how to make money with pinterest affiliate marketing - beyond just posting affiliate links! internet marketing and entrepreneurship with miles

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Answer 1

To make money with Pinterest affiliate marketing, go beyond posting affiliate links by creating valuable content, optimizing keywords, engaging with your audience, and utilizing Pinterest's features like group boards and promoted pins.

To maximize your earnings with Pinterest affiliate marketing, focus on creating high-quality and visually appealing content related to your niche. Optimize your pins and boards with relevant keywords to increase their visibility in search results. Engage with your audience by replying to comments, following other users, and participating in group boards. Additionally, consider utilizing Pinterest's features like group boards to reach a larger audience and promoted pins to boost visibility. Beyond just posting affiliate links, aim to provide value and solve problems for your audience, building trust and credibility. This approach can lead to higher click-through rates and conversions, ultimately generating more income through affiliate marketing on Pinterest.

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when preferred stock is cumulative and the directors either do not declare a dividend to preferred stockholders or declare one that does not cover the total amount of the cumulative dividend, the unpaid dividend amount is called: multiple choice noncumulative dividends common dividends. retained earnings. stock dividends. dividends in arrears.

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The unpaid dividend amount in the scenario described is called  option D: "dividends in arrears."

What is the  preferred stock?

Dividends in arrears refer to the amount of missed dividend payments on preferred stock shares, which are guaranteed by the issuing company. Such outstanding payments are recorded on the balance sheet of the company as a liability to be paid to investors.

Unpaid dividends that have accumulated over time on preferred stock with a cumulative feature are known as dividends in arrears.

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When preferred stock is cumulative and the directors either do not declare a dividend to preferred stockholders or declare one that does not cover the total amount of the cumulative dividend, the unpaid dividend amount is called: Multiple Choice Stock dividends Common dividends Noncumulative didends dividends in arrears Retained earnings

african americans are part of every economic group in the united states. group of answer choices true false

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True. African Americans are part of every economic group in the United States. This means that they are represented in every income level, from the wealthiest to the poorest.

However, it is important to note that African Americans have historically faced systemic barriers that have made it more difficult for them to achieve economic success, such as discrimination in employment, housing, and education. Despite these obstacles, many African Americans have been able to achieve economic success through hard work and perseverance. Some have even become successful entrepreneurs and business owners, creating jobs and contributing to the economy. It is also important to recognize that there is still a significant racial wealth gap in the United States, with African Americans on average having less wealth and fewer assets than white Americans. This is a result of historical and ongoing discrimination, as well as other factors such as the lack of access to affordable housing and quality education. Overall, while African Americans are represented in every economic group in the United States, there is still work to be done to ensure that everyone has equal access to economic opportunity and prosperity.

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mirada company manufactures handheld calculators and has the following information available for the month of july: work in process, july 1 (100% complete for direct materials, 25% for conversion) 126,000 units direct materials $ 240,000 conversion cost $ 394,000 number of units started 220,000 units july costs direct materials $ 426,000 conversion cost $ 484,000 work in process, july 31 (100% complete for direct materials, 10% for conversion) 144,000 units required: using the weighted-average method of process costing, calculate the cost per equivalent unit for direct materials and conversion costs. (round cost per equivalent unit to 5 decimal places.)

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The equivalent unit cost for direct materials is $1.9240 and the equivalent unit cost for conversion costs is $4.0583

In order to calculate the cost per equivalent unit for direct material and conversion costs using the weighted average method of process costing, we must consider the costs incurred during the month of July.

First, let's calculate the equivalent units of production for direct material and conversion costs:

Direct Materials:

Units in beginning work in process: 126,000 units (100% complete)

Units launched during July: 220,000 units

Total units: 346,000 units

Units in ending work in process: 144,000 units (100% complete)

Equivalent units of production for direct materials:

Units completed and converted: 346,000 units - 144,000 units = 202,000 units

Equivalent units in ending work in process: 144,000 units * 100% = 144,000 units

Conversion costs:

Units in beginning work in process: 126,000 units (25% complete)

Units launched during July: 220,000 units

Total units: 346,000 units

Units in ending work in process: 144,000 units (10% complete)

Equivalent units of production for conversion costs:

Units completed and converted: 346,000 units - 144,000 units = 202,000 units

Equivalent units in ending work in process: 144,000 units * 10% = 14,400 units

Next, let's calculate the total costs incurred during July:

Total direct material cost: $240,000 + $426,000 = $666,000

Total conversion cost: $394,000 + $484,000 = $878,000

We can now calculate the cost per equivalent unit for direct material and conversion costs:

Cost per equivalent unit for direct materials:

Total direct material costs / Equivalent units of production for direct materials

$666,000 / (202,000 units + 144,000 units) = $666,000 / 346,000 units = $1.9240 (rounded to 5 decimal places)

Price per equivalent unit for conversion costs:

Total conversion cost / Equivalent units of production for conversion cost

$878,000 / (202,000 units + 14,400 units) = $878,000 / 216,400 units = $4.0583 (rounded to 5 decimal places)

Therefore, the equivalent unit cost for direct materials is $1.9240 and the equivalent unit cost for conversion costs is $4.0583, using the weighted average method of process costing.

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A company can only be concerned about its _____ responsibilities once it has met its economic and legal responsibilities.A. stakeholderB. societalC. culturalD. corporateE. ethical

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The best alternative is option E. ethical. Once a company has met its economic and legal responsibilities, it can shift its focus to fulfilling its ethical responsibilities.

Ethical responsibilities refer to the moral obligations that a company has towards its stakeholders, society and the environment. These responsibilities go beyond just complying with the law and maximizing profits, and encompass issues such as fair treatment of employees, protecting the environment, and contributing to the community.
Fulfilling ethical responsibilities can have several benefits for a company, such as improving its reputation, enhancing customer loyalty, attracting and retaining top talent, and increasing shareholder value. Companies that prioritize ethics and social responsibility are often seen as more trustworthy and are more likely to earn the support of stakeholders.
meeting economic and legal responsibilities is important for any company, but fulfilling ethical responsibilities is equally essential. By doing so, companies can create a positive impact on society and the environment, while also reaping the benefits of a strong reputation and increased stakeholder support.

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a head-mounted device that allows consumers to immerse themselves in a digital environment is a(n) _____ device.

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A head-mounted device that allows consumers to immerse themselves in a digital environment is a virtual reality (VR) device.

Virtual reality devices are head-mounted devices that create a simulated, immersive digital environment for users. These devices typically consist of a headset that users wear on their heads, which often includes a screen or screens to display the virtual world. The headset is designed to track the movement of the user's head and adjust the display accordingly, providing a realistic and interactive experience.

Virtual reality technology has advanced significantly in recent years, offering more realistic visuals, improved tracking capabilities, and enhanced sensory experiences such as spatial audio and haptic feedback. These devices enable users to feel as if they are physically present within the digital environment, allowing for interactive exploration, gaming, training simulations, and various other applications.

In conclusion, a head-mounted device that enables users to immerse themselves in a digital environment is referred to as a virtual reality (VR) device. It provides a simulated and immersive experience that can be utilized for entertainment, gaming, training, and other applications.

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Beavis Construction Company was the low bidder on a construction project to build an earthen dam for $1,900,000. The project was begun in 2020 and completed in 2021. Cost and other data are presented below:2020 2021Costs incurred during the year $ 420,000 $ 1,200,000 Estimated costs to complete 980,000 0 Billings during the year 450,000 1,450,000 Cash collections during the year 350,000 1,550,000 Assume that Beavis recognizes revenue on this contract over time according to percentage of completion.

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The gross profit recognized for the year 2020 and 2021 is $30,000 and $550,000 respectively, and the total gross profit on the contract is $580,000.

Using the information provided, we can calculate the percentage of completion for each year:

Percentage of completion in 2020:

Costs incurred during the year / (Costs incurred during the year + Estimated costs to complete) = $420,000 / ($420,000 + $980,000) = 30%

Percentage of completion in 2021:

( Costs incurred during the year + Costs incurred to complete) / Total contract value = ($420,000 + $1,200,000 + $0) / $1,900,000 = 84.21%

Using the percentage of completion method, we can calculate the revenue recognized in each year:

Revenue recognized in 2020:

Percentage of completion in 2020 x Total contract value = 30% x $1,900,000 = $570,000

Revenue recognized in 2021:

Percentage of completion in 2021 - Percentage of completion in 2020 = 84.21% - 30% = 54.21%

Revenue recognized in 2021 = 54.21% x $1,900,000 = $1,029,990

To calculate the gross profit for each year, we need to subtract the costs incurred from the revenue recognized:

Gross profit in 2020:

Revenue recognized in 2020 - Costs incurred during the year = $570,000 - $420,000 = $150,000

Gross profit in 2021:

Revenue recognized in 2021 - Costs incurred during the year - Estimated costs to complete = $1,029,990 - $1,200,000 - $0 = -$170,010

Since the gross profit in 2021 is negative, Beavis Construction Company has incurred a loss on this contract.

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sala co. is contemplating the replacement of an old machine with a new one. the following information has been gathered: old machine new machine price $300,000 $600,000 accumulated depreciation $90,000 -0- remaining useful life 10 years -0- useful life -0- 10 years annual operating costs $240,000 $180,600 if the old machine is replaced, it can be sold for $24,000. the net advantage (disadvantage) of replacing the old machine is group of answer choices $18,000 $24,000 $(6,000) $(60,000)

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The company would incur a net disadvantage of $984,000 if it replaces the old machine with a new one. Therefore, the correct answer is $(984,000).

(None of the given option is correct)

To determine the net advantage (disadvantage) of replacing the old machine, we need to calculate the total cost of operating the old machine for its remaining useful life and compare it to the cost of purchasing and operating the new machine for the same period. The total cost of operating the old machine for its remaining useful life is:

Annual operating cost x remaining useful life = $240,000 x 10 = $2,400,000

If the old machine is replaced, it can be sold for $24,000, which should be deducted from the cost of the new machine. Therefore, the total cost of purchasing and operating the new machine for its useful life is:

Purchase price of new machine - proceeds from sale of old machine + annual operating cost of new machine x useful life = $600,000 - $24,000 + $180,600 x 10 = $3,384,000

The net advantage (disadvantage) of replacing the old machine is the difference between the total cost of operating the old machine and the total cost of purchasing and operating the new machine:

Net advantage (disadvantage) = Total cost of operating old machine - Total cost of purchasing and operating new machine

= $2,400,000 - $3,384,000

= $(984,000)

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a potential purchaser learns that a new expressway overpass is to be constructed within two blocks of one of the houses she is considering. if this face causes her to reduce the amount she offers for the property, that decision would likely be based on the economic characteristic of

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The economic characteristic that the potential purchaser's decision to reduce the amount offered for the property would likely be based on is the principle of "location" or "location value."

The construction of a new expressway overpass nearby can significantly impact the desirability and value of a property. The location of a property is a crucial economic characteristic that affects its market price. Factors such as proximity to transportation networks, amenities, schools, employment centers, and infrastructure can influence the value of a property. In this scenario, the potential purchaser's decision to reduce the amount offered for the house is based on the economic principle that the location's perceived negative impact (such as increased noise, traffic, or disruption) due to the new expressway overpass reduces the overall desirability and value of the property. The location value of the property is diminished due to the anticipated negative consequences associated with the nearby construction, leading to a decrease in the offered amount.

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notes receivable are recorded in the accounts at group of answer choices cash (net) realizable value. face value. gross realizable value. maturity value.

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Notes receivable are recorded in the accounts at face value.

Notes receivable are promissory notes issued by a borrower to a lender as a written promise to repay a specific amount of money at a future date. When a company records a note receivable in its accounts, it initially records it at its face value, which is the amount stated on the face of the note.

The face value represents the principal amount of the note, which is the amount to be repaid by the borrower to the lender upon maturity.

The face value of a note is different from its cash (net) realizable value, which takes into account any potential discounts or allowances, such as interest charges or potential default risks, that may reduce the actual amount the lender expects to collect. Gross realizable value and maturity value are not commonly used terms in the context of notes receivable.

Therefore, notes receivable are initially recorded in the accounts at face value, representing the principal amount owed by the borrower to the lender.

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Which of the following forms of promotion is generally more prevalent during the early stages of the product life cycle?
a. Relationship-based promotion
b. Persuasive promotion
c. Informative promotion
d. All of the above are correct.

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During the early stages of the product life cycle, informative promotion is generally more prevalent as companies strive to create awareness, generate interest, and educate consumers about the new product.The correct answer is c. Informative promotion.

During the early stages of the product life cycle, when a new product is introduced to the market, the primary focus of promotion is to create awareness and educate consumers about the product's features, benefits, and value proposition. This is known as informative promotion.

Informative promotion aims to provide information and knowledge to potential customers, helping them understand how the product solves their needs or fulfills their desires. It emphasizes product features, specifications, and unique selling points to differentiate it from competitors.

Relationship-based promotion (option a) focuses on building long-term relationships with customers through personalized interactions and providing exceptional customer service. While relationship-building is important throughout the product life cycle, it becomes more prevalent in the later stages when customer loyalty and repeat purchases are crucial.

Persuasive promotion (option b) is geared towards convincing customers to choose a particular brand or product over competitors. While persuasive promotion is used throughout the product life cycle, it becomes more prominent in the growth and maturity stages when competition intensifies.

Therefore, during the early stages of the product life cycle, informative promotion is generally more prevalent as companies strive to create awareness, generate interest, and educate consumers about the new product.

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When the demand curve shifts, equilibrium price and quantity exchanged move in opposite directions. True False

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The statement is true. When the demand curve shifts, either to the left or to the right, the equilibrium point of the market will change.

As the demand curve shifts, the price and quantity exchanged will adjust accordingly. If the demand curve shifts to the right, indicating an increase in demand, the equilibrium price will increase and the equilibrium quantity will also increase. Conversely, if the demand curve shifts to the left, indicating a decrease in demand, the equilibrium price will decrease and the equilibrium quantity will also decrease. This inverse relationship between equilibrium price and quantity is due to the law of demand, which states that as the price of a good or service increases, the quantity demanded will decrease, and vice versa.

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what are the effects on the financial condition of the business from the adjustment for revenues from the seller fulfilling its obligations that have not yet been collected? multiple choice question. total assets will decrease and total stockholders' equity will decrease. total assets will increase and total stockholders' equity will decrease. total assets will decrease and total stockholders' equity will increase. total assets will increase and total stockholders' equity will increase.

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The effects on the financial condition of the business from the adjustment for revenues from the seller fulfilling its obligations that have not yet been collected Total assets will increase and total stockholders' equity will increase.

When the seller fulfills its obligations but has not yet collected the revenues, it results in an increase in accounts receivable (an asset) and an increase in revenue (which ultimately increases stockholders' equity). This adjustment reflects the recognition of revenue even though the cash has not been received yet. As a result, both total assets and total stockholders' equity will increase.

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what stage in team development is characterized by achievement of a mutually supportive, steady state? part 2 a. storming b. performing c. mourning d. norming

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The stage in team development that is characterized by the achievement of a mutually supportive, steady state is the norming stage. During this stage, team members have worked through conflicts and established a common ground for decision-making and communication. Trust has been built between team members, and there is a sense of cohesion within the group.

The norming stage follows the storming stage, where conflicts and disagreements may arise as team members establish their roles and responsibilities. Once these issues are addressed and resolved, the team can move into the norming stage.

In the norming stage, team members are able to work together effectively and efficiently, and the team is able to accomplish its goals with ease. This stage is important for the long-term success of the team, as it sets the foundation for a productive and cohesive working relationship.

In summary, the norming stage is characterized by the achievement of a mutually supportive, steady state in team development, and it is an important stage for establishing trust, communication, and cohesion within the team.

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reference groups have a greater impact on the purchasing decision when the: group of answer choices purchased product is a commonly used commodity. product is hard to recognize or see by the group. consumer is already established as the opinion leader in the group. purchase is unique and conspicuous.

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Reference groups have a greater impact on the purchasing decision when the consumer is already established as the opinion leader in the group. Thus, option C is the correct option.

Reference groups is regarded as a social factor in consumer purchase. Consumers frequently consult these groups while deciding what to buy. Therefore, individuals who look to the group will frequently buy the product if it is recommended by the group, whether through actual usage of the product or words about it.

Through peer contact and social perception, reference groups have an impact on people's behavior, which affects the norms, values, and preferences of the typical consumer. Referencing groups may be normative or comparative.

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suppose that your marginal federal income tax rate is 30%the sum of your marginal state and local tax rates is 5%and the yield on a thirty-year corporate bond is 10%. you would be indifferent between buying this corporate bond and buying a thirty-year municipal bond issued within your state ignoring differences in liquidityrisk, and costs of information) if the municipal bond has a yield of

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You would be indifferent between buying the corporate bond and buying a municipal bond issued within your state if the municipal bond has a yield of 7%.

To determine whether you would be indifferent between the two bonds, you need to consider the after-tax yields. The after-tax yield of the corporate bond is calculated by subtracting the marginal federal income tax rate (30%) and the sum of the marginal state and local tax rates (5%) from the bond yield (10%). Thus, the after-tax yield of the corporate bond is 10% - 30% - 5% = 75% (7.5%).

For the municipal bond to make you equally indifferent, its yield should match the after-tax yield of the corporate bond, which is 7.5%. Therefore, if the municipal bond has a yield of 7%, it would result in an after-tax yield of 7% - 5% = 2%, which is lower than the after-tax yield of the corporate bond. In this scenario, you would prefer the corporate bond over the municipal bond.

To achieve indifference, the municipal bond would need to offer a yield of at least 7.5% to match the after-tax yield of the corporate bond.

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Instead of using cash to buy lunch, you use a______________, which takes money directly from your checking account, to pay for your personal pizza.

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Instead of using cash to buy lunch, you use a debit card, which takes money directly from your checking account, to pay for your personal pizza. Debit cards are a popular alternative to carrying cash or using credit cards for purchases. They allow consumers to make payments directly from their bank account, without having to carry large amounts of cash or worry about accumulating credit card debt.

Debit cards are typically accepted at most merchants that accept credit cards, including restaurants, grocery stores, and online retailers. They are also often equipped with security features, such as PIN numbers or chip technology, to help protect against fraud or unauthorized use. Overall, using a debit card for everyday purchases can be a convenient and secure way to manage your finances.

Therefore, instead of using cash to buy lunch, you use a debit card, which takes money directly from your checking account, to pay for your personal pizza.

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petro is the premier provider of oilfield consultancy services in a certain region. its consultants are experts in local conditions. recent discoveries of metal deposits in its region have spawned attractive new markets outside of the oilfield. global firms with cutting-edge technology that petro cannot afford have been attracted by the new markets. if petro did a swot analysis, what would be one of its weaknesses?

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One of Petro's weaknesses, based on the given scenario, would be its lack of resources and technology compared to the global firms attracted to the new metal deposit markets.

Petro's expertise is primarily in the oilfield consultancy services, and it may not have the necessary resources or cutting-edge technology to compete with the larger, well-funded global firms in the metal deposit markets. This may put Petro at a disadvantage and make it difficult for them to gain a competitive edge in these new markets. Additionally, Petro's narrow focus on oilfield consultancy services could also be a weakness. While the company has built a strong reputation and expertise in this area, its lack of diversification could make it vulnerable to changes in the market or shifts in demand. If the demand for oilfield consultancy services declines, Petro may struggle to sustain its business and profitability. Therefore, Petro may need to consider diversifying its services and expanding into new markets to mitigate this weakness.

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a nash equilibrium occurs when responses a supply equals demand.supply equals demand. b no firm would like to take an different action unilaterally.no firm would like to take an different action unilaterally. c all firms maximize profits.all firms maximize profits. d all firms minimize profits.

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The correct answer is (B) No firm would like to take a different action unilaterally.

In game theory, a Nash equilibrium is a situation in which each player in a game has chosen a strategy that is optimal for them, given the strategies chosen by the other players. At a Nash equilibrium, no player has an incentive to unilaterally change their strategy because they would not benefit from doing so. In the context of the given statement, a Nash equilibrium occurs when no firm would like to take a different action unilaterally. This means that each firm has chosen the strategy that maximizes its own utility or profit, taking into account the actions chosen by other firms in the market. If any firm were to deviate from its current strategy, it would not improve its outcome and could potentially worsen its position. Therefore, a Nash equilibrium represents a stable state where all firms have reached an optimal decision given the actions of their competitors.

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on october 1, 2024, jamison, inc. purchased a patent for $140,000 cash. although the patent gives legal protection for 20 years, it is expected to be used for only ten years. the patent has no residual value. what is the value of the patent on the books at the end of 2025?

Answers

Book value of patent =$-56,000 , The patent on the books at the end of 2025, we need to use the straight-line depreciation method. The formula for straight-line depreciation is:

Depreciation expense per year = (Cost - Residual value) / Useful life

In this case, the cost of the patent is $140,000, the residual value is $0, and the useful life is 10 years. Therefore, the annual depreciation expense is:

($140,000 - $0) / 10 = $14,000

Since the patent was purchased on October 1, 2024, only 3 months of depreciation expense were recognized in 2024. Therefore, the depreciation expense for 2025 is $14,000 x 12 months = $168,000.

To calculate the value of the patent on the books at the end of 2025, we subtract the accumulated depreciation from the cost of the patent:

Book value of patent = Cost - Accumulated depreciation

Accumulated depreciation = Depreciation expense x Number of years

Accumulated depreciation = $14,000 x 2 = $28,000 (since only 3 months of depreciation was recognized in 2024)

Book value of patent = $140,000 - $28,000 - $168,000 = $-56,000

Since the book value of the patent is negative, it means that the patent has been fully depreciated and has no value on the books at the end of 2025.

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Premiums paid on a life insurance policy covering the life of an officer are a tax deductible business expense if the business is a direct or indirect beneficiary under the policy.

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Premiums paid on a life insurance policy covering the life of an officer can be considered a tax-deductible business expense if the business is named as a direct or indirect beneficiary under the policy.

In certain cases, premiums paid on a life insurance policy covering the life of an officer can be classified as a tax-deductible business expense. To qualify for this deduction, the business must be named as either a direct or indirect beneficiary under the policy. Being a direct beneficiary means that the business is specifically mentioned as the recipient of the policy's death benefit. On the other hand, being an indirect beneficiary refers to situations where the business receives the policy's death benefit indirectly, such as through the deceased officer's estate or trust.

The tax deductibility of these premiums arises from the fact that the life insurance policy is seen as a means of protecting the financial interests of the business. It is important to note that the deductibility of premiums may be subject to certain limitations and conditions imposed by the tax laws of the specific jurisdiction.

These conditions could include requirements such as the premiums being considered ordinary and necessary business expenses or restrictions on the amount of the premiums that can be deducted. As tax regulations can be complex and subject to change, it is advisable to consult with a qualified tax professional or advisor to ensure compliance with applicable laws and regulations.

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Carla Company is in the process of preparing its financial statements for 2020. Assume that no entries for depreciation have been recorded in 2020. The following information related to depreciation of fixed assets is provided to you. Cess pport 1. Carla purchased equipment on January 2 2017 for $86,600. At that time, the equipment had an estimated useful life of 10 years with a $4,600 salvage value. The equipment is depreciated on a straight-line basis. On January 2 2020, as a result of additional information, the company determined that the equipment has a remaining useful life of 4 years with a $3. 000 salvage value. 2. During 2020. Carla changed from the double-declining-balance method for its building to the straight-line method. The building originally cost $320. 0. It had a useful life of 10 years and a salvage value of $32,000. The following computations present depreciation on both bases for 2018 and 2019. 2019 2018

Straight-line $28. 800 $28. 800 Declining-balance 51. 200 64. 000 3. Carla purchased a machine on July 1, 2018 at a cost of $140. 0. The machine has a salvage value of $14. 000 and a useful life of 8 years. Carla's bookkeeper recorded straight-line depreciation in 2018 and 2019 but failed to consider the salvage value. Prepare the journal entries to record depreciation expense for 2020 and correct any errors made to date related to the information provided. (Ignore taxes. ) (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter for the amounts. ) No. Account Titles and Explanation Debit Credit

1

2

3 (To record current year depreciation. ) (To correct prior year depreciation. ) e Textbook and Media List of Accounts Show comparative net income for 2019 and 2020. Income before depreciation expense was $300,000 in 2020, and was $300,000 in 2019. (Ignore taxes. ) No. Account Titles and Explanation Debit Credit 1

2

3

(To record current year depreciation. ) (To correct prior year depreciation. ) eTextbook and Media List of Accounts Show comparative net income for 2019 and 2020. Income before depreciation expense was $300,000 in 2020, and was $300,000 in 2019. (Ignore taxes. ) CARLA COMPANY Comparative Income Statements For the Years 2020 and 2019 2020 2019 Income before depreciation expense $ Depreciation expense Net income e Textbook and Media

List of Accounts

Answers

The increase in Carla Company's net income from 2019 to 2020 is due to a reduction in depreciation expense for the building and an adjustment in the machine's depreciation expense.

To record depreciation expenses for 2020, the following journal entries should be made:

To record depreciation expense for equipment:

Depreciation expense – Equipment $ 7,900

Accumulated depreciation – Equipment $ 7,900

Calculation: ($86,600 - $3,000 - $4,600) / 4 = $19,350 per year

Depreciation expense for 2020 = $19,350 x 2/12 = $3,225

To correct prior year depreciation for building:

Depreciation expense – Building (adjustment) $11,200

Accumulated depreciation – Building $11,200

Calculation: ($320,000 - $32,000) / 10 = $28,800 per year

Depreciation expense under double-declining-balance method for 2019 = $64,000

Depreciation expense under the straight-line method for 2019 = $28,800

Overstated depreciation expense for 2019 = $35,200

Adjustment for 2019 = $35,200 - $28,800 = $6,400

Depreciation expense for 2020 = $28,800

To correct prior year depreciation for the machine:

Accumulated depreciation – Machine (adjustment) $7,000

Retained earnings $7,000

Calculation: ($140,000 - $14,000) / 8 = $15,000 per year

Depreciation expense under the straight-line method for 2018 = $15,000

Depreciation expense under the straight-line method for 2019 = $15,000

Overstated depreciation expense for 2018 and 2019 = $14,000

Adjustment for 2018 and 2019 = $14,000 x 2 = $28,000

Comparative Income Statements for 2019 and 2020:

CARLA COMPANY

Comparative Income Statements

For the Years 2020 and 2019

Income before depreciation expense $300,000 $300,000

Depreciation expense 20,925 64,000

Net income 279,075 236,000

As shown in the comparative income statements, the net income for 2020 is $279,075, while the net income for 2019 is $236,000. The increase in net income is primarily due to the reduction in depreciation expense for the building and the adjustment of the machine's depreciation expense.

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in company a, the cost of equity is 10.54 percent, the pre-tax cost of debt is 5.27 percent, and the corporate tax rate is 35 percent. the weight of debt based on book values, is 68 percent. the weight of debt based on market values is 28 percent. what is the company's wacc? multiple choice 7.86% 8.55% 12.09% 9.06% 9.67%

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To calculate the WACC of the company, we need to use the formula:

WACC = (E/V x Re) + (D/V x Rd x (1-T))

Where:
E = Market value of equity
D = Market value of debt
V = Total value of the firm (E+D)
Re = Cost of equity
Rd = Cost of debt
T = Corporate tax rate

Given information:
Cost of equity (Re) = 10.54%
Pre-tax cost of debt (Rd) = 5.27%
Corporate tax rate (T) = 35%
Weight of debt based on book values = 68%
Weight of debt based on market values = 28%

To calculate the WACC, we need to first find the market value of debt and equity:
Market value of debt = Book value of debt x (1 - tax rate) = 68% x D x (1 - 35%) = 0.442D
Market value of equity = V - D = (1 - 0.28) x V = 0.72V

Now, we can calculate the WACC:
WACC = (0.72 x 10.54%) + (0.28 x 5.27% x (1 - 35%)) = 8.55%

Therefore, the company's WACC is 8.55%. The correct answer is (b) 8.55%.

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which of the following are characteristics of a perfectly competitive market?please select two answer choices.select all that apply:firms produce similar, but not identical productsthere are many buyers and sellerssellers give vague information about products they are producingfirms can enter and exit the market with no restrictions

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The characteristics of a perfectly competitive market are:

Firms produce similar, but not identical products.

There are many buyers and sellers.

A competitive market is a market in which there are many buyers and sellers, and no single buyer or seller can influence the market price. In a competitive market, firms produce similar products and are price takers, meaning they have to accept the prevailing market price for their products. The absence of significant barriers to entry or exit allows for the free movement of firms in and out of the market, which promotes competition and efficiency.

Perfectly competitive markets are a type of competitive market in which all firms produce identical products and there are no barriers to entry or exit.

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which of the following are characteristics of a perfectly competitive market? please select two answer choices. Select all that apply:

firms produce similar, but not identical products

there are many buyers and sellers

sellers give vague information about the products they are producing

firms can enter and exit the market with no restrictions

In cases of ________, consumers have experience with the product category and a well-established set of criteria with which to evaluate the brands they are considering. A) extensive problem solving B) economic problem solving C) limited problem solving D) passive problem solving E) routinized response behavior

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In cases of routinized response behavior, consumers have experience with the product category and a well-established set of criteria with which to evaluate the brands they are considering.

Routinized response behavior is a situation where consumers have experience with the product category and a well-established set of criteria with which to evaluate the brands they are considering. They may have a preferred brand, but they are also willing to consider alternatives that meet their established criteria. The decision-making process in this situation is relatively quick and automatic, and consumers may not engage in extensive information search or evaluation of options.

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for the remainder of the organization to capitalize on lessons learned, a method must be established for documenting and sharing them. group of answer choices true false

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True. Continuous learning and organisational learning depend on the recording and sharing of lessons learnt. Organisations can spot patterns and trends, prevent making the same mistakes twice, and spot possibilities for growth by recording lessons learnt.

But simply recording the lessons learned is insufficient. Organisations must also have a means for disseminating them in order to guarantee that others can profit from the learned information. To do this, you might design a knowledge management system, write guides on best practises, hold training sessions or workshops, or use other modes of communication. Organisations may guarantee that their workers and stakeholders have access to the knowledge necessary to make informed decisions and foster innovation by making lessons learnt broadly available.

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cost flow is most likely in the reverse order in which costs were incurred when using the :
a. last-in, first-out
b. average cost
c. first-in, first-out
d. weighted average

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The cost flow is most likely in the reverse order in which costs were incurred when using the last-in, first-out (LIFO) method.

The LIFO method assumes that the most recently acquired inventory items are the first ones to be sold or used. As a result, the cost flow under LIFO is typically in the reverse order in which costs were incurred. When inventory is purchased or produced at different costs over time, the LIFO method assumes that the most recent costs represent the cost of goods sold, while older costs remain in inventory.

For example, let's consider a company that sells widgets and uses the LIFO method. Suppose the company purchased 100 widgets at $5 each, then 200 widgets at $6 each, and finally 150 widgets at $7 each. If the company sells 300 widgets, under LIFO, it would assume that the most recent purchase of 150 widgets at $7 each were the ones sold, followed by 100 widgets at $6 each, and then the remaining 50 widgets at $5 each. This would result in a cost flow in reverse order of the costs incurred.

The LIFO method leads to a cost flow that is likely in the reverse order in which costs were incurred. It assumes that the most recently acquired inventory items are the first ones to be sold or used, resulting in the assumption that the most recent costs represent the cost of goods sold. This method can be beneficial for reducing tax liabilities during periods of inflation, as it allows for the matching of higher costs with revenue. However, it may not reflect the actual physical flow of inventory and can result in distorted financial statements during periods of rising costs.

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imagine your firm has total cost function c = 2q3 – q2 40q 60. suppose it operates with level of production q = 9. what is your firm’s marginal cost?

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The marginal cost of producing an additional unit of output for this firm, when the level of production is q = 9, is 508.

To calculate the marginal cost, we need to find the derivative of the total cost function with respect to quantity (q). So, taking the derivative of c = 2q^3 – q^2 + 40q + 60, we get:

MC = dC/dq = 6q^2 - 2q + 40

Now, substituting q = 9 (given in the question), we get:

MC = 6(9)^2 - 2(9) + 40 = 486 - 18 + 40 = 508

Therefore, the marginal cost of producing an additional unit of output for this firm, when the level of production is q = 9, is 508.

It's important to note that marginal cost is the additional cost incurred by producing one more unit of output. In other words, it's the cost of the last unit produced. This information is useful for businesses to optimize their production levels and pricing strategies.

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if the central bank observes aggregate demand weakening it will undertake group of answer choices no action. contractionary monetary policy. expansionary monetary policy. quizlet

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If the central bank observes a weakening in aggregate demand, it is likely to undertake expansionary monetary policy. This policy involves increasing the money supply, lowering interest rates, and encouraging more spending in the economy.

By doing so, the central bank hopes to stimulate economic growth and increase demand. This can be achieved through a variety of methods such as lowering the reserve requirements for banks, buying government securities, or lowering the discount rate. On the other hand, if the central bank observes a strong or overheating economy, it may choose to implement contractionary monetary policy. This policy aims to decrease the money supply, increase interest rates, and slow down the economy. This is done to prevent inflation from rising too quickly and to maintain long-term economic stability. Overall, the central bank plays a critical role in managing the economy by adjusting monetary policy in response to changes in demand and other economic indicators. Its actions can have a significant impact on interest rates, inflation, and overall economic growth.

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when you receive for sale sign inquiries you can assume that the caller

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When you receive inquiries about a "for sale" sign, you can assume that the caller is interested in purchasing the property or wants more information about it. The inquiry indicates a potential buyer's interest in the property and their intention to explore the possibility of acquiring it.

When someone sees a "for sale" sign and contacts the seller or agent, it is reasonable to assume that they have an interest in purchasing the property. The presence of a "for sale" sign signifies that the property is available for sale, which attracts potential buyers who may be actively searching for properties or curious about the listing.

Inquiries about a "for sale" sign can range from simple requests for additional information about the property to more specific questions about its features, pricing, or viewing arrangements. These inquiries serve as an initial point of contact between the interested party and the seller or agent, allowing them to gather information and determine if the property aligns with their needs and preferences.

As a recipient of "for sale" sign inquiries, it is important to be prepared to provide relevant details about the property, answer questions, and engage in further communication with potential buyers. This initial contact can lead to further negotiations, property viewings, and eventually, the possibility of closing a sale.

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a parcel of corporate land was recently chosen as the new plant site. what cost allocation should the land receive, based on the following: original cost of $200,000, highest market value during ownership $300,000, net book value of $200,000, a recent offer to purchase for $250,000?

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When deciding on the cost allocation for the corporate land that has been chosen as the new plant site, various factors need to be considered. Firstly, the original cost of the land, which was $200,000, can be used as a starting point. However, this figure alone does not take into account any changes in the land's value since it was acquired.

Another relevant factor to consider is the highest market value the land has had during the company's ownership, which is $300,000. This information indicates that the land has appreciated in value since it was purchased, and this appreciation needs to be taken into account when allocating costs. Furthermore, the net book value of the land, which is also $200,000, represents the land's current value according to the company's records. However, this value may not reflect the land's current market value or the amount that it could be sold for.

Finally, the recent offer to purchase the land for $250,000 can also be taken into account when allocating costs. This offer indicates that the land is currently worth more than its original cost but less than its highest market value during ownership. Based on these factors, it may be reasonable to allocate the cost of the land at a value that falls somewhere between its original cost and the highest market value during ownership, possibly taking into account the recent offer to purchase as well. A fair allocation would likely depend on the specifics of the situation, including the purpose of the plant and the company's financial goals.

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