perez, inc., applies the equity method for its 25 percent investment in senior, inc. during 2021, perez sold goods with a 40 percent gross profit to senior, which sold all of these goods in 2021. how should perez report the effect of the intra-entity sale on its 2021 income statement?

Answers

Answer 1

No adjustment is necessary to report the effect of the intra-entity sale on its 2021 income statement.

A portion of Unrealized Profit (PURP) adjustments in group balance sheet consolidation are only required when all or a portion of the items have not been sold to third parties, suggesting that the profit on the goods has not been realized. Consequently, it is more akin to a change in inventory inside the group.

"During 2021, Perez sold goods with a 40% gross profit to Senior, which sold all of these things in 2021," reads the scenario. There won't be a requirement for a PURP adjustment on consolidation as long as the group's goods have all been sold and the profit has been achieved.

To learn  more about income statements, visit the link below:

brainly.com/question/13463210

#SPJ4


Related Questions

Canadian tire operates four large distribution centers which service over 470 tire retail outlets. They recently installed a YMS, that they have intergrated with their existing WMS and TMS systems. Their expectation was improved performance in over-the-road transportation equipment utilization, driver productivity, and warehouse dock/door utilization. As a relatively new logistics employee, you have been asked to develop an evaluation system to measure operational productivity improvement. While management does not want a financial impact evaluation, they are interested in developing benchmarks to measure initial and sustainable productivity improvement. You have the job—how would you proceed?

Answers

I would begin by developing measurable benchmarks for each operational metric, such as truck utilization, driver productivity, and warehouse dock/door utilization.

You have the job—how would you proceed?

1. Establish Initial Benchmarks: Gather data from the existing WMS, TMS, and YMS systems to establish initial benchmarks for each of the performance measures that management is interested in evaluating (i.e. over-the-road transportation equipment utilization, driver productivity, and warehouse dock/door utilization).

2. Collect Data on Performance Improvement: Once the initial benchmarks are established, collect data on the performance improvement over time. This data can be used to measure the impact of the YMS on the performance of the overall system.

3. Develop Reports and Dashboards: Develop regular reports and dashboards that track the performance improvement and provide insight into the impact of the YMS on the overall system.

4. Monitor and Evaluate: Continuously monitor and evaluate the performance improvement over time to ensure that the desired improvement goals are met.

5. Adjust Parameters: Make adjustments to the parameters of the YMS, WMS, and TMS systems as needed to ensure the desired performance improvement is maintained.

To learn more about  job process refer :

brainly.com/question/30371359

#SPJ4

How might an economist gather empirical data to test the proposed relationship between money and the price level?1) Economists do not usually develop theoretical models of the economy but only analyze summary statistics about the current state of the economy.2) An economist would persuade the Federal Reserve to change the money supply to various levels, and observe the resulting changes in the price level.3) Unlike researchers in the hard sciences, economists cannot study complex relationships using data.4) An economist would look for data on past changes in the money supply, and note the resulting changes in the price level

Answers

An economist would look for data on past changes in the money supply and note the resulting changes in the price level. This is a common method used by economists to test the relationship between money and the price level. This is known as econometrics.

What is meant by econometrics?

Econometrics is the application of statistical methods to economic data in order to test hypotheses and estimate relationships between variables. In this case, an economist would use econometric methods to test the relationship between money and the price level. They would gather data on past changes in the money supply, as well as data on the resulting changes in the price level.

The economist would then use statistical techniques such as regression analysis to estimate the relationship between the two variables. This would involve fitting a statistical model to the data that describes how changes in the money supply are related to changes in the price level. The economist would also use control variables such as GDP, inflation, and interest rates to account for other factors that may be affecting the price level.

To know more about the relationship between money and price level,

visit: https://brainly.com/question/29992579

#SPJ4

Which of these helps explain why mixed economies develop?
answer choices
a. People become unhappy with aspects of their current economy.
b. People are seldom exposed to the ideas and technologies of other cultures.
c. Government control of an economy tends to make a nation more prosperous.
d. Government control of an economy leads to a diversity of economic approaches.

Answers

Aspects of the current economy start to irritate individuals. These assist in explaining how mixed economies develop.

How can economies progress?

An economy develops organically from collective human action—a spontaneous order, similar to language. To raise their living standards, people trade with one another. When labour is more productive, higher living standards are made possible.

What year were the first economies start to grow?

The emergence of agricultural cultures around 5,000 years ago was the catalyst for the economy's eventual appearance. Because of the development of the plow, the wheel, and other technologies, these communities were able to create surpluses of food.

To know more about economies develop visit:

https://brainly.com/question/29775102

#SPJ4

during the current year, winchester company sold 80,000 units at a selling price of $20 per unit. variable cost per unit was $15, and winchester's net income for the year was $40,000. what was the amount of winchester's fixed costs?

Answers

The amount of Winchester's fixed costs is $360,000

To calculate Winchester's fixed costs, we can use the formula:

Fixed Costs = Total Revenue - (Variable Costs + Net Income)

We know that Total Revenue is 80,000 units x $20 per unit = $1,600,000

Variable Costs is 80,000 units x $15 per unit = $1,200,000

Net Income is $40,000

So, we can substitute these values into the formula:

Fixed Costs = $1,600,000 - ($1,200,000 + $40,000)

Fixed Costs = $1,600,000 - $1,240,000

Fixed Costs = $360,000

Therefore, the amount of Winchester's fixed costs is $360,000.

To know more about Revenue:

https://brainly.com/question/28558536

#SPJ4

which of the following did not contribute to the financial crisis? multiple choice solid credit ratings from the ratings agencies the extension of credit to high-risk borrowers the merger of jpmorgan chase and bear stearns all of the options contributed to the financial crisis.

Answers

Case C: JPMorgan Chase and Bear Stearns Merger

A financial crisis can be caused by a number of different things, such as a breakdown in the system as a whole, unexpected or uncontrollable human behavior, incentives to take on unnecessary risk, regulatory gaps or failures, or the contagion-like spread of problems from one institution or country to another.

Asset prices plummet, businesses and people default, and financial institutions run out of cash. Investors panic and sell assets or remove money from savings accounts during a financial crisis because they think their value will plummet if they stay in a financial institution.

Speculative financial bubbles, stock market crashes, sovereign defaults, and currency crises are also financial crises. Financial crises can affect banks, an area, or the world.

To know more about an example of a financial crisis:

https://brainly.com/question/25664180

#SPJ4

The right way of asking the question is:

Which of the following did not contribute to the financial crisis?

A. Solid credit ratings from the rating agencies

B. The extension of credit to high-risk borrowers

C. The merger of JPMorgan Chase and Bear Stearns

D. All of the options contributed to the financial crisis.

the law of supply holds that price and quantity supplied are: a. positive correlated. b. negatively correlated. c. unrelated. d. inverse proportional.

Answers

This is known as a positive correlation, meaning that the two variables are directly linked; when one increases, the other increases as well. This is also sometimes referred to as an inverse relationship because as one variable increases, the other decreases.

The law of supply states that, all other factors being equal, as the price of a good or service increases, the quantity supplied of the good or service increases, and vice versa. The basic logic behind this law is that when the price of a good or service increases, producers have an incentive to increase production of that good or service. Conversely, when prices fall, producers have an incentive to reduce the quantity supplied because they will make smaller profits by selling at a lower price.

To know more about law of supply click here

https://brainly.com/question/17805586

#SPJ4

The goal of the marketing exchange is that the parties to the transaction be
a) close partners.
b) interdependent.
c) codependent.
d) satisfied.
e) savvy.

Answers

The goal of the marketing exchange is that the parties to the transaction be Satisfied.

As to Why We Market?

Marketing is the practice of a firm, business model, person, and perhaps other entity promoting its service. The goal of marketing is just to persuade customers to buy their products and support a certain company.

What Role Does Marketing Play in This?

One of the main goals of marketing is to increase a company's size. Businesses may employ a variety of marketing strategies to reach these objectives. To match products with customer wants, for instance, personalization, prediction, and simply identifying the right problem to handle could be necessary.

To know more about marketing visit :

brainly.com/question/13414268

#SPJ4

the activity of making net payments to creditors and owners (excluding interest) is called a(n) blank activity in the accounting statement of cash flows. multiple choice question.

Answers

The activity of making net payments to creditors and owners (excluding interest) is called a(n) financing activity in the accounting statement of cash flows.

The cash flow statement examines how much money comes in and goes out of a business. The finance activity is concerned with how a company obtains funds and returns them to investors via capital markets. These actions also include making loans, issuing and reselling additional stock, and paying cash dividends. The cash flow between a company and its owners and creditors is tracked in this area of the statement of cash flows.

The cash outflows connected to the repayment of debts and other obligations that the business owes to its creditors are referred to as net payments to creditors in the cash flow statement. This covers the repayment of loans, bonds, and other debts the business has incurred. In the balance statement of the company, lease payments and other commitments that are categorised as debt are also included.

Read more about financing activity on:

https://brainly.com/question/29766547

#SPJ4

MPI Incorporated has $12 billion in assets, and its tax rate is 25%. Its basic earning power (BEP) ratio is 13%, and its return on assets (ROA) is 4%. What is MPI's times-interest-earned (TIE) ratio

Answers

contemporary sales strategy for sales professionals looking to engage with prospects and boost sales.

What would you say is sales?

A sale is an agreement that includes, among other things, the exchange of products or services for cash. In other words, a sale would be any act that transfers ownership of a good or commodity to something like a buyer in exchange for cash.

What are the four sales?

Needs-satisfaction presenting, conversational selling, selling with a strategic partner, and script-based selling are the four primary sales approaches used by salespeople.

To know more about sales visit:

brainly.com/question/29857652

#SPJ4

Initially, suppose Botoga uses 225,000 hours of labor per week to produce jeans and 675,000 hours per week to produce corn, while Doporia uses 675,000 hours of labor per week to produce jeans and 225,000 hours per week to produce corn. Assume there are no other countries willing to trade goods, so in the absence of trade between these two countries, each country consumes the amount of jeans and corn it produces

Answers

Over 50% of denim is produced in Asia, most of it in China, India, Turkey, Pakistan, and Bangladesh.

How should I put it?

Botoga’s opportunity cost of manufacturing 1 pair of jeans is (1/2 bushel/ ¼ bushel/ 2 bushels/ 4 bushels) of rye, whereas Botoga’s opportunity cost is (1/2 bushel/ ¼ bushel/ 2 bushels/ 4 bushels) of rye. As a result, (Dolorium/Bellissima) has a comparative advantage in denim production, whereas (Dolorium/Bellissima) has a comparative advantage in rye production.

BusinessEconomics, When the two nations did not specialize, total weekly output of jeans was 23 million pairs, and total weekly production of maize was 68 million bushels.Denim is manufactured by twill weave. The blended denim fabric has a very good stretchability, comfortable wear. The denim fabric was introduced by Levis Strauss.

To learn more about  production of jean to refer:

https://brainly.com/question/14775505

#SPJ4

we would expect the demand for jeans to be a. more elastic than the demand for clothing. b. less elastic than the demand for clothing. c. neither more elastic, less elastic, nor the same elasticity as that of the demand for clothing. d. the same as the demand for clothing.

Answers

We would expect the demand for jeans to be -  more elastic than the demand for clothing.

The correct option is a.

A price change causes a considerable change in the amount needed to satisfy an elastic demand. Demand is considered to be inelastic when the amount desired does not vary much as a result of a price modification.

Elasticity of demand is the degree to which demand responds to a change in an economic factor.

Price is the economic factor that is most frequently taken into account when determining elasticity. Additional factors include the availability of alternatives and one's income level.

Demand elasticity measures how it alters in response to altering macroeconomic circumstances. When demand is unaffected by price changes, it is said to be inelastic.

To learn more about elastic demand, refer

https://brainly.com/question/23301086

#SPJ4

g how many years will it take to double your investment of $2,000 if it has an interest rate of 6% compounded annually?

Answers

If your investment earns 6% interest each year, compounded, it will take 12 years to double. A purchase made with the intention of creating income or capital growth is known as an investment.

Investments are financial commitments made to acquire assets in the hopes that their value would rise over time. Investment necessitates the loss of a current resource, such as time, money, or effort. In the world of finance, investment is done in order to profit from the asset being put to use. An asset's value increasing over time is referred to as appreciation. When a person makes an investment, they do not intend to utilise the product immediately; instead, they intend to use it to build wealth in the future. Investing is the act of putting money into something with the hope of earning money or making a profit.

learn more about Investments  here:

https://brainly.com/question/15105766

#SPJ4

Which of these countries has an economy most similar to that of the former Soviet Union? answer choices. Sweden. Norway. South Korea. North Korea.

Answers

North Korea.( North Korea, is officially the Democratic People's Republic of Korea, is country in East Asia.)

What isn't always allowed in North Korea?

North Korea has the strict laws about what you can bring. It is illegal to bring in religious, or political items. Please register all notices and electronic devices upon arrival. It is also illegal to knowingly or unintentionally possess items that violate North Korean law.

Does North Koreans Have Internet?

From 2022, ordinary citizens with mobile devices will not be able to access the global internet. Instead, these individuals only have access to state-run enlightenment. When it comes to global internet access, this privilege is only given to a few North Korean elites.

How life in the North Korea?

The country is culturally and economically isolated, with many suffering from malnutrition and living in extreme poverty. Thousands of North Koreans commute daily to farms, factories and the capital, Pyongyang.

To know more about North Korea visit here:

https://brainly.com/question/15137749

#SPJ4

which statements below define a liability? (check all that apply.) multiple select question. the company obligations to provide assets, products or services to others resources owned by the business an amount owed to a creditor an amount owed to the owner(s) of the business a creditor's claims against the assets of a business

Answers

D) A company's obligations to provide assets, products, or services to others, a creditor's claims against the company's assets, an amount owed to a creditor.

A liability is a debt, typically monetary, owed by an individual or business. Through the transfer of economic benefits, such as money, goods, or services, liabilities are settled over time.

Which is an asset and liability statement?

A balance sheet is a type of financial statement that shows a company's current liabilities, assets, and shareholders' equity.

Which three kinds of liabilities are there?

There are three categories of liabilities: contingent, non-current, and current.

What components make up liabilities?

These are: (1) that a duty was broken, (2) that the breach resulted in harm, and (3) that harm actually occurred.

To learn more about company's assets here:

https://brainly.com/question/13716501

#SPJ4

some diversification benefits can be achieved by combining securities in a portfolio as long as the correlation between the securities is . question 3 options: 1 less than 1 between 0 and 1 less than or equal to 0

Answers

Combining stocks in a portfolio can provide some diversification benefits as long as the correlation between the securities is between 0 and 1.

What do you mean by diversification benefits?

Diversification benefits are the advantages that companies and individuals can gain from spreading out their investments across multiple asset classes. By diversifying, investors can reduce their risk of incurring losses in a single asset class and increase their chances of achieving positive returns. With diversification, investors can also benefit from the different performance of different asset classes, as some may be more volatile than others. Diversification can also help investors to reduce their overall portfolio costs, as they can purchase a variety of assets with low transaction costs. Furthermore, diversification can provide investors with the potential to reduce their taxes by investing in certain tax-advantaged accounts. In short, diversification can help investors to manage the risk of their investments while still providing them with the potential to achieve higher returns.

So, The required answer is  between 0 and 1.

To learn more about  diversification benefits:

https://brainly.com/question/10702105

#SPJ4

how will an increase in private savings in the united states most likely affect financial capital flows and the value of the dollar in foreign exchange markets?

Answers

Capital outflows will result in an increase in the supply of dollars in the foreign . An increase in private saving will result in an increase in the supply of loanable funds .

Which of the following will cause the United States dollar to depreciate in relation to the euro?

In the United States, interest rates are going down. People will be more inclined to invest in the EU if interest rates in the US decrease. As more people start exchanging dollars for euros to invest in the EU, the supply of dollars will grow. The value of dollars will decrease if there is more of them.

Why does a foreign currency lose value in comparison to the US dollar?

On the one hand, when a government uses monetary policy to lower the value of a currency, this is called devaluation. In contrast, depreciation occurs in the free exchange market as a result of supply and demand. A decision that lowers the value of a currency is known as a devaluation.

Learn more about foreign exchange rate:

brainly.com/question/6675565

#SPJ4

which of the following is not a part of effective corporate governance? a. focus on short-run profits that add up in the long run b. use of stock-based compensation for key employees c. holding managers accountable for poor performance d. rules and practices to ensure that managers balance the needs of customers, employees, and affected citizens with shareholder interests e. having a strong, independent board of directors

Answers

Option A is correct. Focus on short-run profits that add up in the long run is not a part of effective corporate governance.

What is effective corporate governance?

The mechanisms and procedures put in place to ensure that a business is being handled ethically and responsibly, in the best interests of all stakeholders, including shareholders, clients, employees, and the community, are referred to as effective corporate governance. 

1. A robust, independent board of directors that protects shareholders' interests and is not subject to management is one aspect of this.

2. Using stock-based pay to better match the interests of key workers with those of shareholders

3. Using performance measurements and open channels of communication to hold managers accountable for subpar performance.

To know more about effective corporate governance visit:

https://brainly.com/question/28545326

#SPJ4

a company borrowed $180,000 at an interest rate of 9% compounded annually over six years. the loan will be repaid in installments at the end of each year according to the accompanying repayment schedule. what will be the size of the last payment (x) that will pay off the loan?

Answers

x = $289,872.15  will pay off the loan according to the accompanying repayment schedule.

1. Calculate the total amount of interest that will be paid over the six years: Interest = Principal x Interest Rate x Time = $180,000 x 0.09 x 6 = $97,200

2. Calculate the total amount to be repaid: Total = Principal + Interest = $180,000 + $97,200 = $277,200

3. Calculate the amount of each payment: Payment Amount = Total / Number of Payments = $277,200 / 6 = $46,200

4. Calculate the total amount of payments made before the last payment:

Total Payments Made = (Number of Payments - 1) x Payment Amount = (6 - 1) x $46,200 = $275,800

5. Calculate the size of the last payment (x):Last Payment = Total - Total Payments Made = $277,200 - $275,800 = $1,400

To know more about repayment schedule:

https://brainly.com/question/1444600

#SPJ4

the greater the degree of customer involvement, the more challenging the design and management of operations.

Answers

Answer:

This statement suggests that as the level of customer involvement increases, the complexity and difficulty of designing and managing operations also increases. When customers are more involved in the process, they may have more specific needs, requirements or expectation that need to be met by operations. This can make it more challenging to design and manage operations in a way that meets these needs, while also being efficient and cost-effective. Additionally, when customers are more involved, the operations may need to be more flexible and adaptable to changing customer needs, which can add complexity to the design and management of operations.

through an internal service fund, new county operates a centralized data processing center to provide services to new's other governmental units. this internal service fund billed new's parks and recreation fund $150,000 for data processing services. what account should new's internal service fund credit to record this $150,000 billing to the parks and recreation fund?

Answers

New County's Internal Service Fund (ISF) should credit the "Revenue from Services" account to record the $150,000 billing to the Parks and Recreation Fund.

The Internal Service Fund (ISF)  is responsible for providing services to other governmental units within New County, and in this case, the data processing services provided to the Parks and Recreation Fund. The ISF is billing the Parks and Recreation Fund for these services, which is considered a "revenue" for the ISF.

It's important to note that the ISF is a separate fund from the Parks and Recreation Fund and therefore, the ISF should record the billing as revenue in its own financial records. The Parks and Recreation Fund, on the other hand, would record the payment as an "expense" in its financial records. This helps to ensure that the financial records for each fund are accurate and separate.

Overall, the ISF should credit the "Revenue from Services" account to record the $150,000 billing to the Parks and Recreation Fund, and the Parks and Recreation Fund should debit the "Expense for Services" account. This is the standard accounting practice for internal service fund billing to other governmental units.

Learn more about Internal Service Fund (ISF) here:

https://brainly.com/question/29359686

#SPJ4

pmi provides certification for someone who has documented sufficient project experience, agreed to follow the pmi code of professional conduct, and demonstrated mastery of the field of project management by passing a comprehensive examination. what is this certification called? multiple choice question.

Answers

Project Management Professional, PMI's project management wage survey found that PMP-certified project managers earn 16% more than non-credentialed professionals.

PMP can also give project managers a 385% ROI. PMI designed PMP Certification to reward project managers who can successfully manage projects. PMP®-certified project managers are exceptional. It shows project leadership expertise in any method.

Project managers must complete prerequisites and pass a 180-question exam to become PMPs. Each PMP exam question is based on real-world project management experiences.

To get the Project Management Professional credential, you must demonstrate proficiency in three core areas:

People: Realizing you have what it takes to lead and inspire a project team from start to finish.

Methodology: Figuring out what kind of methodology is most suitable for a certain project by combining elements of agile, predictive, and hybrid techniques.

In a business context, it is important to highlight how a project's success relates to the organization's larger strategic objectives.

To know more about certification:

https://brainly.com/question/18271875

#SPJ4

The right way of asking the question is:

PMI provides certification as a(n) ____________________—someone who has documented sufficient project experience and education, agreed to follow the code of ethics and professional conduct, and demonstrated knowledge of the field of project management by passing a comprehensive examination.

Ungroup the workheet. Ue the quarter name in cell F5 of the Annual Sale workheet to fill the range G5:I5 with the name of the remaining quarter in the year.

Answers

1. Right click on the tab name of the Annual Sale worksheet, then select Ungroup Sheets.

2. Select cell F5 of the Annual Sale worksheet.

3. Type in the name of the first quarter of the year.

4. Select cells G5:I5

5. Type in the remaining quarters of the year, one in each cell.

What is meant by Annual Sale worksheet?An Annual Sale worksheet is a type of spreadsheet used to keep track of a company's sales over the course of an entire year. This worksheet typically includes columns for each month, as well as a total column that adds up all the monthly sales. This worksheet is important for businesses to track their progress over time and gain insight into their sales trends. It also allows them to compare their performance from one year to the next. By looking at the total sales for the year, a business can decide if they need to adjust their strategies in order to increase their sales. Additionally, the worksheet helps businesses generate a forecast for the upcoming year, helping them make more informed decisions. In short, an Annual Sale worksheet is an essential tool for any business that wants to stay on top of their sales and gain insight into their performance.

To learn more about Annual Sale worksheet refer to:

https://brainly.com/question/25813476

#SPJ4

used bonds to issue new mortgages to families currently in default and to prevent foreclosure. True or false

Answers

The assertion is correct in light of how the question addresses using bonds to grant new mortgages to households already in arrears and avert foreclosure.

What does the term "mortgage" mean exactly?

a formal commitment to borrow from a bank or any other financial institution, notably to fund the purchase of a home or other properties, or the sum borrowed: Obtain a mortgage by asking for one. You obtain a mortgage with a term deposit on your house.

In India, what is a mortgage?

A mortgage is a lien holder that enables you to access funds by providing the lender security in the form of an immobile asset, such a commercial or residential property. Until you pay back the loan, the borrower retains the asset.

To know more about mortgage visit:

https://brainly.com/question/29897938

#SPJ4

your client wants to invest a proportion of her total investment budget in your risky fund to provide an expected rate of return on her overall or complete portfolio equal to 8%. what proportion should she invest in the risky portfolio, p, and what proportion in the risk-free asset?

Answers

The lower standard deviation shows that the first client is more risk averse and favors assets with lesser risk. The risk-free asset is 7.5%.

A statistician uses the standard deviation to determine how much a bunch of numbers can fluctuate or be spread. The expected value occurs when the standard deviation is low because the values are more likely to fall within a small range, whereas when the standard deviation is high, the values are more likely to be close to the mean.

The lower case Greek letter sigma, which stands for the population standard deviation, or the Latin letter s, which stands for the sample standard deviation, are most frequently used in mathematical equations and texts to represent standard deviation. Standard deviation is also sometimes referred to as SD.

The square root of a random variable's variance is the standard deviation of a sample, statistical population, data collection, or probability distribution.

[tex]E(r_c)=[/tex][tex]8[/tex]%[tex]=5[/tex]%[tex]+y*(11[/tex]%[tex]-5[/tex]%[tex])[/tex]

[tex]y=\frac{(0.0-0.05)}{(0.11-0.05)}=0.5\\[/tex]

To know more about probability, visit:

https://brainly.com/question/13604758

#SPJ4

dollar store finds the daily demand for any of their products is given by . if they change their prices from $1 to $1.01, what is the change in demand? round to nearest hundredth 0.01.

Answers

Skills in communication, education, technical skills, creativity, experience, problem-solving abilities, mental health, and personal resilience are all examples of human capital.

What is an example of human capital Class 9?

Human capital investment is the investment in things like education, training, and medical care.

What are the most important examples of human capital and physical capital?

Inanimate assets like cash, property, job site equipment, and inventory make up physical capital. In contrast, human capital refers to the capabilities, knowledge, and skills of an organization's staff.

Which four types of capital are there?

Working capital, debt, equity, and trading capital are the four main types of capital.

To learn more about Human capital investment here:

https://brainly.com/question/16504657

#SPJ4

suppose you want to become a lyft driver and need to lease a car. you want a car valued at $22,000. the dealer will let you drive away with no money down. you sign a 5 year lease with monthly payments. the imbedded discount rate on the lease is 6%. at the end of the fifth year, you would need to pay a residual value payment of $5,255.19 in order to take ownership of the car. what is the required monthly payment? round to the nearest $ and use the $ symbol.

Answers

Suppose you want to become a lyft driver and need to lease a car. $ 350 is the required monthly payment

Calculating the problem:

Present Value of Car = $22,000

Time Period of Lease = 5 years

Interest Rate = 6%

Future Value = $5,255.19

Calculating Monthly Payment,

Using TVM Calculation,

PMT = [PV = -22,000, T = 60, FV = 5,255.19, I = 0.06/12]

PMT = $350

Monthly Payment = $350

The amount paid each month to repay the loan over the loan's term is known as the monthly payment. When a loan is taken out, not only must the principal, or the original amount loaned out, be repaid, but also the interest that accumulates.

What is the term for a monthly payment?

A fixed payment made by a borrower to a lender on a predetermined date each month is known as an equated monthly installment (EMI). Each month, EMIs are applied to both the principal and the interest so that the loan is paid off completely in a predetermined amount of time.

What kinds of payments are typical each month?

They typically occur on a monthly basis, like car payments, mortgage payments, or rent. However, fixed costs can be paid quarterly or annually. Examples of these kinds include insurance premiums, professional association dues, and HOA dues.

Learn more about monthly payments:

brainly.com/question/19338868

#SPJ4

it is sometimes suggested that a floating exchange rate will adjust to reduce or eliminate any current account deficit. explain why this adjustment would occur.

Answers

This adjustment would occur because A current account deficit reflects a net sale of the home currency in exchange for other currencies.

What is current account?In economics, a current account balance notes the value of imports and exports of  goods and services, and the international transfer of money.It is one of the two components of the balance of payments, the other being the capital account.A current account is opened by a business person who has a large number of regular transactions with the bank. This includes deposits, withdrawals and counter transactions. Also known as an overnight savings account.A current account can be opened at a cooperative bank or a commercial bank.One of the most important features of a checking account is the fact that it does not accrue interest. The money in the current account is made available to the account holder whenever they need it, and to compensate for this extra liquidity provided by the bank, the current account is free of interest.

To learn more about current account from the given link :

https://brainly.com/question/29796923

#SPJ4

the cost, in environmental quality, of a unit of pollution that is emitted into the environment is the:

Answers

The cost of a unit of pollution emitted into the environment in terms of environmental quality is the: external cost.

What exactly is an external cost?

External costs are those incurred by transportation users but not directly borne by them, such as congestion, air pollution, climate change, accidents, noise, expenses for both upstream as well as downstream operations, costs for the natural environment and additional costs in metropolitan areas.

An externality is a cost or benefit that a producer generates but does not bear or receive personally. An externality can be both positive and negative and might emerge from the production or consumption of a good or service.

Learn more about  external cost

brainly.com/question/13524644

#SPJ4

Here are the actual tabulated demands for an item for a nine-month period (January through September). Your supervisor wants to test two forecasting methods to see which method was better over this period. MONTH ACTUAL January 110 February 134 March 158 April 170 May 166 June 178 July 144 August 130 September 146 a. Forecast April through September using a three-month moving average. (Round your answers to 2 decimal places. ) b. Use simple exponential smoothing with an alpha of 0. 20 to estimate April through September, using the average of January through March as the initial forecast for April. (Round your answers to 2 decimal places. ) c-1. Calculate MAD for each method. (Round your answers to 2 decimal places. ) c-2. Use MAD to decide which method produced the better forecast over the six-month period. Exponential smoothing. Three-month moving average

Answers

The tactical forecast is the word for projections used for establishing day-to-day decisions regarding meeting demand. Forecasts are required to establish how a corporation performs processes everyday.

What does "demand" mean?

Demand is simply the consumer's unreserved readiness to pay a price for goods and services.The quantity of things that consumers are prepared and willing to purchase at various prices within a specific time frame is known as demand.

What word best describes demands?

Claim, precise, and require are a few popular alternatives to demand. While both of these words refer to "asking or calling for what is due or as required," demand connotes a right to be obstinate and insistent as well as frequently the ability to make request that are

To know more about demands visit:
https://brainly.com/question/29703449

#SPJ4

phillipe established a revocable living trust naming himself, his spouse, and his two children as income beneficiaries, and his grandchildren as remainder beneficiaries. he funded the trust with $300,000. what is the value of this trust for gift tax purposes? a) $255,000 b) $270,000 c) $300,000 d) $0

Answers

d) $0, Philip created a revocable living trust with himself as the income beneficiary and his grandkids as the beneficiaries of the remaining assets. He contributed $300,000 into the trust. This trust has no value for gift tax purposes.

You can still manage your assets if you place them in a living trust. A living trust is a legal structure that enables someone to transfer their assets to someone else while they are still alive and retain control of them until they pass away. No Asset Protection: Assets are not shielded from creditors' claims by a revocable living trust. Administrative Work is Required - Transferring all of your assets from individual ownership to a trust requires time and work. Probate will be required for all assets that are not expressly transferred to the trust.

learn more about  living trust here:

https://brainly.com/question/13013198

#SPJ4

Other Questions
what are the roles and differences of ligaments, tendons, and cartilage? Questions 44-55. Read the following passage from Ralph Ellisons Living With Music (1955) carefully before you choose your answers In context, the word intimate (lines 32-33) is best interpreted to meanSelect one:a. Suggestive and lyricalb. Tender and friendlyc. Inexorably penetratingd. Sensual and charminge. Strongly private Erick and Mia live the same distance from the park and decide to meet at the park one afternoon. The graphs showtheir distances from home over the same 30-minute period as they walked to the park. Each section of each graphrepresents 10 minutes.Distance from HomeErickTimeDistance from HomeMiaTimeWhich of the following statements is true?It took Mia 10 minutes to walk to the parkMia left home immediately to head to the parkErick and Mia arrived at the park at different timesIt took Frick only 10 minutes to walk to the park after world war I, why did american farmers fail to share in the general economic growth of the united states? treatment of the following stereoisomer of 1-bromo-1,2-diphenylpropane with sodium ethoxide in ethanol gives a single stereoisomer of 1,2-diphenylpropene. draw the e2 elimination product of the reaction. take into account that the starting stereochemistry affects the resulting double bond stereochemistry. fill in the blank. ____ is the process by which a union becomes recognized by the national labor relations board as the bargaining agent for a group of employees. group of answer choices accreditation affiliation certification arbitration the client with a diagnosis of gastric ulcer has a prescription for oral sucralfate four times daily. the nurse reinforces instructions to the client about which adverse or side effect that can occur while taking this medication? during Shakespeare's time, how were plays usually funded e1-2 (static) identifying management functions [lo 1-2] suppose you are a sales manager for books on wheels, incorporated, which makes rolling book carts often used by libraries. the company is considering adding a new product aimed at university students. the new product will be a small, collapsible, wheeled tote designed specifically to aid students in transporting textbooks across campus. suppose that, after a thorough investigation, books on wheels decided to go forward with the new product aimed at university students. the product, the campus cart, has gone into production, and the first units have already been delivered to campuses across the country. Required: Match each of the following steps that book place as Books on Wheels moved through the decision making, production, marketing, and sale of the campus Cart with the correct phase of the management process. A. Planning B. Implementing C. Controling solve these proportion for the variable x. Use the reasoning of scalling to solve Separate and unequal: Indian schools, a nations neglectWhat is the issue? Who might think differently? What are one or two reasons that you know that might support the other side of the authors stance true/false. the belmont principle of beneficence requires that: risks to subjects are reasonable in relation to anticipated benefits. subjects derive individual benefit from study participation. the study makes a significant contribution to generalizable knowledge. risks are managed so that they are no more than minimal. Read each question and find the correct answer in the wheel. the letter that matches the answer on the wheel is what will go in the code. 1. Prompt for Max NumberInstead of locking the game into a number between 1 and 20, use the prompt() method to ask the user what the maximum number should be. The prompt should be in a loop with validation as demonstrated previously in the course making sure that the inputted value is a positive number. If the user inputs a decimal, simply round it.When a valid number is inputted, change the content of the instructions to specify guesses between 1 and N.Grading Criteriaa. The application prompts for a maximum number and uses it in the logic appropriately.b. The application additionally validates the user input and does not allow invalid entries (negative numbers, 0, or non-numbers), re-prompting the user if an invalid entry is provided. according to harlan Plessy v. frguson would someday be viewed as a bad decision on the part of the supreme court. Was he correct? was he correct ? how can you write prime factorization and find the greatest common factor and least common multiple of two numbers Typically, the senior customer representative is responsible for which of the following project roles?A. develops the project schedule and budgetB. determines how the project work will be accomplishedC. helps the project manager with running meetings and providing status reportsD. ensures the needs of the customer's organization are identified and prioritized what are the steps necessary for a bill to become law? there is only one explanation for why economists give conflicting advice on policy issues, and it is that they have different scientific judgments about the validity of alternative theories. State of True or False.1. True 2. False Elementary and Middle School Mathematics: Teaching Developmentally