Lara Technologies is considering a cash outlay of $227,000 for the purchase of land, which it could lease out for $36,150 per year. If alternative investments that yield a 15% return are available, the opportunity cost of the purchase of the land is

Answers

Answer 1

Answer:

the opportunity cost of the land purchase is $34,050

Explanation:

The computation of the opportunity cost of the land purchase is shown below;

= Cash outlay × return percentage

= $227,000 × 15%

= $34,050

Hence the opportunity cost of the land purchase is $34,050

We simply multiplied the cash outlay with the return percentage so the same would be calculated


Related Questions

You invest $100 in a risky asset with an expected rate of return of 0.12 and a standard deviation of 0.15 and a T-bill with a rate of return of 0.05. What percentages of your money must be invested in the risk-free asset and the risky asset, respectively, to form a portfolio with a standard deviation of 0.09?

Answers

Answer:

The answer is "[tex]60\% \ in \ risky \ asset[/tex]"

Explanation:

[tex]\to 0.09 = x(0.15)\\\\\to x=\frac{0.09}{0.15}\\\\\to x=\frac{9}{15}\\\\\to x= 0.6[/tex]

[tex]\to x = 0.6 \approx 60\%[/tex] in the risky asset.

The Beranek Company, whose stock price is now $30, needs to raise $13 million in common stock. Underwriters have informed the firm's management that they must price the new issue to the public at $25 per share because of signaling effects. The underwriters' compensation will be 6% of the issue price, so Beranek will net $23.50 per share. The firm will also incur expenses in the amount of $165,000. How many shares must the firm sell to net $13 million after underwriting and flotation expenses

Answers

Answer:

858,085 shares must be sold

Explanation:

Net amount to be raised                   $ 13,000,000

Add: floatation expenses                           165,000

Amount to be available after

payment of underwriting compensation             20,165,000          

No of shares to be issued at 23.50 $      = 20,165,000/23.50 =  shares, rounded off to 858,085 shares.

858,085 shares must be sold

Young Company has the following assets and liabilities: Assets Cash $35,000 Accounts receivable 15,000 Inventory 30,000 Equipment 50,000 Liabilities Current portion of long-term debt $10,000 Accounts payable 2,000 Long-term debt 25,000 Determine the quick ratio (rounded to one decimal point).

Answers

Answer: 4.2

Explanation:

The quick ratio will be calculated as:

= Current assets / Current liabilities

where,

Current asset = Cash + Account receivable = $35000 + $15000 = $50000

Current liabilities = Long term debt + Account payable = $10000 + $2000 = $12000

Quick ratio = Current assets / Current liabilities

= $50000 / $12000

= 4.2

Which of these is an example of a labor law? O A. A restriction of the number of hours 16-year-olds can work
OB. A regulation against price fixing
OC. A limitation on the import of certain goods OD. Arequirement that products be tested for safety​

Answers

Answer:

O A.

Explanation:

It says labor law..

O B.Talks about price fixing

O C.Talks about import of goods

O D.Talks about products being tested for safety

Labor law means working someone for a certain amount of hours or not paying them for the amount of hours worked.

Answer:

Explanation:

A restriction of the number of hours 16-year-olds can work

4. Suppose that the exchange rate adjusts so that interest-rate parity holds. Further, suppose the interest rate on a one-year South Koran bond is 6 percent and the interest rate on a one-year U.S. bond is 2 percent. a) If you expect the exchange rate in one year to be 1,100 South Korean won per USD, what is the exchange rate today

Answers

Answer:

The exchange rate today is 1,058.5

Explanation:

Interest rate on 1 year South Korean bond = 6% or 0.06

Interest rate on 1 year U.S. bond = 2% or 0.02

Expected Exchange rate in 1 year = 1,100 South Korean won per USD. Let the Exchange rate today = x

[(Interest rate on South Korean bond - Interest rate on U.S. bond)/(1 + Interest rate on 1 year U.S. bond)] + 1 = (Expected Exchange rate in 1 year)/(Expected Exchange rate today)

[(0.06 - 0.02)/(1 + 0.02)] + 1 = 1,100/x

x = [0.04/1.02] + 1 = 1,100/x

x = 1,100/1.0392

x = 1,058.50

So therefore, the exchange rate today is 1,058.5

John Company could buy a machine that costs $72,000. It is estimated that it earn nothing until year five, then earn $150,000 in year 5. If the discount figures are .567 for cash received at the end of five years and 3.605 for payments received every year for five years, what is the net present value for this machine

Answers

Answer:

$13,050

Explanation:

Net present value is a method of capital budgeting.

Net present value is the present value of after-tax cash flows from an investment less the amount invested.  

Net present value = (cash flow in year 5 x year 5 discount rate) - Initial Investment

($150,000 x 0.567) - $72,000

85,050 - $72,000 = $13,050

On January 2, 2019, Denny Corp. enters into five-year finance lease for machinery with annual year-end payments of $15,000. The present value of the six annual lease payments is $65,000. Complete the necessary journal entry by selecting the account names from the drop-down menus and entering the dollar amounts in the debit or credit columns.

Answers

Answer:

Instead of Right of use asset, machinery account can alternatively be used.

Date       General Journal          Debit       Credit

Jan 2      Right of use asset     $65,000

                    Lease Liability                     $65,000

               (To record lease)

Claremont Company specializes in selling refurbished copiers. During the month, the company sold 220 copiers for total sales of $836,000. The budget for the month was to sell 215 copiers at an average price of $4,000. The sales price variance for the month was:

Answers

Answer:

$44,000 Unfavourable

Explanation:

Given the above information, sales price variance is computed as

= (Actual sales price - Standard/Budgeted sales price) × Actual units sold

Actual sales price = $836,000/220 = $3,800

Standard sales price = $4,000

Actual units sold = 220

= ($3,800 - $4,000) × 220

= $44,000 Unfavourable

The above is unfavourable sales price variance because you can sell the copier at a higher price of $4,000 than the actual price of $3,800

gas company discovers that there is gas being consumed at an address that has no account and no record of a meter. The last record of an account at the address was 14 years ago. John Doe is living at the address. YYZ sues Mr, Doe and wins. of action was:a

Answers

Answer:

Quasi contract and unjust enrichment

Explanation:

The correct answer to the given question is Quasi contract and unjust enrichment.

Quasi contract is when no agreement is formed but a party is liable to the other.

Unjust enrichment is that a party benefits from the expense to the other party when there is no such agreement. which is unjust and the party who benefits is held liable.

Consider two perfectly negatively correlated risky securities A and B. A has an expected rate of return of 10% and a standard deviation of 16%. B has an expected rate of return of 8% and a standard deviation of 12%. The risk-free portfolio that can be formed with the two securities will earn a(n) _____ rate of return.

Answers

I’m sorry for making it happen again but it’s not like that

g Segmented Markets Theory of the Yield Curve A. Notes or bonds of different maturities are not substitutes for each other B. Notes or bonds of different maturities are substitutes for each other C. Notes or bonds of different maturities are inversions of each other D. Explains why the yield curve is normally downward sloping

Answers

Answer:

A

Explanation:

The segmented Markets Theory of the Yield Curve is a traditional theory explaining the term structure of interest rates

According to the theory, the yield curve is divided into different maturities and investors determine the yield curve by their demand and supply for funds of different maturities.

Each maturity is viewed as a segmented market in which the yield is determined independently from the yields of other maturities

The theory assumes that investors are unwilling or unable to invest in other securities than that with their preferred maturity. As a result, the yield of securities in a maturity is determined only by the demand and supply of funds in that maturity. It also implies that Notes or bonds of different maturities are not substitutes for each other

According to the U.S. Bureau of Labor Statistics, there were 100,800 chefs/head cooks employed in the United States in 2010 and 320,900 food service managers. Those numbers were projected to decrease to 98,800 and 311,000 by 2020. Which job was facing the larger percent decrease

Answers

Answer:

Foodservice managers

Explanation:

Considering the data available in the question we have the following:

In 2010 => Chefs / head cooks - 100,800 personnel

In 2010 => Foodservice managers = 320,900 personnel

In 2020 => Chefs/head cooks = 98,800

In 2020 => Foodservice managers = 311,000

The difference in chefs/head cooks = 100,800 - 98,000 = 2,000

While that of Food service managers = 320,900 - 311,000 = 9,900

Hence, percentage for chefs / head cooks = 2000/108900 = 1.98% decrease

Percentage of fold service managers = 9900/320900 = 3.09% decrease.

Hence, in this case, Foodservice managers facing a larger percentage decrease.

_____________ planning focuses on delivering products or services to consumers as well as warehousing, delivering, invoicing, and payment collection.

Answers

Answer:

Distribution

Explanation:

Distribution is one of the phases in production. It is often said that production is not complete until goods and services gets to the final consumers. Distribution planning entails getting the goods produced to consumers as well as warehousing them. It also entails delivery, invoicing and payment collections.

As the last chain in production processes, distribution planning makes goods and services produced gets to the final consumes whilst also taking care of the logistics involved and payment collections.

Turrubiates Corporation makes a product that uses a material with the following standards:
Standard quantity 7.7 liters per unit
Standard price $ 2.20 per liter
Standard cost $ 7.70 per unit
The company budgeted for production of 3,500 units in April, but actual production was 3,600 units. The company used 28,400 liters of direct material to produce this output. The company purchased 19,800 liters of the direct material at $2.3 per liter.
The direct materials purchases variance is computed when the materials are purchased.
The materials quantity variance for April is:__________
a. $1,564 U
b. $1,496 U
c. $1,564 F
d. $1,496 F

Answers

Letter B I believe sooooo

In the market for Rolexianish luxury watches, consumers cannot tell the difference between high-quality and low-quality movement watches. Even though the two types of watches look the exact same, the performance of low-quality movement watches is much worse than that of high-quality movement watches. Buyers value a high-quality movement watch at $10,000 and a low-quality movement watch at $8,000. Recently, the FBWI (Federal Bureau of Watch Investigators) conducted to study and determined that 40% of watches in the market are high-quality movement, while 60% are low-quality movement. Note: Assume there are no consumer protection laws or outside rating agencies. When buying a watch, there is no way to know if it is high or low quality.
A. What is a buyer’s expected value of a luxury watch?
B. If sellers of high-quality watches have a reservation price of $8,000 and sellers of low- quality watches have a reservation price of $6,500, what happens in this market? Are there any equity(fairnesss) implications? Explain.
C. If sellers of high-quality watches have a reservation price of $9,000 and sellers of low quality watches have a reservation price of $7,500, what happens in this market? Are there any equity(fairness) implications? Explain.
D. Screening is an important tool when asymmetric information is present. Assume you’re in the market for a high-quality watch and the sellers’ reservation prices are $6,000 for a low-quality watch and $10,000 for a high-quality watch (and you, as the buyer, know these reservation prices). Can you screen out the low-quality watches by offering $6,000 and when the owner turns you down, you know she’s selling a high-quality watch? Will that work? Explain.

Answers

Answer:

the answer is b i just took the test got 100

Explanation:

During year 4, King Company made the following expenditures relating to its plant building: Continuing and frequent repairs $40,000 Repainted the plant building 10,000 Major improvements to the electrical wiring system 32,000 Partial replacement of roof tiles 14,000 How much should be charged to repair and maintenance expense in year 4

Answers

Answer: $64000

Explanation:

The amount that should be charged to the repair and maintenance expense in year 4 will be calculated thus:

Continuing and frequent repairs = $40,000

Add: Repainted the plant building = $10,000

Add: Partial replacement of roof tiles = $14,000

Repair and maintenance expense = $64,000

On June 1, 20X1, Conner Company, a new firm, paid $4,300 rent in advance for a five-month period. The $4,300 was debited to the Prepaid Rent account. On June 1, 20X1, the firm bought supplies for $7,250. The $7,250 was debited to the Supplies account. An inventory of supplies at the end of June showed that items costing $2,950 were on hand. On June 1, 20X1, the firm bought equipment costing $44,160. The equipment has an expected useful life of 8 years and no salvage value. The firm will use the straight-line method of depreciation. Prepare end-of-June adjusting entries for Conner Company.

Answers

Answer:

No    Account and explanation              Debit      Credit

1.       Rent expense ($4,300/5)               $860

                Prepaid rent                                           $860

        (To record adjusted rent expense)

2.      Supplies expense (7,250-2,950)   $4,300

                Supplies                                                   $4,300

        (To record adjusted supplies)

3.       Depreciation expense                   $460

         [(44,160/8)/12]

                Accumulated depreciation                     $460

         (To record depreciation)

In a proposal to install and monitor a security system statements such as "our company has over 25 years of experience" should appear in what section

Introduction
Body
Closing
Appendix

Answers

Closing it the correct answer

Grace is a self-employed sales consultant who spends significant time entertaining potential customers. She keeps all the appropriate records to substantiate her entertainment. She has the following expenses in the current year:

Meals where business was conducted $5,000 Greens fees (all business) 500
Tickets to baseball games (all business) 500
Country Club dues (all business use) 6,000

What are the tax-deductible meals and entertainment expenses Grace may claim in the current year? On which tax form should she claim the deduction?​

Answers

Answer:

any options?

Explanation:

Answer: Schedule C

Explanation:

a. Simulation can be used to analyze large and complex real-world situations that cannot be solved by using conventional quantitative analysis models b. Simulation can answer what-if types of questions c. Simulation can be used to study the interactive effect of individual components or variables in order to determine which ones are important d. All of the above statements are correct

Answers

Answer:

D). All of the above statements are correct.

Explanation:

Simulation can be described as the process designed to offer a realistic experience in order to know the actual mechanism of a specific behavior or outcome.

As per the question, 'all the given statements' are asserting true claims with respect to simulation. Simulation is characterized as an effective process for evaluating large and complicated actual-world circumstances as it is a realistic environment to know the truth and actual causes behind those situations. Such situations cannot be assessed truly using the traditional quantitative models of analysis. It is able to provide answers to the questions like 'what-if' as it observes the realistic nature and promotes effective decision-making. It is also employed to investigate the collective effect of specific variables or components to categorize them as important or not-important as it closely observes every aspect. Thus, option D is the correct answer.

Which of these are considered both short- and long-term investments? Select four options.
CDs
stocks
savings accounts
mutual funds
bonds
commodities

Edge answers please

Answers

Answer:

CDs

Stocks

Mutual funds

Commodities

Explanation:

:)

'Investments' are defined as the 'process of allocating money having an aim of receiving a profit.'

The items that can be considered as both the short, as well as, long-term investments would be:

A). CDs

B). Stocks

C). Mutual funds

E). Commodities

A CD or Certificate of Deposit(CD) is characterized as both the 'short, as well as, long-term' investment because it provides interest and offers a lump-sum on its maturity. Stocks are also such an investment as it offers both intra-day trade and long-term holding options as well. Mutual funds are also a good option for generating both regular incomes in the short-term and big capital gain over a time period. Commodities like gold, crude oil, etc. also offer such an option as it is the item whose price keeps growing and thereby providing an opportunity to earn.

Thus, options A, B, C, and E are the correct answers.

Learn more about 'short-term investment' here:

brainly.com/question/16462918

On January 1, 2020, Oregon Company issued eight-year bonds with a face value of $6,000,000 and a stated interest rate of 6%, payable semiannually onJune 30 and December 31. Determine the issue price of the bonds, assuming the bonds were sold to yield 8% (require use of present value tables):

Answers

Answer:

the issue price of the bond is $5,301,360

Explanation:

The computation of the issue price of the bond is shown below/;

= (semiannual interest payment × present value annuity (16,4%)) + (face value × present value factor (4%,16))

= (($6,000,000 × 6% ÷ 2) × 11.652) + ($6,000,000 × .534)

= $2,097,360 + $3,204,000

= $5,301,360

Hence, the issue price of the bond is $5,301,360

Logan Company can sell all of the standard and premier products they can produce, but it has limited production capacity. It can produce 6 standard units per hour or 5 premier units per hour, and it has 39,000 production hours available. Contribution margin per unit is $21 for the standard product and $25 for the premier product. What is the most profitable sales mix for Logan Company

Answers

Answer:

234,000 standard units

Explanation:

                                                                     Standard unit   Premier unit

Contribution margin per unit                            $25                   $21

Production hour per unit                                   1/6                     1/5

Contribution margin per production hour     $150                $105

Contribution margin per production hour is higher for standard units, hence Logan company should produce standard units.

Total production hours available = 39,000

Production per hour of standard unit = 6

Maximum production of standard units = Total production hours available * Production per hour of standard unit

Maximum production of standard units = 39,000 * 6

Maximum production of standard units = 234,000

ILL GIVE BRAINLIEST Jessie has been renting for several years and although many of his friends have purchased a home, Jessie believes renting is best for him. What is one advantage Jessie receives from renting? *
A. privacy
B. tax deductions received
C. greater flexibility in moving
D. ability to make permanent changes to his apartment

Answers

Answer:

B and D

Explanation:

Answer:

maybe it is c greater flexibility in moving

or none of them are that much profit

"You own a portfolio equally invested in a risk-free asset and two stocks. If one of the stocks has a beta of 1.05 and the total portfolio is equally as risky as the market, what must the beta be for the other stock in your portfolio?"

Answers

Answer: 1.95

Explanation:

The beta for the other stock in the portfolio will be calculated thus:

Portfolio Beta = (BetaA × WeightA) + (BetaB × WeightB) + (BetaC × WeightC)

= (BetaA × 1/3) + (1.05 × 1/3) + (0 × 1/3)

= (BetaA × 1/3) + 0.35 + 0

Beta A = 1-0.35 × 3

Beta A = 0.65 × 3

Beta A = 1.95

The Federal Open Market Committee a. by law must focus on maintaining low inflation rather than stabilizing output. b. by law must follow a mechanical rule that takes into account deviations of unemployment from its natural rate and deviations of inflation from a target. c. operates with almost complete discretion over monetary policy. d. by law must focus on stabilizing output rather than maintaining low inflation.

Answers

Answer:

c. operates with almost complete discretion over monetary policy.

Explanation:

Monetary policy can be defined as the actions (macroeconomic policies) adopted and undertaken by the central bank of a particular country to control the money supply and interest rates so as to boost or enhance economic growth. The central bank uses monetary policies to manage inflation, economic growth through long-term interest rates and level of unemployment in a country. In order to boost economic growth, monetary policy is used to increase money supply (liquidity) while it is also used to prevent inflation by reducing money supply.

Generally, money supply comprises of checks, cash, money market mutual funds (MMF) and credit (mortgage, bonds and loans).

The FOMC are typically responsible for making monetary policy and the determination of the direction of the monetary policy in the United States of America.

Hence, the Federal Open Market Committee (FOMC) are saddled with the responsibility to operate with almost complete discretion of its members over monetary policy in a particular country.

Farmers Bank offers to lend you $50,000 at a nominal rate of 5.0%, simple interest, with interest paid quarterly. Merchants Bank offers to lend you the $50,000, but it will charge 6.0%, simple interest, with interest paid at the end of the year. What's the difference in the effective annual rates charged by the two banks? a. 1.56% b. 1.30% c. 0.72% d. 0.91% e. 1.09%

Answers

Answer: d. 0.91%

Explanation:

Farmers Bank

Effective annual rate is calculated with the formula:

= (1 + Rate / number of compounding period in a year) ^ number of compounding periods in a year - 1

= ( 1 + 5%/4 quarters) ⁴ - 1

= 5.09%

Merchants bank's rate is already an annual figure so there is no need for conversion.

Difference is:

= 6% - 5.09%

= 0.91%

THESE ARE TRUE OR FALSE!! PLEASE HELP ASAP!!
1. Human resources are not very important in the production of goods.
2. There are over 120 million people employed in our work force.
3. A high school education and special training are no longer important in our work force.
4. There is only one major type of industry today: service-producing.
5. Most white-collar workers are employed in offices and stores.
6. Computers and information technology have little effect on blue-collar workers.
7. The demand for factors of production affects the availability of jobs.
8. Stages of the business cycle affect job opportunities.
9. The need for businesses to remain profitable and competitive has led to downsizing.
10. Immigrants have had little effect on our work force and economy until recent years.

Answers

Answer:

1. FALSE

2. TRUE

3. FALSE

4. FALSE

5. TRUE (I think)

6. TRUE

7. TRUE

8. TRUE

9. FALSE

10. FALSE

A stock price (which pays no dividends) is $48 and the strike price of a two year European put option is $54. The risk-free rate is 3% (continuously compounded). Which of the following is a lower bound for the option such that there are arbitrage opportunities if the price is below the lower bound and no arbitrage opportunities if it is above the lower bound?
A. $4.00.
B. $3.86.
C. $2.86.
D. $0.86.

Answers

Answer:

sorry i needed points

Explanation:

The discount rate used to calculate the net present value of a capital budgeting project should be: a. The risk-free rate. b. The weighted average cost of capital. c. LIBOR. d. The internal rate of return.

Answers

Answer:

B

Explanation:

Capital budgeting is the determination of the profitability of proposed investments

One of the capital budgeting methods is the net present value

Net present value is the present value of after-tax cash flows from an investment less the amount invested.

the Weighted cost of capital is used to determine NPV

WACC = weight of equity x cost of equity + weight of debt x cost of debt x (1 - tax rate)

It is the minimum rate of return a company expects from a project

Internal rate of return is the discount rate that equates the after-tax cash flows from an investment to the amount invested. It is a captial budgeting method

Other Questions
How many equal line segments are needed to make a row of 35 squares? On January 1, 2020, Oregon Company issued eight-year bonds with a face value of $6,000,000 and a stated interest rate of 6%, payable semiannually onJune 30 and December 31. Determine the issue price of the bonds, assuming the bonds were sold to yield 8% (require use of present value tables): How many glasses like the one shown can be filled three quarters full from a pitcher holding 150 cubic in ches of water. Why do some people use credit? Which sentence correctly uses a signal phrase to embed a quotation?Select one:Astronomer Steve Molden reminds us theres one side of the moon that we never see.Theres one side of the moon, astronomer Steve Molden reminds us, That we never see.Theres one side of the moon that we never see. Astronomer Steve Molden reminds us.Astronomer Steve Molden reminds us, Theres one side of the moon that we never see. What is the first sign of a syphilis infection?a)small clear or yellowish blistersb)a dime-sized, painless sore call a chancrec)painful urinationd)sore throat, fever, muscle pain, rash Solve the system of linear equations.2x + 3y = 5X+ y = 5 What is 1/2 off of 3.48 In the market for Rolexianish luxury watches, consumers cannot tell the difference between high-quality and low-quality movement watches. Even though the two types of watches look the exact same, the performance of low-quality movement watches is much worse than that of high-quality movement watches. Buyers value a high-quality movement watch at $10,000 and a low-quality movement watch at $8,000. Recently, the FBWI (Federal Bureau of Watch Investigators) conducted to study and determined that 40% of watches in the market are high-quality movement, while 60% are low-quality movement. Note: Assume there are no consumer protection laws or outside rating agencies. When buying a watch, there is no way to know if it is high or low quality.A. What is a buyers expected value of a luxury watch? B. If sellers of high-quality watches have a reservation price of $8,000 and sellers of low- quality watches have a reservation price of $6,500, what happens in this market? Are there any equity(fairnesss) implications? Explain.C. If sellers of high-quality watches have a reservation price of $9,000 and sellers of low quality watches have a reservation price of $7,500, what happens in this market? Are there any equity(fairness) implications? Explain.D. Screening is an important tool when asymmetric information is present. Assume youre in the market for a high-quality watch and the sellers reservation prices are $6,000 for a low-quality watch and $10,000 for a high-quality watch (and you, as the buyer, know these reservation prices). Can you screen out the low-quality watches by offering $6,000 and when the owner turns you down, you know shes selling a high-quality watch? Will that work? Explain. The hypotenuse of a right triangle will be a diameter of the triangle. True or false? What is your perception of Coronavirus? Just give me your opinion, I don't know how to answer this. Question 24A teacher asked some of her students how many siblings they have. The results are displayed in the dot plot.I.10How many students did she ask?7 studentsB10 studentsC21 studentsD41 students If 6 - 7 = -1, which of the following is true?-1 + 7 = 6-1 + (-7) = 67 - 6 = -17 - (-1) = 6 Which is the equation of the line that passes through the point (-3,-9) and has an undefined slope? What is one thing that you want to accomplish next year in math? State your goal for math (in a complete sentence): Why is the telephone better than the Telegraph? Helpppppppppppppppppp!!!!! Help ASAP please !! No scam I really need this ! Trigonometry coordinates ! y=x^2-3, what is your y value when x=4 The stationary object from which movement isdetermined is calleda. terminal velocity b. momentumC. motiond. reference point