame of Azerbaijan National Football Championship Nefthci and Karabakh football teams will have a match in “Shafa Stadium” 31st December 2021. Assume that the stadium has 10,000 seats available and number of seats is fixed. To increase the tax revenue, government authorities impose tax on buyers (fans) at the amount of $2 per seat. Please, explain who will pay the tax by graphic illustration and logical justification. Keep in mind that the stadium is a private property.

Answers

Answer:

The fans as they purchase tickets

Explanation:

The government has imposed a $2 tax per seat. The stadium management will increase the price of tickets per seat by at least $2. It means the customers (fans) will pay an extra amount per seat to cater for the taxes.  

The stadium management will act as a tax intermediary. They will collect the $2 per seat tax from the ticket sales and remit it to the government.

Which of the following are common characteristics of multinational enterprises (MNEs)? Check all that apply. Operations in a source country and only one host country Research and development in host countries Multinational stocks and management Fostered transfer of technology Company headquarters that are distant from the country where production occurs Low ratio of foreign sales to total sales

Answers

Answer:

I. Research and development in host countries.

II. Multinational stocks and management.

III. Fostered transfer of technology.

IV. Company headquarters that are distant from the country where production occurs.

Explanation:

A multinational enterprise (MNE) can be defined as any business firm that engages in the production of goods and services in two or more countries.

Generally, a multinational enterprise (MNE) has subsidiaries in other countries and as such derives a high amount of revenue outside its home country by providing goods and services that meets the need of customers through the use of advanced technology.

For a multinational enterprise (MNE), they have a central corporate facility but their products are not coordinated because their respective foreign markets offer unique products and services.

Some examples of a multinational enterprise (MNE) are Amazon, BNP Paribas, Alcatel-Lucent, Apple, Chevron, Casio, Disney, etc.

Some common characteristics of multinational enterprises (MNEs) include the following;

I. They carry out research and development in host countries.

II. MNEs engage in the sales of multinational stocks and management.

III. They facilitate or foster the transfer of technology between countries.

IV. The company headquarters of MNEs are usually distant from the country where production occurs.

Assume you are the CFO of a company that has accumulated a significant amount of cash, well beyond its foreseeable needs. The company’s CEO has asked your opinion about using the cash to repurchase company shares or using the cash to distribute an extraordinary dividend to your shareholders. In a brief memo, explain to the CEO what the pros and cons of each of these are. You may assume your company is a fictitious one and assign to it whatever circumstances you like or you may assume your company is an actual existing corporation. Your memo should include at least two references to published works like books, articles, etc.

Answers

Answer:

I believe that the best action is to repurchase stocks.

Paying a large and unexpected dividend will yield an immediate return, but it will also decrease the stock's price. On the other hand, repurchasing stocks will result in lower outstanding stocks and the same cash flows. This will result in higher stock prices. Supposedly, upper management has the duty to increase the wealth of stockholders and that is achieved through higher stock prices.

Explanation:

the 3 hour per week that 100 million volunteers donate every year in the US is equal to how many full time worker
a. 1 million
b. 7.5 million
c. 100 million
d. 750 million

Answers

The equivalent number of full-time workers based on the 3 hours per week volunteered by 100 million volunteers in the US is approximately 144,230 full-time workers. Option C is the correct answer.

To calculate the equivalent number of full-time workers based on the 3 hours per week that 100 million volunteers donate every year in the US, we need to determine the total number of hours volunteered and divide it by the number of hours worked by a full-time worker in a year.

Let's assume a full-time worker works an average of 40 hours per week, and there are 52 weeks in a year.

Total hours volunteered per year:

3 hours per week * 100 million volunteers = 300 million hours

Total hours worked by a full-time worker per year:

40 hours per week * 52 weeks = 2,080 hours

Equivalent number of full-time workers:

300 million hours / 2,080 hours = approximately 144,230 full-time workers

Option C is the correct answer.

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The operating budget provides a roadmap for financial plans for a short-term, future period. What is a typical “future period” for an operating budget?

Answers

An operating budget is a financial statement that outlines the organization's expenditures and revenues for a specific period.

The operating budget is typically for a fiscal year, which is usually twelve months. The future period for an operating budget is usually a fiscal year or less than a year. The operating budget is critical because it establishes guidelines for financial activities and operations in an organization. It provides a roadmap for financial plans for a short-term, future period, which typically begins on January 1st and ends on December 31st.

An organization creates an operating budget to aid in the allocation of resources and expenditures to achieve its objectives for a given period. A typical operating budget is for a fiscal year. A fiscal year is the period when an organization prepares its financial statements. It is usually 12 months, but it may be shorter or longer depending on the organization. An operating budget typically covers one fiscal year; however, it may be longer or shorter based on the organization's preferences.

The future period for an operating budget is frequently updated to reflect the company's current situation and financial standing. It takes into account the actual results of the previous period and the estimated expenditures and revenues for the upcoming year to develop the operating budget for a future period.

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Select two ways of becoming a business owner. Compare the advantages and disadvantages and decide which of the two you would prefer.

Answers


Two ways of becoming a business owner are starting a business from scratch and buying an existing business.

Starting a business from scratch:
Advantages:

Freedom to make all the decisions about the business.
Ability to create a unique product or service.
No existing debt or liabilities.
Ability to control the company culture and hiring practices.
Flexibility to adjust the business model and pivot when necessary.
Disadvantages:

High risk and uncertainty in the early stages.
Significant time and effort required to establish the business.
Need to build a customer base from scratch.
Difficulty in obtaining financing without a proven track record.
Limited resources and expertise in some areas.
Buying an existing business:
Advantages:

Established customer base, products or services, and brand recognition.
Existing cash flow and revenue stream.
Existing staff and management in place.
Access to existing supplier and customer relationships.
Proven business model and historical financial data.
Disadvantages:

Possibility of inheriting existing debt and liabilities.
Need to adjust to the existing company culture and processes.
Potentially overpaying for the business.
Difficulty in making significant changes to the business model or culture.
Potential hidden problems or issues with the business.

distinguish between price elasticity of demand and price elasticity supply​

Answers

Answer:

The price elasticity of demand is the percentage change in the quantity demanded of a good or service divided by the percentage change in the price. The price elasticity of supply is the percentage change in quantity supplied divided by the percentage change in price

Gold Nest Company of Guandong, China, is a family-owned enterprise that makes birdcages for the South China market. The company sells its birdcages through an extensive network of street vendors who receive commissions on their sales.


The company uses a job-order costing system in which overhead is applied to jobs on the basis of direct labor cost. Its predetermined overhead rate is based on a cost formula that estimated $68,000 of manufacturing overhead for an estimated activity level of $40,000 direct labor dollars. At the beginning of the year, the inventory balances were as follows:


Raw materials $ 10,200
Work in process $ 4,200
Finished goods $ 8,700


During the year, the following transactions were completed:



A. Raw materials purchased on account, $169,000.
B. Raw materials used in production, $147,000 (materials costing $121,000 were charged directly to jobs; the remaining materials were indirect).
C. Costs for employee services were incurred as follows:


Direct labor $ 178,000
Indirect labor $ 216,900
Sales commissions $ 21,000
Administrative salaries $ 48,000


D. Rent for the year was $18,100 ($13,100 of this amount related to factory operations, and the remainder related to selling and administrative activities).
E. Utility costs incurred in the factory, $16,000.
F. Advertising costs incurred, $13,000.
G. Depreciation recorded on equipment, $22,000. ($17,000 of this amount related to equipment used in factory operations; the remaining $5,000 related to equipment used in selling and administrative activities.)
H. Manufacturing overhead cost was applied to jobs, $ ? .
I. Goods that had cost $228,000 to manufacture according to their job cost sheets were completed.
J. Sales for the year (all paid in cash) totaled $506,000. The total cost to manufacture these goods according to their job cost sheets was $219,000.


Required:

1. Prepare journal entries to record the transactions for the year.

2. Prepare T-accounts for each inventory account, Manufacturing Overhead, and Cost of Goods Sold. Post relevant data from your journal entries to these T-accounts (don’t forget to enter the beginning balances in your inventory accounts).

3A. Is Manufacturing Overhead underapplied or overapplied for the year?

3B. Prepare a journal entry to close any balance in the Manufacturing Overhead account to Cost of Goods Sold.

4. Prepare an income statement for the year. All of the information needed for the income statement is available in the journal entries and T-accounts you have prepared.

Answers

Net income of $2,000 was generated from sales income of $506,000 after deducting operating expenses of $285,000, including direct labor, rent, utilities, advertising, and depreciation costs.

1. A. Unrefined components bought on account $169,000

Unrefined components stock $169,000

Creditor liabilities $169,000

B. Unrefined components utilized underway $147,000

Work in process stock $121,000

Producing above $26,000

Unrefined substances stock $147,000

C. Direct work $178,000

Aberrant work $216,900

Deals commissions $21,000

Regulatory pay rates $48,000

Compensation payable $464,900

D. Lease $18,100

Prepaid lease $5,000

Lease payable $13,100

E. Utilities cost $16,000

Utilities payable $16,000

F. Publicizing cost $13,000

Publicizing payable $13,000

G. Devaluation cost $22,000

Collected deterioration - production line hardware $17,000

Collected deterioration - selling and regulatory hardware $5,000

H. Fabricating above applied to occupations $194,400 (2.4 x direct work cost)

Producing above $194,400

Work in process stock $194,400

I. Completed products stock $228,000

Work in process stock $228,000

J. Cash $506,000

Deals income $506,000

Cost of products sold $219,000

Completed products stock $219,000

2. T-Records:

Unrefined components stock:

Starting total $10,200

Buys $169,000

Unrefined components utilized underway ($121,000 direct)

Finishing total $58,200

Work in process stock:

Starting surplus $4,200

Direct work $178,000

Producing above applied $194,400

Cost of products finished $228,000

Finishing surplus $64,800

Completed products stock:

Starting surplus $8,700

Cost of products finished $228,000

Cost of products sold ($219,000)

Finishing surplus $17,700

Producing above:

Applied to occupations $194,400

Real above $278,900

Above overapplied $84,500

Cost of merchandise sold:

Starting total $0

Cost of merchandise sold $219,000

3A. Fabricating above is overapplied by $84,500.

3B. Fabricating above $84,500

Cost of merchandise sold $84,500

4. Pay articulation:

Deals income $506,000

Cost of merchandise sold ($219,000)

Net benefit $287,000

Working costs:

Roundabout work $216,900

Lease ($13,100 + $5,000) $18,100

Utilities cost $16,000

Promoting cost $13,000

Deterioration cost ($17,000 + $5,000) $22,000

Absolute working costs $285,000

Net gain $2,000

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