In 2020, Steven purchased a copier for his office. He paid $15,000 and elected to take bonus depreciation. His adjusted basis for depreciation in 2020 will be _____

Answers

Answer 1

When Steven purchased the copier for his office in 2020 and elected to take bonus depreciation, he was able to deduct a significant portion of the cost of the asset immediately.

Bonus depreciation allows businesses to deduct up to 100% of the cost of qualified property in the year it is placed in service.

Assuming that the copier qualifies for bonus depreciation, Steven's adjusted basis for depreciation in 2020 would be reduced by the amount of the bonus depreciation claimed. The amount of bonus depreciation that can be claimed depends on the type of property and the year it is placed in service, but as of 2020, it was generally 100% of the cost of qualifying property.

Therefore, if Steven's copier meets the requirements for bonus depreciation, his adjusted basis for depreciation in 2020 would be $0. This means that he would not be able to claim any additional depreciation deductions in future years, as he has already claimed the full amount of allowable depreciation in the year the asset was placed in service.

It's important to note that there are specific rules and limitations related to bonus depreciation, and businesses should consult with a tax professional to ensure they are taking advantage of all available deductions while remaining in compliance with applicable regulations.

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On December 31, 2019, Cruise Company has 15,000 units of an inventory item, which cost $43 per unit when purchased on June 15, 2019. The selling price was $80 per unit. On December 30, 2019, it was determined that cost to sell was $47 per unit. At what amount should the 15,000 units of Inventory be reported at on the December 31, 2019 balance sheet? Multiple Choice a. $645.000 b. $1.200.000 c. $705.000 d. $495.000

Answers

The cost of goods sold (COGS) per unit can be calculated as follows:

COGS per unit = Cost to purchase + Cost to sell = $43 + $47 = $90

Therefore, the total cost of goods sold for 15,000 units would be:

Total COGS = COGS per unit × Number of units sold = $90 × 15,000 = $1,350,000

The inventory balance at the end of the year can be calculated as follows:

Inventory balance = Number of units on hand × Cost per unit

Since the inventory balance needs to be reported at the lower of cost or net realizable value, we need to compare the cost per unit ($43) with the net realizable value per unit ($80 - $47 = $33).

Since the net realizable value per unit is lower than the cost per unit, we need to use the net realizable value to value the inventory.

Therefore, the inventory balance on the balance sheet date would be:

Inventory balance = Number of units on hand × Net realizable value per unit

= 15,000 × $33

= $495,000

Therefore, the correct answer is (d) $495,000.

A pizza parlour has recently expanded to accommodate more customers due to its growing popularity. The kitchen and restaurant space doubles. In addition, the parlour doubles its orders of pizza ingredients to keep up with the rising demand. Before the expansion, the parlour incurred a total cost of $800 a week for 1,000 pizzas. After expansion, the cost became $1,500 a week for 2,000 pizzas. This is an example of: a.economies of scale b.increasing returns to scale c.diseconomies of scope d.economies of scope e.diseconomies of scale

Answers

This scenario is an example of economies of scale. Hence, option A is correct.

Economies of scale occur when the cost per unit decreases as the scale of production increases. In this case, the pizza parlour expanded its operations and doubled its orders, which allowed them to spread their fixed costs over a larger output of pizzas. As a result, the cost per pizza decreased from $0.80 to $0.75, which is a cost savings for the pizza parlour. Expanding the kitchen and restaurant space allowed the parlour to serve more customers, which can lead to increased revenue and profits. However, it is important to note that expanding too quickly can also lead to diseconomies of scale. This can occur when the cost per unit increases as the scale of production increases. In this scenario, the parlour was able to maintain its cost savings by doubling its orders of pizza ingredients and optimizing its production processes. Overall, economies of scale can be beneficial for businesses as it can lead to cost savings, increased efficiency, and improved profitability.

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Bramble Corp. had average operating assets of $3600000 and sales of $1800000 in 2016. If the controllable margin was $720000, the ROI was A. 20% B. 50% C. 80% D. 40%

Answers

The Return on Investment (ROI) is 20%. Option A

How to calculate the Return on Investment (ROI)

To calculate the Return on Investment (ROI), we can use the formula:

ROI = Controllable Margin / Average Operating Assets

Given that the average operating assets are $3,600,000 and the controllable margin is $720,000, we can substitute these values into the formula:

ROI = $720,000 / $3,600,000

Simplifying the expression:

ROI = 0.2

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people who gain an understanding for the deep-level diversity among their coworkers do so afterextended interactions, often leading to an increased degree ofsocial integration .

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People who gain an understanding for the deep-level diversity among their coworkers do so after multiple and diverse interactions, often leading to an increased degree of empathy.

This is because as individuals interact more frequently and in different settings with people from diverse backgrounds, they are exposed to varying perspectives, values, beliefs, and experiences. Through this exposure, individuals are better able to understand and appreciate the differences and similarities that exist among their coworkers.

As a result, individuals can develop empathy, which is a critical component in understanding and respecting others' unique characteristics, needs, and viewpoints. This increased degree of empathy can lead to improved communication, collaboration, and teamwork among coworkers, ultimately benefiting the organization as a whole. Hence, deep-level diversity is developed among coworkers following diverse interactions which results in empathy.

Note: The question is incomplete. The complete question probably is: people who gain an understanding for the deep-level diversity among their coworkers do so after _______ interactions, often leading to an increased degree of _______.

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1.Generally, companies have a stronger incentive to expand internationally when fixed costs are [low/high] and the domestic market is [large/small]
2.Suppose Tanya decides to pursue FDI instead. Her company will establish a production facility in Brazil. She is considering either a wholly-owned subsidiary or a joint venture (JV) with a Brazilian company. Which of the following conditions would make a wholly-owned subsidiary more attractive relative to a JV? (check all that apply)
a.Tanya's Tools lacks knowledge of the Brazilian market.
b.Tanya's Tools is a small company, so building a production plant in Brazil would strain the company's financial resources.
c.Tanya's Tools has developed industry-leading technology and is very concerned about protecting its intellectual property.
d.The Brazilian government is known to be skeptical of foreign direct investment in this industry.

Answers

Companies have a stronger incentive to expand internationally when fixed costs are low and the domestic market is small.

Low fixed costs make it easier for companies to enter new markets without incurring significant expenses, while a small domestic market may limit growth opportunities, encouraging them to seek expansion in international markets.

2. Conditions that make a wholly-owned subsidiary more attractive relative to a JV:

a. Tanya's Tools lacks knowledge of the Brazilian market.
Incorrect. This condition would actually favor a joint venture since partnering with a local Brazilian company could help Tanya's Tools navigate the unfamiliar market.

b. Tanya's Tools is a small company, so building a production plant in Brazil would strain the company's financial resources.
Incorrect. This condition would favor a joint venture, as partnering with a Brazilian company could help share the financial burden of establishing a production facility.

c. Tanya's Tools has developed industry-leading technology and is very concerned about protecting its intellectual property.
Correct. A wholly-owned subsidiary would provide greater control over the company's intellectual property and minimize the risk of technology leaks or infringement that could occur in a joint venture.

d. The Brazilian government is known to be skeptical of foreign direct investment in this industry.
Incorrect. This condition would make a joint venture more attractive, as partnering with a local company could alleviate concerns from the Brazilian government about foreign direct investment.

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Among pricing strategies, adding a standard markup to the cost of the product is called the _____.
cost-plus pricing approach
value-based pricing approach
target profit pricing approach
break-even analysis approach

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Among pricing strategies, adding a standard markup to the cost of the product is called the cost-plus pricing approach.

What is this  approach?

This approach involves calculating the cost of production, including materials, labor, and overhead expenses, and then adding a predetermined markup percentage to arrive at the final price.

The cost-plus pricing approach is a simple and straightforward method of pricing that is widely used by businesses in various industries.

It ensures that the business covers its costs and earns a profit on each product sold.

However, it may not always result in an optimal price, as it does not consider factors such as market demand, competition, and consumer behavior. Therefore, businesses need to consider a range of factors when setting prices to maximize profitability.

Hence, the answer is cost-plus pricing approach.

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Congress recently enacted an non refundable credit based on the cost of the qualifying alcohol and drug abuse counseling programs provided by and corporate employer to its employees . The credit is limited to 50 % of the total cost of the program .if a corporation elects the credit, none of the program costs are allowed as a deduction. Any credit in excess of current year tax may not be carried back to forward to another year.
A. TMM Corporation spent $ 80,000 for a qualifying counseling program this year .if TMM has $ 500,000 taxable income before considering this expense .should it elect the credit or deduct the program's cost as an ordinary business expense?
B. Would your answer change if TMM had only $ 70,000 taxable income before consideration of the expense?

Answers

(a) If "TMM-Corporation" spent an amount of $80000 for qualifying counseling program, then it should elect the credit.

(b) If "TMM-Corporation" has only $70000 taxable income before consideration of expense, then it would be more advantageous for TMM Corporation to deduct the program cost.

Part (a) : If TMM Corporation has $500,000 taxable income before considering the $80,000 cost of the qualifying counseling program, it should elect the credit.

The credit is limited to 50% of "program-cost", which would be $40,000. TMM Corporation's "tax-liability" before credit would be $105,000, and after taking credit, it would be reduced to $65,000.

Part(b) : If the "TMM-Corporation" had only $70,000 taxable-income before considering expense, then it should deduct the "program-cost" as an ordinary business expense.

This would create a net operating-loss that could be carried back or forward to offset taxable income in other years. The credit would reduce the tax liability to $0, but any excess credit cannot be carried back or forward to another year.

Therefore, it would be more advantageous for TMM Corporation to deduct the program cost as an ordinary business expense in this scenario.

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A. TMM Corporation should elect the credit the program cost.

B. If TMM Corporation had only $ 70,000 taxable income before consideration of the expense they should deduct the program cost.

A. If TMM Corporation elects the credit, they would receive a non-refundable credit of 50% of the $80,000 program cost, which equals $40,000. Since the credit is non-refundable and cannot be carried to another year, TMM's tax liability will be reduced by $40,000.

If TMM chooses to deduct the program cost as an ordinary business expense instead, their taxable income would be reduced by $80,000 ($500,000 - $80,000 = $420,000).

In this case, it is more beneficial for TMM to elect the credit, as the tax savings from the $40,000 credit would likely be greater than the tax savings from reducing taxable income by $80,000.

B. If TMM had only $70,000 taxable income before considering the expense, the situation changes. Since the credit is non-refundable, electing the credit would result in a $40,000 credit, but TMM would only be able to use $30,000 of it, as their tax liability cannot be reduced below zero. If they choose to deduct the program cost as an ordinary business expense, their taxable income would become zero ($70,000 - $80,000 = $0).

In this case, it would be more advantageous for TMM to deduct the program's cost as an ordinary business expense to fully eliminate their taxable income.

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which shoe company was the first to introduce a microchip?

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The first shoe company to introduce a microchip in their shoes was Nike.

In the mid-1980s, Nike introduced the Nike Air Pressure, a basketball shoe that featured a built-in pump system to adjust the shoe's fit. The pump system utilized a microchip to control the inflation and deflation of air chambers within the shoe. This innovation allowed athletes to customize the fit and support of the shoe to their preference. The introduction of the microchip in footwear was a significant advancement in athletic shoe technology and showcased Nike's commitment to innovation and performance-enhancing features.

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TRUE OR FALSE life companies are more heavily invested in corporate bonds and less in municipal bonds than p&c companies because some of their (life) interest income is not taxed.

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life insurance companies are more heavily invested in corporate bonds and less in municipal bonds compared to property and casualty (P&C) companies, primarily because some of their interest income is not taxed so that the above statement is true.

Life insurance companies typically invest more in corporate bonds due to their long-term liabilities and the need for predictable income streams to meet future obligations. Corporate bonds offer higher yields compared to municipal bonds, which makes them more attractive for life insurance companies seeking stable and higher returns. On the other hand, P&C companies have shorter-term liabilities, which can be better matched with the lower yields and shorter durations of municipal bonds.

Additionally, life insurance companies benefit from favorable tax treatment on some of their interest income, reducing the need for them to seek tax-exempt municipal bonds. This further explains their preference for corporate bonds over municipal bonds. In contrast, P&C companies do not enjoy the same tax benefits, making municipal bonds more attractive to them for their tax-exempt status.

In summary, the tax benefits and the nature of the liabilities of life insurance companies drive their investment preference towards corporate bonds and away from municipal bonds, in comparison to P&C companies.

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What is the required return on assets? Multiple Choice 1. 3.12 percent. 16.5 percent. 33.33 percent. 10.85 percent

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The required return on assets is  "10.85 percent". Option D is answer.

The required return on assets refers to the minimum rate of return that investors or companies expect to earn on their investments in assets. It represents the compensation for the risk associated with investing in those assets. The required return on assets is influenced by various factors such as the risk-free rate of return, market risk premium, and specific risk factors related to the asset class or investment. In this case, the required return on assets is determined to be 10.85 percent, indicating the expected rate of return that investors or companies demand from their investment in assets.

Option D is the correct answer.

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Q1. While defining the concept of market efficiency, briefly describe the theoretical basis of measuring efficiency under a perfectly competitive market. Q2. What are the assumptions made in answering Q1? What happens if those assumptions are not valid?

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The theoretical basis of measuring efficiency under a perfectly competitive market is that all market participants have equal access to information. The assumptions made in answering Q1 are that all market participants have equal access to information. If these assumptions are not valid, market efficiency would be affected.

Q1. Market efficiency is a measure of how accurately and quickly a market adjusts to new information and reflects it in asset prices. In this scenario, asset prices would immediately reflect all available information, and any further changes in price would only occur due to new information becoming available. This means that there would be no opportunities for arbitrage, as asset prices would always accurately reflect their intrinsic value.
Q2.  For example, if some market participants have access to privileged information, they would be able to profit from this information before it is reflected in asset prices. This would create opportunities for arbitrage and lead to inefficient markets. Similarly, if market participants do not act rationally in response to information, asset prices may not accurately reflect their intrinsic value, leading to inefficient markets. Therefore, the assumptions of equal access to information and rational behavior are crucial for measuring market efficiency.

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Torval, Inc. retires debt securities by issuing equity securities. This is considered a:A) cash flow from investing. B) cash flow from financing. C) noncash transaction.

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Retiring debt securities by issuing equity securities is considered a cash flow from financing.

Cash flow from financing operations is a component on the cash flow statement that represents the amount of cash a firm raises or pays out through financing activities such as issuing or repurchasing stocks or bonds.

Torval, Inc. is raising funds in this situation by issuing equity securities to pay down debt securities, which is classified as a financing activity.

A noncash transaction, on the other hand, is one in which no cash is exchanged, such as the issuance of stock in exchange for assets or services.

While Torval, Inc. is issuing equity securities to retire debt securities, this transaction involves the exchange of cash and thus is not a noncash transaction.

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Retiring debt securities by issuing equity securities are considered a cash flow from financing.

Cash flow from financing activities includes any changes in the long-term liabilities or equity of a company. When a company retires debt securities by issuing equity securities, it is exchanging one form of financing for another. The issuance of equity securities represents an inflow of cash, while the retirement of debt securities represents an outflow of cash. The net effect of these transactions on the company's cash flow is reflected in the cash flow from the financing activities section of the statement of cash flows. It is important to note that retiring debt securities by issuing equity securities is not a noncash transaction, as it involves an exchange of cash. Noncash transactions are those that do not involve cash, such as the exchange of stock or the conversion of debt to equity.

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The lakeside electronics company has 2 bond issues outstanding. both bonds pay $100 semi annual interest plus $1,000 at maturity. Bond A has a remaining maturity of 15 years, Bond B has a maturity of one year. What is the value of each of these bonds now when the going rate of interest is 9%.

Answers

The value of Bond A is $1,046.86 and the value of Bond B is $1,045.45 when the going rate of interest is 9%.

To calculate the value of each bond, we need to use the present value formula. We first need to calculate the present value of the semi-annual interest payments and then add the present value of the $1,000 payment at maturity.

For Bond A, which has a remaining maturity of 15 years, we need to calculate the present value of 30 semi-annual interest payments (15 years x 2 payments per year). The interest rate is 4.5% (9% divided by 2, since we have semi-annual payments). Using the present value formula, we get:

PV = C x [(1 - (1 + r)^-n) / r] + FV / (1 + r)^n
PV = $100 x [(1 - (1 + 0.045)^-30) / 0.045] + $1,000 / (1 + 0.045)^30
PV = $1,046.86

Therefore, the value of Bond A now is $1,046.86 when the going rate of interest is 9%.

For Bond B, which has a maturity of one year, we only need to calculate the present value of 2 semi-annual interest payments and the $1,000 payment at maturity. Using the same formula as above, but with an interest rate of 4.5% and a time period of 1 year, we get:

PV = $100 x [(1 - (1 + 0.045)^-2) / 0.045] + $1,000 / (1 + 0.045)^2
PV = $1,045.45

Therefore, the value of Bond B now is $1,045.45 when the going rate of interest is 9%.

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The farthest point in the future considered in decision making.

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When it comes to decision making, the farthest point in the future that is considered will vary depending on the situation and the individuals involved in the decision. Some may only consider the immediate future, while others may plan for years or even decades ahead. Ultimately, it is up to the decision makers to determine what time frame is appropriate for their particular situation and make informed choices based on that.

Some decisions may be short-term and immediate, focusing on the near future, while others may have longer-term implications and require considering potential outcomes several years or even decades ahead. For example, when it comes to strategic planning in businesses or governments, it is common to consider long-term scenarios that span several years or more.

However, it is worth noting that forecasting the future is inherently uncertain, and the accuracy of predictions tends to diminish as the time horizon extends. Therefore, while it is important to consider the potential consequences of decisions in the future, it is also prudent to review and adjust strategies as new information becomes available or as circumstances change.

Ultimately, the "farthest point in the future" considered in decision making will depend on the specific needs, goals, and circumstances of the decision-makers involved

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with a complex and dynamic environment, the need for control will be moderate low high satisfied with bureaucratic methods nonexistent

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In a complex and dynamic environment, the need for control will depend on various factors such as the level of uncertainty and the type of tasks being performed.

If the environment is highly unpredictable and the tasks require flexibility and adaptability, the need for control will be low as it may hinder the ability to respond to changes effectively. On the other hand, if the environment is stable and the tasks are routine, a moderate level of control may be necessary to ensure consistency and quality.

However, relying solely on bureaucratic methods to establish control may not be effective in such an environment as they can be rigid and slow to respond to changes. Instead, organizations may need to adopt more agile and decentralized approaches to control such as empowering employees and fostering a culture of trust and transparency.

This can help to maintain a balance between control and flexibility, which can enhance organizational effectiveness and satisfy stakeholders' needs. Overall, the need for control in a complex and dynamic environment will vary and organizations must be adaptable in their approach to establish an appropriate level of control.

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true/false. bookmark question for later aldi wins customer orders by offering a high variety of options.

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The given statement, bookmark question for later aldi wins customer orders by offering a high variety of options is true because Aldi is a grocery store chain that has become increasingly popular with customers due to its wide variety of options.

Customers can find a wide range of items, from fresh produce to frozen meals, from snacks to baking supplies, from household items to health and beauty products. This wide selection of products not only increases the chances of customers finding exactly what they need, but also allows them to compare prices and make an informed decision about their purchases.

By offering customers a wide selection of products, Aldi is able to make sure that it wins customer orders. This also allows Aldi to build customer loyalty by providing customers with the products they need, when they need them. Aldi's wide variety of options allows customers to find the products they are looking for, at prices they can afford.

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Shareholders inject capital into a company. Which answer best describes how this transaction would be reflected in the balance sheet? Select one: a. Cash increases and common stock increases b. Cash increases and liabilities increase c. Capital account increases d. No change in the overall level of assets

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Shareholders injecting capital into a company would be reflected in the balance sheet. The best answer for this is Cash increases and common stock increases (option a).

When shareholders inject capital into a company, they typically do so by purchasing shares of the company's common stock. This transaction increases the company's cash balance, as it receives money from the shareholders. Simultaneously, the company's common stock, which is an equity account, also increases, representing the ownership interest of the shareholders.

This transaction impacts the balance sheet in two ways. First, the asset side of the balance sheet increases as cash, which is an asset, increases. Second, the equity side of the balance sheet also increases, as common stock, which is an equity item, increases. This maintains the fundamental balance sheet equation of Assets = Liabilities + Equity.

In summary, when shareholders inject capital into a company by purchasing shares, the balance sheet reflects this transaction by showing an increase in cash (assets) and an increase in common stock (equity). This ensures that the balance sheet remains balanced, with total assets equaling total liabilities plus equity.

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A frozen food company buys a fresh food company. This takeover is an example of:
Multiple Choice
conglomerate integration.
vertical integration.
cointegration.
horizontal integration.

Answers

When a frozen food company buys a fresh food company is an example of horizontal integration. Option D is correct.

The takeover of a fresh food company by a frozen food company is an example of horizontal integration. Horizontal integration refers to the merger or acquisition of companies that operate in the same industry or produce similar goods or services.

In this case, both the frozen food company and the fresh food company operate in the food industry, and their products can be considered complementary to each other. By acquiring the fresh food company, the frozen food company can expand its product offerings and increase its market share in the food industry.

Therefore, option D is correct.

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All of the following are consumer-related data that comprise a direct marketing database (such as for a catalog) except which?
Multiple Choice
demographic.
media usage
past purchases
lifestyles
income tax rate

Answers

Income tax rate is not consumer-related data that comprises a direct marketing database (such as for a catalog).

Consumer-related data that typically comprise a direct marketing database include demographic information such as age, gender, income, education level, and occupation, media usage information such as which channels or platforms the consumer uses to obtain information and make purchases, past purchase history, and lifestyle information such as interests, hobbies, and values.

However, income tax rate is not typically included in a direct marketing database as it is not directly relevant to a consumer's purchasing behavior or preferences.

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the steps for top management to take in fixing a problem culture include

Answers

Fixing a problem culture requires a systematic and intentional effort from top management.

1)Develop a plan

2)Communicate the plan

3)Lead by example

Fixing a problem culture requires a systematic and intentional effort from top management. The following steps can help in this process:

Identify the problem: The first step is to identify the issues with the current culture. This may involve gathering feedback from employees, analyzing data, and examining the company's history and values.

Develop a plan: Once the problem is identified, top management should develop a plan for addressing it. This may include establishing new policies, procedures, and practices, as well as training and development programs for employees.

Communicate the plan: Top management must communicate the plan to all employees and stakeholders, explaining why changes are needed and what the company hopes to achieve.

Lead by example: Top management must model the desired behaviors and values, and hold themselves accountable for the changes they are asking others to make.

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Bartlett Car Wash Co. is considering the purchase of a new facility. It would allow Bartlett to increase its net income by $101,248 per year. Other information about this proposed project follows: $468,740 Initial investment Useful life Salvage value 9 years $ 47,000 Assume straight line depreciation method is used Required: 1. Calculate the accounting rate of return for Bartlett. (Round your percentage answer to 2 decimal places.) Acounting Rate of Return「 1% 2. Calculate the payback period for Bartlett. (Round your answer to 2 decimal places.)

Answers

The payback period is therefore 9.53 years ($468,740 divided by $49,166). This means that it will take Bartlett almost 10 years to recover its initial investment from the project.

To calculate the accounting rate of return for Bartlett, we need to divide the annual net income by the initial investment and express the result as a percentage. In this case, the accounting rate of return is 1% [($101,248/$468,740) x 100]. This means that for every dollar invested in the project, Bartlett will earn one cent in net income.
To calculate the payback period, we need to determine how long it will take for the initial investment to be recovered through the annual net income generated by the project. Using the straight-line depreciation method, the annual depreciation expense is $52,082 ($468,740 - $47,000 divided by 9 years). Subtracting the annual depreciation from the annual net income gives us $49,166 ($101,248 - $52,082).
In conclusion, the accounting rate of return and payback period provide different perspectives on the profitability and risk of the proposed investment. While the accounting rate of return suggests a low return on investment, the payback period indicates a long period of time to recover the initial investment. Therefore, Bartlett should carefully evaluate the costs and benefits of the project and consider alternative investment opportunities before making a decision.

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hat changed in the business world regarding data availability and acquisition that would explain the analytics explosion we have 10 years later?

Answers

Overall, the increased availability and acquisition of data has been a key driver of the analytics explosion we have seen in the past decade.

Over the past decade, there has been a significant increase in the amount of data that businesses can access and collect. This is due to advancements in technology that have made it easier and more cost-effective to store and process large amounts of data. Additionally, there has been a shift towards a more data-driven approach to decision making in the business world. As businesses recognize the value of data in understanding customer behavior, optimizing operations, and identifying new opportunities, there has been a greater focus on acquiring and analyzing data. This has led to an analytics explosion as businesses seek to gain insights from the vast amounts of data they have access to.
Over the past decade, the business world has experienced an analytics explosion due to significant changes in data availability and acquisition. Advancements in technology and the rise of the internet have led to an increase in data generation, making large volumes of data accessible to businesses. Additionally, the development of sophisticated data acquisition tools and platforms has streamlined the process of collecting and analyzing this data. These factors have contributed to the analytics explosion, empowering businesses to make more informed decisions and improve their overall performance.

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The duration of a bond with a coupon rate of 6.5% (paid annually), a yield to maturity of 6.5% and a remaining time to maturity of 4 years isA. 3.65 years.B. 3.45 years.C. 3.85 years.D. 4.00 years.

Answers

The answer is A. 3.65 years. The duration of a bond is the weighted average of the time until each payment is received, with the weights being the present value of each payment relative to the bond's price.

In this case, since the coupon rate is the same as the yield to maturity, the bond is trading at par and we can assume that the present value of each payment is equal to the face value of the bond.

Therefore, the duration of the bond is simply the weighted average of the time until each payment, which is:

(1 x 4) / 1.065 + (2 x 4) / (1.065)^2 + (3 x 4) / (1.065)^3 + (4 x 104) / (1.065)^4

Simplifying this expression, we get: 3.65

Therefore, the answer is A. 3.65 years.

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Mention FOUR financing opyions that you may consider to assist you to start your own business

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Starting your own business is an exciting yet challenging endeavor. One of the most significant challenges aspiring entrepreneurs face is finding financing options to help them get their business up and running.

There are several financing options available for small business owners, each with its own advantages and disadvantages. In this answer, I will discuss four financing options that you may consider to assist you in starting your own business.Borrowing from Friends and Family One financing option for starting a business is to borrow from friends and family. This option may be the easiest to access and may not require an in-depth analysis of the business's financials. However, it is essential to have clear documentation of the loan terms to avoid disputes later on. This financing option can also strain relationships if things go wrong, so it's vital to tread carefully when considering this option.

Crowdfunding is another financing option to consider when starting a business. This option involves raising funds through a collective effort from a large number of people. It involves creating a compelling pitch that can attract investors. The benefits of crowdfunding include creating buzz and visibility around your business idea while raising funds at the same time.Small Business Loans Small business loans are loans specifically designed to help start-ups and small businesses. These loans can be obtained from banks or financial institutions, and they typically offer lower interest rates than other loans. However, these loans can be challenging to obtain because they require extensive documentation and a good credit score.

Venture Capital Venture capital is another financing option to consider. This type of financing involves selling a portion of your business to a venture capitalist in exchange for funding. Venture capitalists are professional investors who provide financing to start-ups and small businesses in exchange for equity in the business. However, this option may be challenging to obtain, as venture capitalists typically invest in businesses that have a high potential for growth and a solid business plan. In conclusion, these are four financing options you may consider when starting your own business: borrowing from friends and family, crowdfunding, small business loans, and venture capital. Each financing option has its own advantages and disadvantages, and it's crucial to research each option thoroughly before making a decision.

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Compute the following probabilities using the standard normal curve p(z 1. 53)

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To compute the probability using the standard normal curve, we can use a Z-table or a statistical calculator. Assuming that you are looking for the probability of a standard normal random variable being less than 1.53, we can find this probability by looking up the corresponding Z-score in the Z-table.

Using the Z-table, the probability of a standard normal random variable being less than 1.53 is approximately 0.9370.

Therefore, p(z < 1.53) is approximately 0.9370, or 93.70%.

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A depreciable asset costs $50,000 and has an estimated salvage value of $7500 at the end of its 6-year depreciable life. Compute the depreciation schedule for this asset by both SOYD depreciation and DDB depreciation.

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The following table shows the annual depreciation expense and accumulated depreciation using SOYD depreciation:

Year Depreciation Expense Accumulated Depreciation

1 $14,286.00 $14,286.00

2 $11,905.00 $26,191.00

3 $9,524.00 $35,715.00

4 $7,143.00 $42,858.00

5 $4,762.00 $47,620.00

6 $2,381.00 $50,000.00

Let's take an example to illustrate these methods. Suppose a company purchases a depreciable asset for $50,000 and expects it to have a useful life of 6 years, after which it will have a salvage value of $7,500.

The Sum of Years' Digits (SOYD) method assumes that the asset will depreciate more quickly in the early years of its life and less quickly in the later years.

In this case, the sum is:

1 + 2 + 3 + 4 + 5 + 6 = 21

=> 6 / 21 = 28.6%

In year 2, the percentage would be:

5 / 21 = 23.8%

And so on, until we reach the salvage value in year 6.

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a relationship selling approach in which the salesperson's primary role is to move the buyer toward visualization of a solution to his or her problem (need).

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By adopting this approach, the salesperson creates a sense of trust and reliability with the buyer, and this can lead to increased sales and customer loyalty.

A relationship selling approach is an effective way to establish a long-term and mutually beneficial relationship between a salesperson and a buyer. In this approach, the salesperson's primary role is not just to sell products but to move the buyer toward visualization of a solution to his or her problem or need. This means that the salesperson takes the time to understand the buyer's needs, preferences, and motivations before recommending a product or service.
The relationship selling approach requires the salesperson to focus on building a relationship with the buyer rather than just closing the sale.
The approach involves building a rapport with the buyer, understanding their needs, asking questions, and providing solutions that address their problems. The salesperson should aim to become a trusted advisor to the buyer, and this can only happen by understanding their business, industry, and market.
In conclusion, the relationship selling approach is an effective strategy for salespeople to adopt in building long-term relationships with buyers. By focusing on the buyer's needs, the salesperson can create trust, loyalty, and ultimately increase sales.

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Let us say that Netflix has issued a convertible bond at $1,000. The coupon on the bond is 2.5% and the conversion price is $500. The current trading price of Netflix stock (NFLX) is $300.
Given the conversion price of the bond and the current market price of NFLX stock (in this example), the Convertible Bond is likely to trade more like a _________ and less like a _____________.
Group of answer choices
Stock; Bond
Bond; Stock
Stock; Futures Contract
None is Correct

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Given the conversion price of $500 and the current market price of NFLX stock at $300, the convertible bond is more likely to trade like a traditional bond rather than a stock.

The conversion price is the price at which the bond can be converted into shares of the underlying stock. In this case, since the current market price of NFLX is lower than the conversion price of the bond, it would not make financial sense for investors to convert their bonds into stock.

Instead, investors are more likely to hold onto the bond and collect the 2.5% coupon payment, which provides a fixed income stream, similar to a traditional bond. In this way, the convertible bond combines features of both debt and equity, providing investors with the opportunity to benefit from potential stock price appreciation while also having downside protection in the form of a fixed income stream.

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you want to purchase a new motorcycle that costs $28,400. the most you can pay each month is $480 over the life of the 78-month loan. what is the highest apr that you could afford?

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The highest APR that you can afford is approximately 31.83% in loan.

To determine the highest APR that you can afford for a 78-month motorcycle loan with a maximum monthly payment of $480, you need to consider the loan amount, payment frequency, and loan term.

First, calculate the total amount that you will pay over the 78-month loan term with the maximum monthly payment of $480. $480 x 78 = $37,440
Next, subtract the loan amount from the total payment to find the total interest paid.
$37,440 - $28,400 = $9,040
To find the APR, divide the total interest paid by the loan amount and multiply by 100.
($9,040 / $28,400) x 100 = 31.83%

Therefore, the highest APR that you can afford is approximately 31.83%. Keep in mind that this is the maximum APR and it is always recommended to shop around for the best interest rate before committing to a loan. Also, consider factors such as your credit score, income, and other expenses before taking on a long-term loan commitment.

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.You are scheduled to receive a $540 cash flow in one year, a $1,040 cash flow in two years, and pay an $840 payment in three years. Interest rates are 9 percent per year. What is the combined present value of these cash flows?

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The combined present value of these cash flows is $748.39.

To find the combined present value of these cash flows, we need to discount each cash flow back to its present value and then add them up.

To discount the cash flows, we can use the formula:

PV = CF / (1 + r)^n

where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of years.

Using this formula, we get:

PV1 = 540 / (1 + 0.09)^1 = $495.41
PV2 = 1,040 / (1 + 0.09)^2 = $876.12
PV3 = -840 / (1 + 0.09)^3 = -$623.14 (Note the negative sign because this is a payment)

Adding these present values together, we get:

PV1 + PV2 + PV3 = $495.41 + $876.12 - $623.14 = $748.39

Therefore, the combined present value of these cash flows is $748.39.

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