On January 1, 20XA, Tie Company purchased a machine that had a sticker (list) price of $22,000. The seller agreed to allow Tie Company to pay for the machine over a three-year period at 10% interest on the unpaid balance and with equal payments of $8,444 due at the end of 20XA, 20XB, and 20XC. The amount that should be debited to the asset account, Machinery, on the day the contract was initiated is (rounded to the nearest dollar)A) $27,865.B) $25,332.C) $22,000.D) $20,999.E) None of the above is correct.

Answers

Answer 1

Answer:

I cant understand that question

Answer 2

The amount that should be debited to the asset account, Machinery, on the day the contract was initiated is  $22,000. Option C is correct.

What is Machinery?

Land, machinery, vehicles, furniture, computer equipment, buildings, and other equipment are examples of fixed assets. Depending on how a corporation conducts business, fixed assets can vary.

Machinery is a noncurrent asset, often known as a fixed asset. A long-term investment made by your organization that is unlikely to or does not easily convert to cash within an accounting year is referred to as a noncurrent asset.

Therefore if a machinery has been acquired on credit and the payment will be made in three equal installment payable annually then the asset shall be recognized at cost of acquisition i.e. $22000 original cost requiring the asset to bring in it present and current location and condition.

Learn more about Machinery:

https://brainly.com/question/14095132

#SPJ2


Related Questions

Jill Bower purchased 320 shares of stock for $29 a share and sold it for $35 a share. The commissions required to buy and sell her stock totaled $300 for each transaction. Assuming she received no dividends during the time she owned the stock, what is her total investment on the purchase of this stock?a. $2.140.b. $2.500.c. $1,580.d. $625.e. $1860.

Answers

Answer:

Jill Bower

Her total investment on the purchase of this stock is:

$9,880.

Explanation:

Number of shares purchased = 320

Share price at purchase = $29

Cost of the purchase = $9,280

Purchase Commission =    300

Total cost =                   $9,580

Sales proceeds =         $11,200

Sales Commission =          300

Net proceeds =           $10,900

Therefore, the total investment will be equal to the purchase cost (initial investment) + the sales commission, which is equal to $9,880.

= $9,580 + $300

= $9,880

Nicky receives a car for Sam as a gift. Sam paid $48,000 for the car. He had used the car for business purposes and had deducted $10,000 for depreciation up to the time he gave the car to Nicky. The fair market value of the car is $33,000. a. Assuming that Nicky uses the car for business purposes, what is her basis for depreciation? b. Assume that Nicky deducts depreciation of $6500 and then sells the car for $32,500. What is are recognized gain or loss? c. Assume that Nicky deducts depreciation of $6500 and then sells the car for $20,000. What is are recognized gain or loss?

Answers

Answer:

A.Basis for depreciation=$38,000 gain

Loss basis =$33,000 (Fair market value)

B.Realized gain$ 1,000

C. Realized loss($ 6,500)

Explanation:

A. Calculation for basis for depreciation

Basis for depreciation =$48,000-$10,000

Basis for depreciation=$38,000 gain

Loss basis =$33,000 (Fair market value)

B.Calculation for her recognized gain or loss

Amount realized$32,500

Less Adjusted basis 31,500

( $38,000 - $6,500)

Realized gain$ 1,000

C. Calculation for her recognized gain or loss?

Amount realized$20,000

Less Adjusted basis $26,500

( $33,000 - $6,500)

Realized loss($ 6,500)

If the current price of a stock is P=40, its β=1.25, and the expected rate of return of the market portfolio is r¯M=0.13, what does CAPM predict for the price of the stock in a year? Use rf=0.05 as the risk-free rate.

Answers

Answer:

im sorry

Explanation:

A few years ago the British government was considering​ retiring, or buying back from​ investors, some outstanding consols that had annual coupons of . A consol​ is:______

a. a coupon bond that pays a variable coupon rate and does not mature.
b. a coupon bond that pays a fixed coupon rate and has a fixed maturity date.
c. a coupon bond that pays a variable coupon and has a fixed maturity date.
d. a coupon bond that pays a fixed coupon rate and does not mature.

If the yield to maturity on other​ long-term British government bonds was 2.0​%, the price the British government is likely to offer investors is ​£ _________

Answers

Answer: d. coupon bond that pays a fixed coupon rate and does not mature.

$3250

Explanation:

A consol is a coupon bond that pays a fixed coupon rate and does not mature. Consols are consolidated annuities that are perpetual. A steady amount of interest is paid for a consol even though they're not redeemable

Price of a consol will be gotten as fixed coupon amount divided by the rate of return. Let's assume that the fixed coupon amount is $65, then the price will be:

= 65/2%

= $3250

The following trial balance was extracted from the books of Kalekeno, a sole trader, at 31st Dec2018:

Dr Cr

Stock DEC 31st 2017 23,680



Carriage outward 2,000



Carriage inwards 3,100

Returns 2050 3,220

Purchases and sales 118,740 186,000

Salaries and wages 38,620

Rent 3040

Insurance 780

Motor expenses 6,640

Office expenses 2160

Lighting and heating expenses 1,660

General expenses 3140

Premises 50,000

Motor vehicles 18,000

Fixtures and fittings 3,500

Debtors and creditors 38,960 17,310

Cash at bank 4820

Drawings 12,000

Capital 126,360

332,890 332,890

Additional information

i) Closing stock was valued at ksh 29,460 as at 30th June 2018

ii) Mr kalekeno took part of the stock amounting to ksh 3000 for personal use

iii) Salaries and wages amounting to ksh 8,000 were pre-paid and ksh 360 of motor expenses accrued

iv) Bad debts written off amounted to 860

v) Depreciation is to be provided for as follows:

 Premises at 20%

 Fixtures and fittings at 15%

 Motor vehicles at 25%

All of a above asset were depreciated at cost

a) The income statement for the year ended 30 th June 2018 ( 5marks)

b) The statement of financial position (5 Marks)​

Answers

Answer:

do you still need help?

Explanation:

Keynes revolutionized economic theory by changing the explanation for what causes economic growth from aggregate _______ to aggregate _______.

a. demand; supply
b. supply; demand
c. cost; inflation
d. GDP; income

Answers

Answer:

b. supply; demand

Explanation:

Before Keynes, classical economists thought that aggregate supply was more important than aggregate demand in determining the overall economic level of a country. This was mainly because of the belief in say's law: the law stated that every offer creates its own deamand.

Keynes changed economics because he stated that demand and supply do not always reach equilibrium, and that demand is often insufficient, and it is the government job to stimulate demand through expansionary monetary and fiscal policy, like lowering interest rates and cutting taxes.

Draw a correctly labeled loanable funds graph that shows what happens to real interest rates for each of the following situations: (You will have 3 graphs)
The government borrows money to fund a war.
Private investors become more optimistic about the economy.
The government raises personal income taxes (do not consider the change in consumer saving).
In the text box provided, enter the time and date you sent your graphs to your instructor. Please specify if you e-mailed or faxed the graph. Make sure your name and the assignment number are on your paper and that each graph is clearly marked with an a, b, or c. (30 points)

Answers

Answer:

1. a) War increases demand for loanable funds, demand curve shifts RIGHT. (Increase in real interest rate)

b) Private investors are optimistic about the economy (i.e. investment opportunities). Demand for loanable funds increases, demand curve shifts RIGHT. (Increase in real interest rate)

c) Tax increase means a decrease in the supply about loanable funds. Supply curve shifts LEFT. (Increase in real interest rate)

2. would most likely increase the supply of loanable funds. If Americans are saving more, then they are spending less money and investing more of it. Remember--saving does not mean "not using it". It means investing it instead of consuming.

3. The interest rate will fall. There is a surplus of loanable funds and the real interest rate will reflect this surplus by falling.

4. decrease in the demand for loanable funds. When output decreases, the return on investment for new projects decreases and investors are less in need of money to fund their ventures.

5. decrease the supply for loanable funds. If they are consuming more, they are saving less.

6. Increase / Decrease. When interest rates increase, growth is reduced because funding economic ventures is now more costly. Sometimes the fed will increase interest rates when it anticipates inflation to increase in order to mitigate economic growth.

Hope this was helpful!

Explanation:

From the list of universality skills,gey the aspects which you think you have embody.​

Answers

Answer:

i didn't got ur question..

Oxford university I’m not sure

In a perfectly competitive market, state the condition (clearly) that causes firms to enter the market? When does the entry and exit of firms from the perfectly competitive industry end? (micro economic question)....write it in your own words :)

Answers

Ok so, the condition that causes firms to enter the market is when firms are making Super Normal Profit. This is when Average Total cost curve is under the MR=D=AR=P line. So firms outside the market are attracted to the SNP being made, and the profits get competed out until normal profit is being made. That’s when ATC is equal to MR=D=AR=P line. If more people enter the market, that’s when a loss is being made.


(2-3 statements answer only) I'll give brainliesr.

•What market/s do we consider when it comes to raw materials?​

Answers

Answer:

factor market

Explanation

Lemme know if I'm wrong :/

When the character playing Alice in Wonderland signed autographs and had her picture taken with guests at Disneyworld, it was an example of a(n):______

a. Customer action
b. Onstage contact employee action
c. Backstage contact employee action
d. Support process
e. Audience action

Answers

Answer: B. Onstage contact employee action

Explanation:

When the character playing Alice in Wonderland signed autographs and had her picture taken with guests at Disneyworld, it was an example of onstage contact employee action

Onstage visible actions by employees are referred to as the face-to-face contacts that the employees of an organization have with their customers while delivering the products. For the backstage contact employee action, those are not visible to customers.

A simple random sample of 700 individuals provides 200 Yes responses. a. What is the point estimate of the proportion of the population that would provide Yes responses (to 2 decimals)? b. What is your estimate of the standard error of the proportion (to 4 decimals)? c. Compute the 95% confidence interval for the population proportion (to 4 decimals).

Answers

Answer and Explanation:

A. The point estimate of individuals that would provide yes responses is the sample proportion. The sample proportion is calculated by dividing number of yes responses by sample size:

p = x/n = 200/700= 0.2857

B. The standard error of the population is the square root of the product of the point estimate and it's complement divided by the sample size given by

√p(1-p)/n

=√0.2857(1-0.2857)/700= 0.0170

C. For confidence level 95%, z score is calculated 1-0.95= 0.05/2= 0.025

Z score checked under the table = 1.96

Boundaries=

P-1.96 *standard error and p+1.96 *standard error

= 0.2857-1.96*0.0170= -0.25238

=0.2857+1.96*0.0170= 0.31902

Note : BODMAS demands we multiply first in the above calculation before subtraction or addition.

A firm has a machine it can sell for $40,000. The book value of the machine is currently $20,000. If the firm sells the machine, what are the net proceeds from the sale? Assume that the tax rate is 40%. Round to the nearest penny.

Answers

Answer:

the net proceeds from the sale is $32,000

Explanation:

The computation of the net proceeds from the sale is shown below:

Net Proceeds = Sale Price - Tax × (Sale price - purchase price)

=  $40,000 - 40% × ($40,000  - $20,000)

= $40,000 - $8,000

= $32,000

Hence, the net proceeds from the sale is $32,000

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Renoir Associates has declared a​ $49,000 cash dividend to shareholders. The company has​ 4,000 shares of ​$16​par, ​6% preferred stock and​ 11,000 shares of ​$16par common stock. The preferred stock is noncumulative. How much will be distributed to the preferred and common stockholders on the date of​ payment?

Answers

Answer:

Preferred stock dividend is paid our before common dividends are paid out. Preferred dividends are;

= 4,000 * 16 * 6%

= $‭3,840‬

Common Stock Dividends

= 49,000 - ‭3,840‬

= $‭45,160‬

What factors under the control of owners and managers make a firm successful and allow it to earn economic​ profits?
Owners and managers control some of the factors that make a firm successful such as:______.
A, The goverment's ability to promote economic growth
B. Sheer chance
C. The role foreign oil plays in determining transportation costs
D. The firm's ability to produce at an average cost above the minimum long - run average cost
E. The firm's ability to differentiate its product

Answers

Answer: E. The firm's ability to differentiate its product

Explanation:

The factor under the control of owners and managers that make a firm successful and allow it to earn economic​ profits is the firm's ability to differentiate its product.

Product Differentiation has to do with making a product unique from that of its rivals so that it'll be attractive to the customers and the target market. This will slow be vital for the company to produce at a average cost that is lower than that of its competing firms. This will help the company to have a competitive edge over others.

A stock has an expected return of 13.4 percent, the risk-free rate is 9 percent, and the market risk premium is 10 percent. What must the beta of this stock be?

Answers

Answer: 0.44

Explanation:

From the question, we are informed that a stock has an expected return of 13.4 percent, the risk-free rate is 9 percent, and the market risk premium is 10 percent.

The beta of this stock be calculated as:

= (13.4% - 9%) / 10%

= 4.4% / 10%

= 0.044 / 0.10

= 0.44

Therefore, the beta of the stock is 0.44

An investor can invest money with a particular bank and earn a stated interest rate of 8.80%; however, interest will be compounded quarterly. What are the nominal (or stated), periodic, and effective interest rates for this investment opportunity? Interest Rates Nominal rate 8.80% Periodic rate 6.12% Effective annual rate 9.00%

Answers

Answer:

nominal interest rate = 8.8%

periodic interest rate = 2.2%

the effective interest rate = 9.09%

Explanation:

nominal interest rate is the rate given to the investor = 8.8%

periodic interest rate = nominal interest rate / total number of compounding periods per year = 8.8% / 4 = 2.2%

the effective interest rate = (1 + periodic interest rate)ⁿ - 1 = (1 + 8.8%/4)⁴ - 1 = (1 + 8.8%/4)⁴ - 1 = (1 + 2.2%)⁴ - 1 = 1.0909 - 1 = 0.0909 = 9.09%

State the 5 most important banking services and rank them in order that you feel most important.

Answers

Answer:

checking account, savings acc, debit and credit cards, insurance , wealth management

Explanation:

The most important banking services can be as follows:

Account openingCheck issuing facilityLoan facilityIssuing credit or debit cardsInsurance assistance

What is a bank?

The bank is a financial authority that is accountable to the account holders who have opened their accounts in their bank.

Banks provide various types of services which are described as follows:

Banks allowed every individual of a country to open their respective accounts in any bank as per their income source.Banks provided the account holders the permit to issue a check in respect of any transaction in his/her name.They are given loans to the holder at a certain interest rate in accordance with the amount held in their bank accounts.They offer credit or debit cards for making cashless transactions or buying something expensive product in installments.They also provide insurance facilities in collaboration with the insurance company for a time span of some years.

Therefore, the service being provided by banks are explained as above.

Learn more about the banking system in the related link:

https://brainly.com/question/15062008

#SPJ2

You work as a tutor for ECON 102. You sell your services at $20/hr., and you can only tutor one person at a time. Suppose you currently have 5 clients. If it cost you on average $14/hr to tutor the first student, in order to increase profits you should. a. We need more information to answer b. Find more clients c. Lower the price d. Get rid of some clients e. Continue to see the same number of clients

Answers

Answer:

a. We need more information to answer

Explanation:

In order to correctly answer his question we need more information. Economy is all about the margin, i.e. marginal revenue versus marginal cost. We are given the marginal revenue ($20/hr of tutoring services) but we are not given the marginal costs of tutoring. We only know that the cost of tutoring the first hour is $14, but what about the rest of the hours. Since you have 5 clients, you must be tutoring more than 1 hour per day. It is always easier to determine the marginal revenue since we determine it, while we cannot determine which costs we would like to incur.

Profits should be maximized when marginal revenue = marginal cost, but unless we know the marginal cost of tutoring the rest of the students we simply cannot answer this question.

A stock has a beta of 1.2. Suppose the expected market risk premium (EMRP) is 6% and the risk-free rate is 1%. What is this stock's expected return according to the CAPM

Answers

Answer:

7%

CAPM = 1% + [6% - 1%](1.2) = 1% + 6% = 7%

who developed the revealed preference theory?
In economics

Answers

Answer:

In 1938 Samuelson presented revealed preference theory as an alternative to utility theory, while in 1950, Samuelson took the demonstrated equivalence of the two theories as a vindication for his position, rather than as a refutation.

Answer:

Samuelson developed the revealed preference theory.

_____ set their own goals and inspect their own work, often hire their own replacements and prepare their own budgets.a) Virtual teams
b) Enlarged teams
c) Socio-technical teams
d) Self-managed teams

Answers

Answer:

HEY PLS DON'T JOIN THE ZOOM CALL OF A PERSON WHO'S ID IS 825 338 1513 (I'M NOT SAYING THE PASSWORD) HE IS A CHILD PREDATOR AND A PERV. HE HAS LOTS OF ACCOUNTS ON BRAINLY BUT HIS ZOOM NAME IS MYSTERIOUS MEN.. HE ASKS FOR GIRLS TO SHOW THEIR BODIES AND -------- PLEASE REPORT HIM IF YOU SEE A QUESTION LIKE THAT. WE NEED TO TAKE HIM DOWN!!! PLS COPY AND PASTE THIS TO OTHER COMMENT SECTIONS!!

Explanation:

HEY PLS DON'T JOIN THE ZOOM CALL OF A PERSON WHO'S ID IS 825 338 1513 (I'M NOT SAYING THE PASSWORD) HE IS A CHILD PREDATOR AND A PERV. HE HAS LOTS OF ACCOUNTS ON BRAINLY BUT HIS ZOOM NAME IS MYSTERIOUS MEN.. HE ASKS FOR GIRLS TO SHOW THEIR BODIES AND -------- PLEASE REPORT HIM IF YOU SEE A QUESTION LIKE THAT. WE NEED TO TAKE HIM DOWN!!! PLS COPY AND PASTE THIS TO OTHER COMMENT SECTIONS!!

Find the equivalent taxable yield of the municipal bond for tax brackets of zero, 10%, 20%, and 30%, if it offers a yield of 4.50%

Answers

Answer and Explanation:

The computation of the equivalent taxable yield is shown below:

For zero = 4.50%

For 10% =  4.50 ÷ 0.90 = 5%

For 20% =  4.50 ÷ 0.80 = 5.625%

For 30% =  4.50 ÷ 0.70 = 6.43%

For 10%, for 20% and for 30% it would reduced the tax brackets by the same

like

for 10%

= 1 - 0.10

= 0.90

The Same applied for other ones

Therefore the above should be the answer

Zebco Inc is evaluating a project that has a cost of $1,000 and will produce end-of-year net cash inflows of $500 per year for 3 years. The required rate of return for this project's is 10 percent. The difference between the project's IRR and its MIRR is closest to:_________.
a. 5.09%
b. ​5.75%
c. ​4.31%

Answers

Answer:

a. 5.09%

Explanation:

initial outlay = -$1,000

cash flow 1 = $500

cash flow 2 = $500

cash flow 3 = $500

the simplest way to determine the IRR and MIRR is to use an excel spreadsheet and the IRR and MIRR functions:

IRR = 23.38%

in order to us the MIRR formula, we must use the 10% rate as both financing and reinvestment rates.  

MIRR = 18.29%

difference between them = 23.38% - 18.29% = 5.09%

Fitch Ratings a credit rating agency, recently downgraded Vermont's debt rating from AAA to AA, citing the state's economy and changing demographics This change could supood:________.a. Increase the direct costs of the state's debt. b. Increase private investment c. Cause the vote to invest in more securities d. None of these likely to occur

Answers

Answer:

a. Increase the direct costs of the state's debt.

Explanation:

When a bond's rating is downgraded is a signal to the investors that investing in the bond now is riskier than it was prior to the rating downgrade, hence, a perceived higher risk using the risk/return relationship means that the bond issue would have to offer a higher return to entice the investors to invest in the bonds.

As a result, the higher required rate of return translates into a higher direct cost of the state's debt since their interest rate offered has increased

Trevor Ang holds a $400,000 portfolio consisting of the following stocks:

Stock Investment Beta
A $100,000 1.40
B $70,000 1.60
C $30,000 1.10
D $200,000 1.00
Total $400,000

What is the portfolio's beta?

Answers

Answer:

Portfolio beta = 1.2125

Explanation:

The portfolio beta is a function of the weighted average of the individual stocks' betas that form up the portfolio. To calculate the beta of a portfolio, we use the following formula,

Portfolio Beta = wA * Beta of A  +  wB * Beta of B  + ... + wN * Beta of N

Where,

w is the weight of each stock

Portfolio Beta = 100000/400000 * 1.4  +  70000/400000 * 1.6  +  

30000/400000 * 1.1  +  200000/400000 * 1

Portfolio beta = 1.2125

Suppose that you buy a 1-year maturity bond with a coupon of 7% paid annually. If you buy the bond at its face value, what real rate of return will you earn if the inflation rate is 4%

Answers

Answer:

the real rate of return is 2.88%

Explanation:

The computation of the real rate of return is shown below:

As we know that

Real rate of return is

= {(1 + nominal rate of return) ÷ (1 - inflation rate)} - 1

= {(1 + 0.07) ÷ (1 + 0.04)} - 1

= 2.88%

Hence, the real rate of return is 2.88%

We simply applied the above formula so that the correct value could come

And, the same is to be considered  

TIME REMAINING
29:35
What gives the US government the power to collect taxes?

the Constitution
laws passed by Congress
an executive order
common law

Answers

Answer:

The Constitution

Explanation:

In the United States, Article I, Section 8 of the Constitution gives Congress the power to "lay and collect taxes, duties, imposts and excises, to pay the debts and provide for the common defense and general welfare of the United States. This is also referred to as the "Taxing and Spending Clause."

Magee Company's stock has a beta of 1.20, the risk-free rate is 4.50%, and the market risk premium is 5.00%. What is Magee's required return

Answers

Answer:

10.50%

Explanation:

Calculation for Magee's required return

Using this formula

Required return=Risk-free rate+Beta(Market risk premium)

Let plug in the formula

Required return= 4.50% + 1.20(5.00%) .

Required return=4.50%+6%

Required return= 10.50%

Therefore Magee's required return will beb10.50%

Critically examine the maximax criteria for decision making under uncertainty
         ​

Answers

Explanation:

A decision under uncertainty is when there are many unknowns and no possibility of knowing what could occur in the future to alter the outcome of a decision.

Other Questions
Kaelyn is reading a book. The books thickness is 25 millimeters. How many of these books would fit on a shelf that is 1 meter long? Instructions: Use these cues and correct the form of estar to write complete sentences. Add any missing words. Question: mochilas/ debajo/ mesa please help me make a sentence!! How many milliliters of 6.2 M M HCl H C l solution are needed to obtain 0.18 mol m o l of HCl H C l ? HELP!!Will give brainliest!! Whats happening in Georgia with senate run off, and why is this necessary?What is the significance of this event? The vehicle's fuel efficiency is at least 35 miles per gallon.Use f to represent the vehicle's fuel efficiency (in miles per gallon). Which element of writing style reveals most about an author's feelings about an issue?use of punctuationgrammarsentence lengthword choice Treaty of versailles was the ending point offirst world war and veginning & second Worldwas. Justify this statement. property of an acide Carla makes a scale drawing of her garden that is 30 feet long and 24 feet wide. If the garden in her drawing is 20 inches long, what is its width, in inches? fill in each blank with the most appropriate form of the conditional1. T ___________ (PODER) viajar con frecuencia.2. Tu novia no ____________ (TENER) que trabajar.3. Tu familia _________ (IR) a tu casa con ms frecuencia.4. Tus hijos __________ (ESTUDIAR) en escuelas de muy buena reputacin.5. Tus amigos __________ (VENIR) a tu casa casi todos los das.6. Nosotros no __________ (ASISTIR) a Clayton State.7. T _________ (COMPRAR) un carro de lujo8. Los das __________ (SER) an ms maravillosos.9. T ___________ (TENER) ms de cinco casas10. T tambin __________ (HACER) donaciones para las causas que te importan ms. What is it called when you accidentally break a rule in a sport?A. RefereeB. Time outC. FoulD. Whistle HELP PLEASE ILL GIVE U 50 POINTS A builder made a scale drawing of a rectangular room. The drawing has a length of 12 cenmeters and a width of 7 cenmeters. The actual room will have a length of 56 meters. What will be the area of the actual room? Which of the following equations would have to be the second equation so that the system has no solutions?A. y = -xB. 9y = 6xC. y = x - 4D. 6x - 4y = 6 Which one doesn't belong?Explain why (I need to make sure)Which pair of numbers has the greatest GCF?A = 140 and 210B = 130 and 390C = 240 and 320D = 550 and 880 4x^2 - 9y^6 what patterns can be used ?please and thank you !!! Python Project Worksheet Print | SaveOutput: Your goalYou will write a program that asks a user to fill in a story. Store each response in a variable, then print the story based on the responses.Part 1: Plan and Write the PseudocodeUse the following guidelines to write your pseudocode for a fill-in story program.Decide on a list of items the program will ask the user to input.Your program should include at least four interactive prompts.Input from the user should be assigned to variables and used in the story.Use concatenation to join strings together in the story.Print the story for the user to read.Write your pseudocode here:Part 2: Code the ProgramUse the following guidelines to code your program.Use the Python IDLE to write your program.Using comments, type a heading that includes your name, todays date, and a short description.Set up your def main(): statement. (Dont forget the parentheses and colon.)Conclude the program with the main() statement.Include at least two print statements and two variables.Include at least four input prompts.Use concatenation to join strings.Follow the Python style conventions regarding indentation in your program.Run your program to ensure it is working properly. Fix any errors you may observe.Example of expected output: The output below is an example of a Favorite Animal message. Your specific results will vary depending on the choices you make about your message.OutputThe kangaroo is the cutest of all. It has 5 toes and a beautiful heart. It loves to eat chips and salsa, although it will eat pretty much anything. It lives in New York, and you must be super sweet to it, or you may end up as its meal!When you've completed writing your program code, save your work by selecting 'Save' in the Python IDLE. When you submit your assignment, you will attach this Python file separately.Part 3: Post Mortem Review (PMR)Using complete sentences, respond to all the questions in the PMR chart.Review Question ResponseWhat was the purpose of your program? How could your program be useful in the real world? What is a problem you ran into, and how did you fix it? Describe one thing you would do differently the next time you write a program. Part 4: Save Your WorkDon't forget to save this worksheet. You will submit it for your assessment. Print | Save PLEASE HURRYIn binary, an individual 0 or 1 is called a bit O True O False Kevin ate 3 apples. This represents 20% of the bag of apples. How many apples were originally in the bag?