Assertion. existence.
The creators of financial statements often make five accounting assertions. They are existence, completeness, rights and obligations, accuracy and valuation, and presentation and disclosure.
Which five audit assertions are there?The creators of financial statements often make five accounting assertions. They are existence, completeness, rights and obligations, accuracy and valuation, and presentation and disclosure.Analytical techniques, a test of transactional specifics, and testing of balancing specifics are the three categories of substantive exams.Basic Statement Simple expression of defending one's own rights, convictions, emotions, or viewpoints. Example: "Excuse me, I'd like to finish what I'm saying," to say while being interrupted.For instance, the company claims that cash exists when a financial statement shows a cash balance of $605,432. The business contends that the $234,100 reserve for uncollectibles is a correctly valued sum.To learn more about Assertions refer to:
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assume bgl enterprises increases its operating efficiency by lowering its costs while holding its sales constant. as a result, given all else constant, the:
Assuming bgl enterprises increases its operating efficiency by lowering its costs while holding its sales constant as a result, given all else constant, the return on equity will increase.
What is equity?Equity can be described as the amount of capital that is been invested or owned by a particular firm which is been used in operation of the business.
It should be noted that the equity can be calculated by finding the difference between liabilities and assets of the company and in the case above we can see that achieve the increase the cost has been lowered.
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dunder mifflin has the following data related to its inventory during october 20x1. inventory on 10/1 was 400 units at $2.10 per unit. there was a purchase on 10/7 of 1,400 units at $2.20 a unit. a second purchase on 10/16 was 280 units at $2.25. ending inventory on 10/31 consisted of 520 units. what is the value assigned to ending inventory if dunder mifflin uses lifo method (periodic system)? do not enter any punctuation (i.e. no dollar sign, no commas). edit insert
The value assigned to ending inventory if dander Mifflin uses LIFO method is $1092
The value assigned to ending inventory if dander Mifflin uses FIFO method is $1170
FIFO
FIFO method assumes that the inventory bought in first, will be the first to the sold to customers.
Ending Inventory = 520 units × $2.25
= $1170
LIFO
LIFO methods assumes that the inventory bought in last will be the first to be sold to the customers.
Ending Inventory = 520 units× 2.10
= $1092
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ryan company deposits all cash receipts on the day they are received and makes all cash payments by check. ryan's june bank statement shows a $25,861 balance in the bank. ryan's comparison of the bank statement to its cash account revealed the following: deposit in transit2,950outstanding checks1,242additionally, a $37 check written and recorded by the company was incorrectly recorded by the bank as a $73 deduction.the adjusted cash balance per the bank records should be:
Ryan company the adjusted cash balance per the bank records should be: $22,466.
Adjusted cash refers to the process of reconciling cash drawer balances to account for each incoming transaction. This process typically occurs at the end of each shift or working day. Transactions included in cash payments include not only cash and checks, but also credit card payments.
To find the annual adjusted net cash flow, add the owner's salary to the annual net income. amortization; interest; temporary expenses such as equipment and vehicles; depreciation; owner's personal business expenses and retirement benefits; Rent if real estate is part of your business.
Adjusted free cash flow is net cash provided or used by operating activities less cash payments for capital expenditures, restructuring and repositioning, prepaid defined benefit pension plans and legacy expenditures.
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urban community college is planning to offer courses in finite math, applied calculus, and computer methods. each section of finite math has 40 students and earns the college $40,000 in revenue. each section of applied calculus has 40 students and earns the college $60,000, while each section of computer methods has 10 students and earns the college $26,000. assuming the college wishes to offer a total of seven sections, accommodate 220 students, and bring in $292,000 in revenues, how many sections of each course should it offer?
The college should offer sections for courses in finite math, applied calculus, and computer methods as 3, 2, and 2, respectively.
let, x, y, z and be the number of sections of FM, AC, and CM, respectively.
There are seven total sections required.
So the first equation is x + y + z = 7.
There are a total of 220 students enrolled, and the number of students per section is given in the problem.
The second equation is 40x + 40y + 10z = 220.
Finally, the total revenue is given, as well as the revenue for each course. So, the final equation is
40000x + 60000y + 26000z = 292000 .
The system of equations is
x + y + z = 7 ......eq. 1
40x + 40y + 10z = 220 ......eq. 2
40000x + 60000y + 26000z = 292000 ......eq. 3
The corresponding matrix is
[tex]\left[\begin{array}{cccc}1&1&1&7\\40&40&10&220\\40000&60000&26000&292000\end{array}\right][/tex]
After reducing the matrix with a calculator or online matrix reducer, we get
[tex]\left[\begin{array}{cccc}1&0&0&3\\0&1&0&2\\0&0&1&2\end{array}\right][/tex]
Thus, = 3, = 2, and = 2. The college should offer 3 sections of Finite Math, 2 sections of Applied Calculus, and 2 sections of Computer Methods.
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a company has a dividend payout ratio of 35 percent. if the company's return on equity is 15 percent, what is the expected growth rate if no new outside financing is used?
Expected growth is defined in this policy as having achieved.
Growth = ROE × (1 - payout ratio).
The expected growth rate is 9.75%.
How do you calculate expected growth rate?To calculate growth rates, divide the difference between the starting and ending values for the period under study by the starting value.Expected growth is defined in this policy as having achieved the requirement that students perform, on average, as well in their current grade or content as was typical for the same student in previous grades or contents when using the change scale to compare and allowing for a factor of regression to the mean.A dividend investor would consider a range of 35% to 55% to be healthy and appropriate. A company is well-established and a leader in its industry if it is expected to distribute about half of its earnings as dividends.ROE = 15% = 0.15
Pay out Ratio = 35%.= 0.35
Growth = ROE × (1 - payout ratio).
= .15 (1-0.35) = 0.0975 = 9.75 %
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you want to invest $30,000 today to accumulate $35,820 to buy a car. if you can invest at an interest rate of 3% compounded annually, how many years will it take to accumulate the required amount?
4 Years
How to calculate interest rate ?
The straightforward interest calculation is as follows: Interest is equal to P, R, and T. Principal Amount = P (the beginning balance). R stands for interest rate (usually per year, expressed as a decimal). T is the quantity of time periods (generally one-year time periods)
The interest rate formula aids in determining the loan repayment amount as well as the interest on investments made in fixed deposits, mutual funds, etc. Calculating the interest on credit cards is made easier by using the interest rate formula. The following formula may be used to get the interest rate for a given amount on simple interest:
Interest Rate is calculated as (Simple Interest x 100)/(Principal x Time).
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sarah purchases land to be used for a new storage facility. which of the following items are capitalized in the cost of land? (select all that apply.) multiple select question. legal fees to secure title current year's property taxes costs to remove an old building real estate agent commissions
Sarah purchases property for a new storage facility. Real estate agent commissions, demolition costs, and legal fees to secure title items are all capitalized in the cost of land.
What is demolition costs?The cost incurred to demolish all or part of the Property, including the cost of clearing the site, if any law or ordinance in effect at the time of loss requires such demolition. A building's demolition cost is usually proportional to its square footage. The national average for commercial demolition is typically $4 to $8 per square foot, so multiplying the square footage by a dollar amount in that range will give you an idea of the costs associated with demolition. While demolition costs are not deductible, a taxpayer may claim a loss deduction if depreciable business property is retired from use in a trade or business or from use in income production.To learn more about demolition costs, refer to:
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Open road bicycles has chosen a market penetration strategy. As sales continue to grow, the company’s costs continue to drop, allowing even further reductions in the price. This is due to.
Open road bicycles has chosen a market penetration strategy. As sales continue to grow, the company’s costs continue to drop, allowing even further reductions in the price. This is due to experience curve effects.
What is the experience curve effects?This is the term that is used to refer to the systematic decline that would be found to occur in the cost/quantity that is found in the cumulative volume as it is made to go higher.
The curve effect is made up of three types that includes:
Learning that would basically come from practice as well as others. Hence we would say that the reason that the price or the cost is dropping further is what is called the experience curve effects
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the car lot is a large car dealership. it could sell its cars for $500 and give customers a lifetime guarantee, but based on the marketing concept, why shouldn't it do this?
It shouldn't do this since the business should balance meeting its consumers' needs with accomplishing its organizational goals.
What is the marketing concept's significance to consumers?By increasing profit through higher sales, marketing concepts not only help marketers beat the competition but also are tied to the method they use to appeal to clients.
Is the notion that a business must work to meet customers' requirements even as it tries to meet its own aims one word?The marketing concept is fascinated with the notion of meeting customer demands through the product as a remedy for the customer's issue (needs). The Marketing Concept is a key shift in how businesses are organized today and lays the groundwork for gaining a competitive edge.
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35. the design for the new electric car has been approved by the board and production is underway, but the vp of manufacturing is nervous about the rate of defective parts from suppliers. see original list screenshot below. he has decided to use the subtotal feature to generate a report that shows subtotals of defects by subassembly name, with a grand total at the end, such as the desired report below. his report, however, looks like the report generated, below. which description would create this?
educating managers and employees about the numerous professional, personal, and societal advantages inherent in recognizing the worth of all employees without regard to gender or race is goal of
educating managers and employees about the numerous professional, personal, and societal advantages is goal of Cultural diversity initiatives
What are diversity inclusion initiatives?
The tactics and procedures that organizations utilise to foster diversity and inclusion and obtain a competitive advantage are known as diversity and inclusion initiatives. Initiatives for diversity and inclusion, however, differ from organization to organization based on requirements and potential for improvement.
Which four types of diversity are there?
In general, there are four forms of diversity: organizational, worldview, and internal.
Diversity inside. Any trait or quality that a person is born with is referred to as internal diversity.
Diversity in the outside world, within organization, and in worldviews.
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suppose someone submits a valid freedom of information act (foia) request to the fbi for fbi records about a closed fbi investigation of joe jabbits, an illegal arms dealer who was convicted of various federal crimes. the foia request is processed by an fbi foia specialist named karson. karson notes that only one page among thousands of responsive fbi electronic records about jabbits contains material protected by a foia trade secret exemption. the other electronic records responsive to the foia request are not protected by any other exemptions. select the best answer describing what karson, as an informed fbi employee, should do:
Karson as an informed FBI employee should Redact the one page protected by the trade secret exemption, and provide the remaining electronic records to the requesting party.
Option C is correct .
About FBI :The FBI is an intelligence- driven and trouble-focused public security association with both intelligence and law enforcement liabilities. It's the top investigative arm of theU.S. Department of Justice and a full member of theU.S. Intelligence Community. The Federal Bureau of Investigation is the domestic intelligence and security service of the United States and its top civil law enforcement agency.
Freedom of Information Act?The Act covers all recorded information held by a public authority. Freedom of information act isn't limited to sanctioned documents and it covers, for illustration, drafts, emails, notes, recordings of telephone exchanges and CCTV recordings.
Authorities of FBI :The FBI has the authority and responsibility to probe specific crimes assigned to it and to give other law enforcement agencies with collaborative services, similar as point identification, laboratory examinations, and training. The FBI also gathers, shares, and analyzes intelligence, both to support its own examinations and those of FBI mates and to more understand and combat the security pitfalls facing the United States.
Question is incomplete , missing options are given below :
A. Give the requesting party all records pertaining to the request, including the trade secrets.
B. Do nothing, because a government's response to a FOIA request is not required; government agencies may disregard FOIA requests when they are overburdened.
C. Redact the one page protected by the trade secret exemption, and provide the remaining electronic records to the requesting party.
D. Deny the request because once a trade secret exemption applies to any portion of the electronic records requested, the government agency must deny the entire request
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Facilitated diffusion and simple diffusion are similar since both are types of ___________ transport.
Simple diffusion and assisted diffusion are both forms of passive transport. They transfer materials from a region of high concentration to one with low concentration. The former, though, differs from the latter in how molecules are moved through the membrane.
Why are assisted diffusion and simple diffusion both regarded as passive transport systems?Facilitated diffusion is a subset of passive transport. Even when aided diffusion includes transport proteins, it is still passive transport because the solution is moving down the concentration gradient. Small, nonpolar molecules can easily cross the cell membrane. Simple diffusion is one of the basic types of passive transport. Filtration, osmosis, and assisted diffusion make up the last three (also known as facilitated transfer). Each one shows a downward movement, or a change from a high concentration to a low concentration location.
Four categories of passive transportation exist:
Easy Diffusionenhanced diffusionFiltration.Osmosis.To learn more about ' passive transport ' refer to
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how has persuasion changed in the digital age? check all that apply. persuasive messages are targeted to very specific audiences persuasion is more complex and impersonal all businesses are in the persuasion business persuasive messages are slow to engage audiences persuasive techniques are more subtle and misleading
Persuasion is more complicated and impersonal, and persuasive techniques are more deceptive. The number and reach of persuasive communications have exploded.
How persuasion works?
These are the traits of the persuasion in the digital era that they create changes. Persuasion is one of the marketing strategies that merely draws customers in to make purchases of the goods or items. Persuasion has become a more delicate and vital art form in our digital age.
One of the most efficient ways to influence people's opinions is through persuasion, which also expands the audience's diversity more quickly. The mechanics of the proposed persuasion fundamentally alter the modern era.
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because of the rise of social media, public relations practitioners must listen to facilitate conversations between organizations and their constituents. start using strategic planning tools. rely more on formal opinion leaders. use more news releases to sell products and services.
A public relations specialist is in charge of developing and carrying out a PR plan, assisting a company or person to build a positive reputation using a variety of earned media and formats, such as the press, social media, and in-person interactions.
Though it may have benefits for individuals, it also has drawbacks that render it ineffectual. For instance, if learners utilise these tools in real life or in circumstances where they are unable to aid, they may become confused and overwhelmed.
Social media and strategic financing are the two sorts of corporate strategies that have a direct impact on the environment.Social media is utilised to advertise the products and services of the business. It raises awareness among the general public.Strategic financing, on the other hand, refers to long-term planning, or where the company intends to be in the near future.
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(a) how do financial plans differ among firms and individuals? give examples. (b) why do you think life insurance company leaders must ensure the investments are safe? what if they put the money in risky financial instruments? please discuss. (c) how time-value-of-money is made use of in the world of corporate finance? feel free to use examples in support of your answer. (d) how does an investor develop their risk appetite or risk threshold? are you willing to take on more risk with the hopes of increasing the return on investment (roi)? please discuss. (e) if rate of return is the most important factor in a financial decision, what company-specific factors also influence this rate?
Risk acceptance and diversification are the cornerstones of insurance firms' business models. The fundamental insurance approach is combining the risk from several payers and distributing it over a broader portfolio.
The majority of insurance businesses make money in two ways: first, by charging premiums in return for insurance coverage, and second, by reinvesting those premiums in additional assets that yield interest. Insurance companies strive to market efficiently and keep overhead to a minimum, just like any private businesses.
Health insurance firms, property insurance companies, and financial guarantors all have different revenue models. But any insurer's first job is to assess the risk and set a price for taking it on.
Consider the case where the insurance provider is promoting a policy with a $100,000 conditional payoff. Based on the duration of the insurance, it must determine how likely it is for a potential buyer to trigger the conditional payment and increase that risk.
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the costs of restructuring an asset so that it has new capabilities, but where it is uncertain if the restructuring will provide future benefits, should be
The expenses of reworking an asset to give it new capabilities should be considered when it is unclear whether the reworking will result in future advantages is depreciated over future periods benefited and capitalised.
Throw light on the concept of depreciation of assets.The accounting approach of depreciation can be used to spread out a tangible item's cost over the period of its useful life using the accounting approach of depreciation. Depreciation indicates how much of an asset's worth has been expended. It makes it possible for companies to buy assets over a predetermined period of time and profit from those assets.
Equipment and machinery are expensive assets. Companies can utilize depreciation to spread out the cost of an asset rather than realizing the entire cost in the first year, and to match corresponding revenues and expenses in the same reporting year.This makes it possible for a company to depreciate an asset's value over time, especially during its useful life.
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the common stock of sweet treats is selling for $56.00 per share. the company is expected to have an annual dividend increase of 3.3 percent indefinitely and pay a dividend of $4.45 in one year. what is the total return on this stock?
A required return is the return that investors anticipate receiving from their holding investment in exchange for taking on investment risk.
It varies from security to security due to the security's risk and other factors, as risk factors vary from security to security.
What does the CAPM say about a security's mandatory return?
The Capital Asset Pricing Model (CAPM) is a model that explains the connection between the risk of investing in a security and the expected return.It demonstrates that a security's beta-based risk premium and risk-free return are equal to the security's expected return.
The required rate is determined by a company's capital structure, inflation expectations, and risk-return preferences.
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at the seldon inn, cash is deposited daily, employees use a voucher system, and cash-handling duties are segregated. these practices and policies are most likely in place to achieve:
To ensure that the most cost-efficient and efficient cash flow strategies are used to finance federal programs, cash management regulations and procedures are in place.
What is a cash management policy?The management of a company's operations, business activities, financial investments, and financing activities all fall under the umbrella of cash management.To survive, a business needs to produce enough cash flow from its operations so that it can pay its bills, recoup its investors' money, and grow. Collecting current assets in cash is a business owner's top priority when it comes to cash management.This is so that present liabilities can be paid off using the funds in question.Planning for your long-term financial needs is crucial. The following are some top tips for controlling cash flow:Observe your cash flow very carefully.Regularly make estimates....Recognize problems early.comprehend fundamental accounting...Have a backup plan in case of emergency.Grow cautiously.invoice right away.Make efficient use of technology.To learn more about cash management policy refer
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a staffing management plan addresses all of the areas below except: a. how to identify potential internal and/or external human resources for the project. b. how to determine the availability of the internal and/or external human resources for the project. c. how to decide timing issues with regard to building up, developing, rewarding, and releasing the project team. d. how to record resource assignments in a project scheduling tool such as ms project.
A staffing management plan does not address timing decisions regarding the training, development, reward, and release of the project team. The alternative c is correct.
What is a staffing management plan?It corresponds to the organization and definition of the course of action that will be implemented so that the human resources department of a company can train and develop employees so that they increase their work performance so that organizational objectives and goals can be achieved.
In relation to the question, the other alternatives are relevant parts of a personnel management plan, such as identifying, determining availability and recording resource assignments in case this plan is developed for a specific project.
Therefore, the issue of defining time issues is usually a complex task, as externalities and risks associated with a project arise that are a challenge for the manager, such as meeting the project schedule.
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you are the manager of a firm that sells its product in a competitive marekt at a price of $50. your firm's cost function is . the profit-maximizing output for your firm is:
The profit-maximizing output for your firm is 5.
Competitive Market: When there are numerous producers striving to offer consumers the goods and services they require, that market is said to be competitive. No one producer or consumer can control the market in a competitive one. The five traits of profit, diminishability, rivalry, excludability, and rejectability are shared by all competitive markets.
Cost Function: The functional relationship between cost and output is referred to as the "cost function." It examines the cost behaviour at various output levels under the assumption of constant technology. It can be stated as follows: C = f(Q) (where Q = Quantum of output and C = Cost of production).
Profit-maximizing Output: When the value of the final unit of production (marginal revenue) equals the cost of generating the final unit of production, a manager optimises profit (marginal cost). Maximum profit is the output at which MC and MR are equal.
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at an interest rate of 10% per year, the length of time required from time zero to recover an initial investment of $10,000 by receipts of $1,000 per year beginning in year three is nearest to: a) 10 years b) 20 years c) 100 years d) never
Initial investment can never be recovered.
Let the present value of a regular perpetuity be = pv
Annual cash flow = cf = $1,000
Interest rate = r = 10
If the initial payment begins in one year, then the present value of the regular perpetuity will be -
PV = CF/r
PV = 1,000/0.1
PV = 10,000
Therefore,
The flow of infinite payments beginning next year is equivalent to $10,000.
However, if the payment begin in third year, the first two payments will be missing and the present value of deferred payments can never be equal to $10,000.
Thus, initial investment can never be recovered.
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selling global products and using similar marketing techniques worldwide is an example of a group of answer choices regional strategy. multidomestic strategy. international strategy.
A multidomestic strategy is a marketing tactic where a business concentrates on tailoring marketing and sales initiatives to regional markets. In order to cater to regional preferences, norms, and customs, the corporation may launch a new brand in each area.
What is meant by multidomestic strategy?A business strategy that allows various subsidiaries of a global corporation to engage in independent competition in various domestic markets. The multinational organization's head office coordinates marketing strategy, financial management, and in some cases, component production and R&D. For instance, a multidomestic beverage firm might introduce distinctive drink flavors in several areas. Additionally, websites are localized by using regional dialects and frequently including locals.Before entering a new market, businesses usually do a lot of research and may change many parts of their operations to fit the local market. The business establishes regional operations when it first enters the new territory, which could include management, customer support, storefronts, offices, and manufacturing facilities.To Learn more About multidomestic strategy refer to:
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upon inspection, if goods are non-conforming, then the buyer may: group of answer choices just accept nonconforming goods and adjust the contract accordingly all of these are correct reject goods subject to cure reject goods and cancel the contract if a condition such as time being of the essence is present
If the goods are Non-Conforming goods, then the buyer can reject goods and cancel the contract if a condition such as time being of the essence is present.
Non-Conforming Goods: Non-conformances can arise in both the product and the process. Nonconforming Product is defined as Product that does not meet its stipulated specifications. Products that are nonconforming can result from nonconforming processes.
Example of Non-Conformity:
Frequent unauthorised alterations, distribution of untested items, and staff failing to address an issue's core cause are a few examples of major nonconformity.
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PLEASE ANSWER FAST DUE IN A FEW MINUTES, LOTS OF DETAIL NEEDED
Do-It-Yourself home repair shows have become popular in the last few years. Describe one Do-It-Yourself home repair show that you have seen or heard about. What skills from each pathway in the Architecture and Construction cluster would help someone who has decided to undergo a construction project themselves?
The Architecture and Construction career cluster prepares students for professions in the design, planning, management, construction, and maintenance of the built environment. These professionals work on new constructions, restorations, additions, changes, and repairs.
What further information is available for the Architecture and Construction career pathway?Workers in architecture and construction work on buildings and other structures. Highways, bridges, houses, and buildings are all examples of infrastructure. You might make ideas or blueprints for new constructions. You might also utilize the plans to build it or supervise the project's workforce.
If money is essential to you, a career in architecture is a good bet. According to the BLS, the median wage for all occupations is $41,950, while the typical compensation for an architect is more than double that. Architects have the same or higher job satisfaction as any other profession.
The following abilities are necessary to study architecture and construction:
Math and scientific abilities are required.Design abilitiesAnalytical and problem-solving abilities are required.Teamwork abilities.Communication abilities.High Spatial ReasoningLearn more about Educational Pathways:
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werden drilling offers 5.5 percent coupon bonds with semiannual payments and a yield to maturity of 7 percent. the bonds mature in 10 years. what is the market price per bond if the face value is $1,000?
Based on the coupon rate, the semi annual payments, and the yield to maturity, the market price of the bond can be found to be $893.41
How to find the market price of a bond?The market price of a bond is found by adding the present value of the different coupon payments overtime, to the present value of the face value of the bond.
The coupon payments is:
= 5.5% x 1,000 face value x 1/2 semi annual periods per year
= $27.50
The periodic yield to maturity is:
= 7 / 2
= 3.5%
The number of periods is:
= 10 x 2 semi annual periods
= 20 semi annual periods
The market price of the bond is:
= ( 27.50 x ( 1 - (1 + 3.5%) ⁻²⁰) / 3.5%) + ( 1, 000 / (1 + 3.5%)²⁰)
= $893.41
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denis and debbie are married and file jointly. they have two children, ages 10 and 12, that qualify for the child tax credit. their 2022 agi for the current year is $142,000. the amount of their child tax credit is $
Your dependent must typically meet the following criteria in order to qualify as a child for the 2021 tax year: married Be your child, whether biological or adopted, stepchild, suitable foster child, brother, sister, stepbrother, stepsister, half-brother, half-sister, or a descendant of one of these (such as a grandchild, niece, or nephew).
The following types of income do not qualify as earned income for the credit: Parental assistance. revenue in retirement. benefits from social security. Even if you had no income and had not paid any U.S. Social Security taxes, you were still eligible to use the 100% refundable Child Tax Credit. Children under the age of 18 who meet the requirements can now use the credit. However, the dependent child's gross income must be at least $600 to be eligible for benefits under the qualifying relative requirements married. less than $4,400 was spent overall. When must your kid submit their tax return? A child is normally exempt from paying income tax on up to $12,950 of earned income in 2022. The qualified youngster is typically claimed as a dependent on tax returns by the custodial parents. The parent who the child spent the most nights with throughout the course of the year is the custodial parent. These individuals are eligible for the entire Child Tax Credit: married people making less than $150,000. households with a single parent who also serves as the head of the household and make less than $112,500. everyone else who earns less than $75,000.
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are ucsf and other companies justified in outsourcing technology jobs to india? do they have any obligation to find other jobs or provide training for displaced workers? should organizations ask employees who are being laid off to train their replacements? how can you ensure that your chosen career will not be outsourced, either by technology or overseas labor?
Large companies like UCFS outsource their technology jobs to India, because they got tech savvy people in India at a very cheap rate.
Personally, in my opinion these companies are not obligated to provide any training or help the displaced workers to find other jobs. I can in many ways ensure that my chosen career is not outsourced, by developing hard-core skills so that I will be able to choose career of my choice rather than doing outsourced worked.
The practice of employing a third party from a different companies to accomplish tasks or produce commodities that have been previously done in-house by the business's own personnel and employees is known as outsourcing. Companies typically engage in outsourcing as a cost-cutting strategy. As a result, it may have an impact on a variety of professions, including dealing with customers, manufacturing, and back-office work.
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when a company performs a stock split or stock dividend in the middle of the year, they must restate the weighted average number of shares to reflect a(n)
The weighted average number of shares must be restated in order to reflect increased number of shares from the beginning of the year.
What is a stock split ?A corporation may choose a stock split or a reverse stock split if it feels that the price of its shares is either too high or too low. A reverse stock split can increase a business's share price and help it maintain its listing on a major stock exchange, whereas a stock split can assist a company lower its share price to attract new investors.
When a company's board of directors distributes more shares of stock to its existing shareholders without reducing the value of their stakes, this is known as a stock split. A stock split reduces the individual value of each share while raising the number of outstanding shares.
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The complete question is mentioned below :
When a company performs a stock split or stock dividend in the middle of the year, they must restate the weighted average number of shares to reflect a(n)
A. increased number of shares from the time of the stock split or stock dividend.
B. decreased number of shares from the time of the stock split or stock dividend.
C. increased number of shares from the beginning of the year.
D. decreased number of shares from the beginning of the year.
dave was employed by a car dealer to work in the parts department. he was instructed not to loiter in the sales area and, if asked by a customer whether he worked there, to reply that he was not a salesperson. one day dave was in his work uniform and was looking at a new car, a customer asked whether he worked there, dave replied yes. what authority, if any, does dave have to sell a car?
The ability to act on behalf of a principal without stated or implicit permission is known as seeming authority. This authority only exists if a third party can properly conclude from the principal's actions that the principal gave the agent such authority.
According to agency law, an agent has apparent power to act on behalf of a principle if their actions are within the extent of their authority and their manifestations of the principal to third parties would reasonably lead them to assume that the principal gave the agent the go-ahead.
For a contract or agreement originating from an agent's actions to bind a firm, there must be four elements of apparent authority. The agent's declaration that he was authorized to operate on the company's behalf.
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