On September 1, Ziegler Corporation had 61,000 shares of $5 par value common stock, and $183,000 of retained earnings. On that date, when the market price of the stock is $15 per share, the corporation issues a 2-for-1 stock split. The general journal entry to record this transaction is:

Answers

Answer 1

Answer:

No entry is needed for this transaction

Explanation:

There wont be any general journal entry to record this transaction because NO entry is needed for this transaction .

Using this formula for the Calculation of Before split and After split

Number of share×Per value=Market Capitalization

Before Split 57,000 shares× $5 per value=$285,000

After split(2-for-1 stock split)

(57,000 shares ×2) 114,000

Per value of $5÷2=2.5

Hence,

114,000×$2.50=$285,000

Based on this calculation No entry is needed for this transaction because the total dollar value of shares issued does not change.


Related Questions

When a process fails to satisfy a customer: Group of answer choices it is quite often the customer's fault. it is considered a defect it is usually half the customer's fault and half the company's fault. it is time to reengineer the process.

Answers

Answer:

It is considered a defect

Explanation:

A process defect is When a process  doesn't perform within what is supposed to be its specifications. When a process doesn't satisfy a customer. To manage defects it is defined as a process of detecting bugs and fixing them. A defect is a malfunction which interrupts or changes the normal expected behaviour of an item or a product.

When a process fails to satisfy a customer it is considered a defect. Thus, option B is correct. Process flaws are when a process doesn't operate according to what is intended to be its specs.

When a consumer isn't satisfied with a procedure. It is described as a method of finding faults and repairing them to manage defects. A fault is a failure that prevents or modifies a product's normally anticipated behavior.

When the result of a procedure is not what was anticipated, a flaw is said to have happened. The phrase "expected outcome" in this context refers to the specifications we have made in advance. Defective components may be produced as a result of a process fault or discrepancy.

A flaw is an imperfection or inadequacy that might exist in a good, asset, method, or legal document. Defects in design, manufacture, or marketing are the three main forms of defects recognized under product liability law.

Learn more about defects here:

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A chart of accounts is a list of all ledger accounts and an identification number for each. Identify the following accounts as either an asset (A), liability (L), equity (EQ), revenue (R), or expense (E) account.a. Advertising Expense b. Rent Revenue c. Rent Receivable d. Machinery e. Accounts Payable f. Furniture g. Common Stock h. Utilities Expense

Answers

Answer is given below

Explanation:

Asset is The property means and controls the business owner and its use will generate future financial benefits. Liability is the current liability of an organization arising from past events, which is the flow of financial benefit from settlement. Equity is the remaining interest in a company because its liabilities are deducted from the assets.Revenue means income derived from the normal activities of the business.Expense arises at time in the morning activities

S.no Particulars                         Answer

a         Advertisement expense expense

b         rent expense                         expense

c         rent receivable                  Asset

d         Machinery                          Asset

e         Account payable                  Liability

f         Furniture                          Asset

g         common stock                  Equity

h          Utility Expense                  expense

15-year bonds 2 years ago at a coupon rate of 7.3 percent. The bonds make semiannual payments. If these bonds currently sell for 103 percent of par value, what is the YTM?

Answers

Answer:

The answer is 6.95%

Explanation:

We are looking for Yield-to-maturity (YTM). YTM can also be called rate of return or discount rate.

Note: The 15 -year bond was bought 2 years ago, meaning it remains 13 years

N(Number of periods) = 26 years ( 13years x 2)

I/Y(Yield to maturity) = ?

PV(present value or market price) = $103

PMT( coupon payment) = $3.65( [(7.3percent ÷ 2)x $100)]

FV( Future value or par value) = $100

We are using a Financial calculator for this.

N= 26; PMT = 3.65; FV= $100; CPT PV= -103, CPT I/Y

I/Y = 3.47.

3.47% is for semiannual rate

Therefore, annual rate is 6.95% (3.47% x 2)

Your coworker Rosa is really concerned about a project that she has just been assigned. She is in charge of analyzing and determining conditions in the market for televisions from an extensive sales report.

If Rosa's boss is interested in a graphical representation of the relationship between the price and quantity of televisions demanded, you would advise your coworker to construct_________ using the data provided. However, if Rosa's boss is more interested in the detailed numbers used to construct this visual representation, you would instead advise your coworker that_________ would be more appropriate.

Answers

Answer:

demand curve, demand schedule

Explanation:

Based on the case, the boss is interested in a graphical representation of the price and quantity required from television, it would be recommended to create a demand curve for the coworkers.

But if the supervisor is interested in precise numbers reflecting this partnership, the coworker is told to draw up a list of demands.

n the current year, the POD Partnership received revenues of $200,000 and paid the following amounts: $50,000 in rent and utilities, and $20,000 as a distribution to partner Olivia. In addition, the partnership earned $6,000 of long-term capital gains during the year. Partner Donald owns a 50% interest in the partnership. How much and what type(s) of income must Donald report for the tax year?

Answers

Answer: $75,000 ordinary income; $3,000 of long-term capital gains.

Explanation:

From the question, we are told that the POD Partnership received revenues of $200,000 and paid $50,000 in rent and utilities, and $20,000 as a distribution to partner Olivia. Also, the partnership earned $6,000 of long-term capital gains during the year and that Partner Donald owns a 50% interest in the partnership.

From the question, the ordinary income of the firm will be the difference between the revenue gotten and the $50,000 paid in rent and utilities which is an expense. This will be:

= $200000 - $50000

= $150000

The income from capital gain = $6000

Since, Donald will get 50% of what the partnership makes, thus will be:

50% of $150,000 ordinary income which is (50/100 × $150,000) = $75,000 and 50% of $6000 capital gain which will be $3,000.

= 50

Therefore, Donald will get $75000 of the ordinary income and $ 3000 of the capital gain.

The short-run effects of quantitative easing are expected to be a(n) ___________ in the price level with a long-run __________ in the real value of money. Choose one: A. increase, increase B. decrease, increase C. decrease, decrease D. increase, decrease

Answers

Answer:

D. increase, decrease

Explanation:

Expansionary monetary policy methods, for example quantitative easing, fresh capital flowing into the economy. This tends to increase the price level gradually. The actual value of money declines as the demand increases

Therefore, from the above explanation, the correct answer is "D" as it increases the price level with a long-run decrease in the real value.

The president is assisted by an executive branch organization in the preparation of a budget proposal which he submits to Congress and with the formulation of fiscal policy. This organization is called

Answers

Answer: Office of Management and Budget (OMB)

Explanation

The Office of Management and Budget is the biggest office that is within the Executive Office of the United States President. The Office of Management and Budget is also a member of the President's Executive Office and the main function of the Office of Management and Budget is to help the United States president in budget preparation.

It should also be noted that the office helps in overseeing and monitoring federal agencies performance.

You are offered the right to receive $1000 per year forever, starting in one year. If your discount rate is 5%, what is this offer worth to you

Answers

Answer:

Worth of the offer =$20,000

Explanation:

The worth of this offer is the present value of the annual cash inflow receivable forever discounted at the given interest rate. The cash inflow receivable forever is known as a perpetuity

The present of a cash inflow receivable forever is given below:

PV = A× 1/r

A- annual cash inflow, r- discount rate, PV - Present value of a perpetuity

A- 1,000, r- 5%

PV = 1,000 × 1/0.05

PV = $20,000

Worth of the offer =$20,000

Continuing with the company selected in Unit 2, think about the types of financial data that would be included and excluded in differential analysis. Propose which specific revenues and costs should be considered in an evaluation to drop or keep a: Customer Product line In addition, explain sunk and opportunity costs as they relate to your selected company. Should these costs be considered in differential analysis? Why or why not?

Answers

Answer:

Sorts of monetary information that would be incorporated and avoided in differential analysis

Differential cost investigation is the expansion or decline in complete expense pf the adjustment in explicit components of cost that outcome from any variety in tasks. It speaks to an expansion or abatement in all out expense coming about out of -  

1. Creating or disseminating a couple of more or barely any less of the items

2. Change in the strategy for creation or of conveyance  

3. An Addition or cancellation of item  

4. Choice of extra deals channel  

In Differential examination increment in incomes, variable expenses and opportunity costs are thought of. Fixed expenses and fixed segment of semi-variable expenses are disregarded.  

differential analysis is utilized:  

1. Dropping or including a product offering  

2. Settle on or purchase choices  

3. Proceed or shutdown item or client and so on.  

Explicit incomes and expenses ought to be considered in an assessment to drop or keep a:  

1. Commitment structure unbeneficial item ought to be thought of  

2. Explicit fixed expenses of the unfruitful item will be thought of  

3. Commitment from other non beneficial items which is proposed to be delivered with the extra limit will be thought of.  

Avoidable fixed expenses are thought of, as these can be stayed away from when item or client is closed down. Avoidable fixed costs partitioned by the pv proportion will give level of deals beneath which it is smarter to close down.  

Unavoidable fixed expenses are overlooked in considering in an assessment to drop or keep. Since these costs will be acquired despite the fact that the item or client is ceased.  

shut down point = avoidable fixed expenses/PV proportion  

Sunk Costs: A sunk expense is a cost that an element has brought about, and which it can not recoup anymore. Sunk expenses ought not be viewed as when settling on the choice to keep putting resources into a progressing venture, since these expenses can't be recouped. As sunk expenses are authentic expenses these are brought about before and notrelavent for dynamic reason. for instance, R&D costs, Feasibility report costs and so on.  

Opportunity Costs: Opportunity costs emerge from inability to unused assets effectively. These are considered in dynamic investigation. in straightforward terms opportunity cost implies the loss of different options when one option is picked.  

Misfortune emerging from picking one option rather than other option will be considered in assessing the task.

The following three identical units of Item A are purchased during April:

Item A Units Cost
Apr. 2 Purchase 1 $68
14 Purchase 1 73
28 Purchase 1 75
Total 3 $216
Average cost per unit $72 ($216 ÷ 3 units)

Assume that one unit is sold on April 30 for $118.

Determine the gross profit for April and ending inventory on April 30 using the:

a. First-in, first-out (FIFO)
b. Last-in, first-out (LIFO)
c. Weighted average cost methods

Answers

Answer:

Determination of Gross Profit and Ending Inventory:

a. First-in, First-out (FIFO)

1. Determination of Gross Profit:

Sales               $118

Cost of Sales    68

Gross profit    $50

2. Determination of Ending Inventory:

Apr. 14  Purchase 1 $73

Apr. 28 Purchase 1  75

Total 2         $148

b. Last-in, First-out (LIFO):

1. Determination of Gross Profit:

Sales               $118

Cost of Sales    75

Gross profit    $43

2. Determination of Ending Inventory:

Apr. 2  Purchase 1 $68

Apr. 14 Purchase 1 $73

Total 2                  $141

c. Weighted average cost methods:

1. Determination of Gross Profit:

Sales              = $118

Cost of Sales =   72

Gross profit  =  $46

2. Determination of Ending Inventory:

Ending inventory = 2 x $72 = $144

Explanation:

FIFO, LIFO, and Weighted Average Cost Methods are different techniques for allocating costs of products to the cost of goods sold and the ending inventory.  They produce different results.  FIFO assumes that units sold are taken from the units purchased first.  LIFO assumes that units sold are taken from the units purchased last.  Weighted Average Method uses the average cost to determine the cost to allocate to cost of sales and ending inventory.  The average cost is obtained by summing the total inventory costs and dividing it by the units available for sale.  Then this average cost is applied to the quantity sold and the quantity remaining to obtain cost of goods sold and value of ending inventory.

The next dividend payment by Skippy, Inc., will be $2.12 per share. The dividends are anticipated to maintain a growth rate of 8 percent, forever. The stock currently sells for $43 per share. What is the required return

Answers

Answer:

The answer is 12.9 percent

Explanation:

This question will be solved using the Dividend Discount Model. It is one of the valuation methods used in valuing price of Equity/stock.

Po = D1/r - g

Po is the current worth of stocks

D1 is the next dividend paid

r is the rate of return

g is the growth rate

$43 = $2.12/ r - 0.08

43r - 3.44 = 2.12

43r = 5.56

r = 5.56/43

=0.129

Expressed as a percentage:

12.9 percent

Suppose the current term structure of interest rates, assuming annual compounding, is as follows: s_1s 1 ​ s_2s 2 ​ s_3s 3 ​ s_4s 4 ​ s_5s 5 ​ s_6s 6 ​ 7.0% 7.3% 7.7% 8.1% 8.4% 8.8% What is the discount rate d(0,4)d(0,4)? (Recall that interest rates are always quoted on an annual basis unless stated otherwise.) Please submit your answer rounded to three decimal places. So for example, if your answer is 0.45670.4567 then you should submit an answer of 0.4570.457.

Answers

Answer:

7.32

Explanation:

Swap rate is fixed rate that swap receiver requires for the paying the uncertain rate. SWAP rate is fixed interest rate that is required by Swap receiver in exchange of floating rate of LIBOR. Swap rate can be calculated by multiple formula using the spreadsheet. The formula listed below is the simplest version;

r = [tex]\frac{1-d (0, 4)} {∑4 d(0, t)}[/tex]

= 1-d (0, 4) /4 T=1 d(0,t) = 0.0732

= 7.32

Applied research is the major R&D effort of business organizations because of their desire for commercial applications.
A. True
B. False

Answers

Answer:

True.

Explanation:

In Business management, applied research is the major research and development (R&D) effort of business organizations because of their desire for commercial applications.

An applied research can be defined as a methodology used by researchers to solve a specific or particular, practical and unique issue facing an individual, group of people, or organizations in the society. Business irganizations who use an applied research are focused on proffering a solution to a specific problem facing an industry or group of people in a society.

Hence, once they're successful in their scientific research and developing the solutions, they can then be used on a large scale.

Some of the fields were business organizations that use applied research can be found are medicine, education, food, technology, crime etc.

Hommie Delicacies produces two products (Orapine and Banango) from a joint process. The joint cost of production is GH¢80,000. Five thousand units of Orapine can be sold at split-off for GH¢20 per unit or processed further at an additional cost of GH¢20,000 and sold for GH¢25 per unit. Ten thousand units of Banango can be sold at split-off for GH¢15 per unit or processed further at an additional cost of GH¢20,000 and sold for GH¢16 per unit. Advise Hommie on further processing each of the products? (5 marks)

Answers

Answer:

Explanation:

Joint cost = 80,000

Orapine

cost of 5000 at 20 = 100,000

Incremental Cost of further processing =20,000

Incremental revenue = 5000* (25-20)= 25,000

Incremental income                                   5,000

Banango

cost of 10000 at 15 = 150,000

Incremental cost of further processing =  20,000

Incremental revenue = 10,000*(16-15) = 10,000

Incremental income = (10,000) loss

If  Orapine is processed further , there will be an incremental income of 5,000 compared to Banango that will bring an incremental loss of 10,00 if processed further.

Based on this , it is advised that Orapine be processed further while Banango is not

What will be the approximate population of the United States if the current population of 300 million grows at a compound rate of 2% annually for 25 years?

Answers

Answer:

492.18 million

Explanation:

The computation of the approximate population is shown below:

= Current population × (1 + growth compound rate)^number of years

where,

The Current population is 300 million

Growth compound rate is 2%

And, the number of years is 25

Now placing these values to the above formula

So, the estimated population is

= 300 million  × (1 + 2%)^25

= 492.18 million

On September 12, Vander Company sold merchandise in the amount of $8,600 to Jepson Company, with credit terms of 2/10, n/30. The cost of the items sold is $5,400. Jepson uses the periodic inventory system and the gross method of accounting for purchases. Jepson pays the invoice on September 18, and takes the appropriate discount. The journal entry that Jepson makes on September 18 is:

Answers

Answer:

The journal entry that Jepson makes on September 18 is:

Account Payable ; Vander Company $8,600 (debit)

Discount Received $172(credit)

Cash $8,428 (credit)

Explanation:

When Vander Company sales to Jepson Company, the following entries will be recorded :

Cost of Sales $5,400 (debit)

Account Receivable : Jepson Company $8,600 (debit)

Merchandise $5,400 (credit)

Sales Revenue $8,600 (credit)

When Jepson pays the invoice on September 18, they settle their account within the discount period and is granted a Cash discount of 2%.

The Entry to be made is as follows in Vander Company  :

Cash $8,428 (debit)

Discount Allowed $172 (debit)

Account Receivable : Jepson Company $8,600 (credit)

The Entry to be made is as follows in Jepson Company  :

Account Payable ; Vander Company $8,600 (debit)

Discount Received $172(credit)

Cash $8,428 (credit)

Conclusion :

The journal entry that Jepson makes on September 18 is:

Account Payable ; Vander Company $8,600 (debit)

Discount Received $172(credit)

Cash $8,428 (credit)

Just Right Incorporated is considering the option of an extra dividend versus a share repurchase and the impact of both decisions on the firm. Just Right plans to spend $85,000 in respect of both scenarios. Just Right’s current earnings are $2.10 per share, and the stock currently sells for $45 per share. Just Right currently has 5,000 shares outstanding. You own one share of stock in this company. If the company issues the dividend, what will your total investment be worth?

Answers

Answer:

The total investment will be "28".

Explanation:

The given values are:

Total dividend amount

= $85,000

Current earnings per share

= $2.10

Total purchased amount

= $85,000

Currently sell stock

= $45 per share

Now,

⇒  [tex]Dividend \ per \ share=\frac{85000}{5000}[/tex]

                                     [tex]=17[/tex]

⇒  [tex]Total \ investment=currently \ sell \ stock+dividend \ per \ share[/tex]

                                 [tex]=45+17[/tex]

                                 [tex]=62[/tex]

The number of repurchased shares will be:

=  [tex]\frac{total \ repurchase}{currently \ sells}[/tex]

=  [tex]\frac{85000}{45}[/tex]

=  [tex]1889[/tex]

So, Percentage of repurchased will be:

=  [tex]\frac{1889}{5000}[/tex]

=  [tex]37.78 \ percent[/tex]

When the share becomes bought, the overall investment value will be as follows:

=  [tex]45\times ( 1 -0.3778)[/tex]

= [tex]45\times 0.6222[/tex]

= [tex]27.999 \ or \ 28[/tex]

Which alternative offers you the highest effective rate of return? A) Investment A B) Investment B C) Investment C D) Investment

Answers

Answer:

Investment D

Explanation:

Effective Rate of Return can be defined as the the rate of interest on an investment either daily, monthly,quarterly or annually when compounding of them occurs more than once which is why effective interest rate is important and vital in helping to figure out the best loan or helping in determining which investment offers the highest rate of return

Therefore based on the information given in the question, the best alternative that will offers me the highest effective rate of return will be INVESTMENT D because the investment has the HIGHEST RATE of interest which is 6.1204% Monthly more than the rest of the listed investment .

A bond is issued at par value when: Multiple Choice The bond is callable. Straight line amortization is used by the company. The market rate of interest is the same as the contract rate of interest. The bond pays no interest. The bond is not between interest payment dates.

Answers

Answer:

The market rate of interest is the same as the contract rate of interest.

Explanation:

A bond can be defined as a fixed income instrument that firms use as a source of longer-term funding or loans.

The par value of a bond is its face value and it comprises of its total dollar amount as well as its maturity value. Also, the par value of a bond gives the basis on which periodic interest is paid.

A bond is issued at par value when the market rate of interest is the same as the contract rate of interest. This simply means that, a bond would be issued at par (face) value when the bond's stated rated is significantly equal to the effective or market interest rate on the specific date it was issued.

In Economics, bonds could either be issued at discount or premium.

Hence, a bond that is being issued at a discount has its stated rate lower than the market interest rate, on the specific date of issuance. Also, a bond that is being issued at a premium, has its stated rate higher than the market interest rate on the specific date of issuance.

Generally, bond price is inversely proportional to its interest rate, thus, when interest rates are high, bond prices would be low and when interest rates are low, bond prices are high.

Companies HD and LD are both profitable, and they have the same total assets (TA), total invested capital, sales (S), return on assets (ROA), and profit margin (PM). Both firms finance using only debt and common equity. However, Company HD has the higher total debt to total capital ratio. Which of the following statements is CORRECT?
A) Company HD has a higher assets turnover than company LDB) Company HD has a higher return on equity than company LDC) None of the other statements are correct because the information provided on the question is not enoughD) Company HD has lower total assets turnover than company LDE) Company HD has a lower operating income (EBIT) than company LD

Answers

Answer:

Companies HD and LD

Since Company HD has the higher total debt to total capital ratio, the statement that is CORRECT is:

B) Company HD has a higher return on equity than company LD.

Explanation:

Return on Equity (ROE) is a financial measure of how well a company's management deploys shareholders' capital.  A higher ROE can be a result of high financial leverage, meaning that more debt than equity is being used to generate the returns.  Note that too much leverage poses solvency risks.

Feldpausch Corporation has provided the following data from its activity-based costing system: Activity Cost Pool Total Cost Total Activity Assembly $ 1,398,250 65,800 machine-hours Processing orders $ 69,451 2,520 orders Inspection $ 184,800 2,400 inspection-hours The company makes 920 units of product W26B a year, requiring a total of 1,290 machine-hours, 61 orders, and 40 inspection-hours per year. The product's direct materials cost is $57.55 per unit and its direct labor cost is $13.56 per unit. The product sells for $123.50 per unit. According to the activity-based costing system, the product margin for product W26B is:

Answers

Answer:

$16,125.15

Explanation:

DATA:

Activity Cost Pool       Total Cost           Total Activity

Assembly                   $1,398,250           65,800 machine hours

Processing orders      $ 69,451              2,520 orders

Inspection                   $ 184,800             2,400 inspection-hours

Units produced = 920

Machine hours required = 1290

Processing orders required= 61

Inspection hours required = 40

Direct material cost = 57.55

Direct labor cost = 13.56 per unit

Selling price = 123.50

Solution

Sales Revenue (920 ×$123.5)                                   $113,620

LESS: Costs  

Direct Materials (920 × $57.55)                                $52,946

Direct labor (920 ×$13.56)                                        $12,375.2  

Assembly (1,398,250/65,800) = 21.25 × 1290=       $27412.5  

Processing (69,451/2,520) = 27.55 × 61 =               $1681.15

Inspection (184,800/2,400) = 77 x 40 =                   $3080        

Total Cost                                                               ($97494.65)      

Product margin                                                         $16,125.15

Jorgansen Lighting, Inc., manufactures heavy-duty street lighting systems for municipalities. The company uses variable costing for internal management reports and absorption costing for external reports to shareholders, creditors, and the government. The company has provided the following data: Year 1 Year 2 Year 3 Inventories Beginning (units) 210 150 200 Ending (units) 150 200 240 Variable costing net operating income $290,000 $279,000 $260,000 The company’s fixed manufacturing overhead per unit was constant at $550 for all three years. rev: 03_09_2019_QC_CS-162392 Required: 1. Calculate each year’s absorption costing net operating income.

Answers

Answer and Explanation:

The computation of each year’s absorption costing net operating income is shown below:-

Particulars                         Year 1           Year 2          Year 3

Beginning inventories       210             150                  200

Less: Ending inventories   150             200                  240

Change in inventories       60               -50                  -40

Fixed Manufacturing Overhead

Beginning Inventory       $115,500      $82,500        $110,000

                             ($550 × 210) ($550 × 150) ($550 × 200)

Less: Fixed Manufacturing

Overhead in ending

inventory                          $82,500     $110,000         $132,000

                             ($550 × 150) ($550 × 200) ($550 × 240)

Fixed Manufacturing

Overhead deferred

in (released from)

inventory                         $33,000     -$27,500         -$22,000

Variable Costing

net Operating

income                             $290,000   $279,000      $260,000

Add (deduct) Fixed MOH cost

deferred in (released from)

inventory under absorption

costing                              -$33,000     +$27,500         +$22,000

Absorption costing net

operating income             $257,000  $306,500         $282,000

Operating Cash Flow The financial staff of Cairn Communications has identified the following information for the first year of the roll-out of its new proposed service: Projected sales $25 million Operating costs (not including depreciation) $7 million Depreciation $6 million Interest expense $5 million The company faces a 35% tax rate. What is the project's operating cash flow for the first year (t = 1)? Write out your answer completely. For example, 2 million should be entered as 2,000,000.

Answers

Answer: $13,800,000

Explanation:

Operating Cashflow for the year = EBIT * (1 - tax rate) + Depreciation.

Earnings before Interest and Tax (EBIT) = Revenue - Operating Costs - Depreciation

= 25 - 7 - 6

= $12 million

Operating Cashflow = 12 * ( 1 - 35%) + 6

= 12 * 65% + 6

= $13.8 million

= $13,800,000

Equipment was purchased for $300,000. Freight charges amounted to $14,000 and there was a cost of $40,000 for building a foundation and installing the equipment. It is estimated that the equipment will have a $60,000 salvage value at the end of its 5-year useful life. Depreciation expense each year using the straight-line method will be:________. a. $70,800 b. $58,800 c. $49,200 d. $48,000

Answers

Answer:

b)

Annual Depreciation expense= $58,800

Explanation:

According to International Accounting standards(IAS) 16 property plan and equipment (PPE), the cost of an asset is the purchase cost plus other costs of bringing it to the intended working conditions.

So we will add the purchase cost to installation  , freight charges.

Cost of assets = 300,000 + 14,000 + 40,000 =$354,000

Annual depreciation = (Cost - Scrap Value)/ Number of years

                                   = (354,000 - 60,000)/5

                                 =$58,800

Annual Depreciation expense= $58,800

Yehti Manufacturing (A). Dual classes of common stock are common in a number of countries. Assume that Yehti Manufacturing has the following capital structure at book value. The A-shares have ten votes per share and the B-shares have one vote per share.
Local Currency (millions) Yehti Manufacturing 196 304 170 430 1,100 Long-term debt Retained earnings Paid-in common stock: 1.7 million A-shares Paid-i n common stock: 4.3 million B-shares Total long-term capital a. What proportion of the total long-term capital has been raised by A-shares?
a. What proportion of the total long-term capital has been raised by A-shares? The proportion of the total long-term capital that has been raised by A-shares is %. (Round to two decimal places.)
b. What proportion of voting rights is represented by A-shares? The proportion of voting rights represented by A-shares is | %. (Round to two decimal places.)
c. What proportion of the dividends should the A-shares receive? The proportion of the dividends that A-shares should receive is | %. (Round to two decimal places.)

Answers

Answer:

yes

Explanation:

The Corporation applies manufacturing overhead on the basis of machine-hours. The predetermined overhead rate is $14 per machine-hour. What amount wou

Answers

Question

The question is incomplete, hence the tutor added a piece of information

The Corporation applies manufacturing overhead on the basis of machine-hours. The predetermined overhead rate is $14 per machine-hour. What amount would be

Assuming the actual machine hours worked is 3,500

Note the actual machine was added by the tutor

Answer:

Applied overhead =$49,000

Explanation:

Overheads are charged to units produced by the means of an estimated overhead absorption rate. This rate is computed using budgeted overhead and budgeted activity level.  

Pre-determined overhead absorption rate (POAR) = Budgeted overhead/Budgeted machine hours

The POAR is given as $14 per machine hour

Applied (absorbed) overhead = POAR × Actual machine hours

Applied overhead = $14 ×  3,500 =$49000

Applied overhead =$49,000

Why should a manager in an international business care about the political economy of free trade or about the relative merits of arguments of free trade and protectionism

Answers

Answer:

The answer is explained below

Explanation:

To begin with, the policies that the goverments decide to implement in their countries tend to influece in a huge way the companies decisions and therefore its actions as well. Therefore that as a company manager of an international business he needs to stay very updated about the government policies over the countries where his company works. Moreover, the manager will understand that if there is free trade in a country then there will be no problems for his company to start selling there and obtaining the maximum profits as possible and if there is protectionism then the company will have to deal with the policies that the government implemented there. And that is why that as an international business manager he should really care about the policies of the country's government and if there is free trade of protectionism.

It's important to note that sometimes private solutions to externalities do not work. For example, this occurs when an excessive amount of time or money must be spent for parties to reach an agreement. This describes the problem of .

Answers

In the case when an excessive amount should be spending so this represents the problem of the Transaction cost.

What does a transaction cost?

Transaction cost is the cost that is typically in money or time format. It is the cost involved in the context of time or money when a decision is made or an agreement has been reached.

So according to the given situation, there is an excessive amount of time or money spent on parties so that it could be reached to an agreement

Therefore it represents the transaction cost.

Learn more about cost here: https://brainly.com/question/24468619

Ford Motor Company has issued 8% convertible debentures, convertible at a 10:1 ratio. Currently the debenture is trading at 94. The stock is trading at $80. What is the conversion price of the stock

Answers

Answer: $100

Explanation:

Sometimes Debt instruments like Debentures and Bonds are convertible to shares in the company.

To calculate the Conversion Price, the following formula is used;

= Par Value / Conversion Ratio

= 1,000/10

= $100

Par value is usually $1,000 for such instruments.

The law of demand states that:________ a. a higher price will lead to increased sales. b. consumers have unlimited demands for a good. c. the price can never be too high for some consumers. d. quantity demanded will vary inversely with the price of the good.

Answers

Answer:

d. quantity demanded will vary inversely with the price of the good.

Explanation:

The law of demand states that when the price of a product increases, the quantity demanded decreases when everything else remains constant as people are less willing to purchase a product when the price is higher. This means that the price and the quantity demanded are inversely related as when one variable increases the other one decreases. According to this, the answer is that the law of demand states that quantity demanded will vary inversely with the price of the good.

The other answers are not right because the law of demand states that the price and the quantity demanded of a good are inversely related, it doesn't refer to the price and sales, consumers don't have unlimited demands for a good as it is affected by the price and the price can be too high for some consumers as when the price increases, the quantity demanded decreases.

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