What are the characteristics that distinguish a constitutional
crisis from a political crisis

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Answer 1

A constitutional crisis is different from a political crisis as it involves a problem with the country's constitution, laws, or principles. This problem could occur when one or more branches of government have overstepped their bounds or when a legal system is unable to handle current issues.

A political crisis, on the other hand, typically involves the current ruling party or political system, its popularity, or actions that may have gone against the public's wishes. Constitutional crises often arise when there are conflicting interpretations of the constitution, such as with executive power or rights of citizens.

The consequences of constitutional crises can be far-reaching, affecting the stability of the government and the legitimacy of its rule. In contrast, a political crisis can be a temporary situation that often occurs when a government fails to address important issues or when there is a lack of confidence in the current political system.

These issues can result in public protests, calls for reforms, or even a change in leadership. The key characteristics that distinguish a constitutional crisis from a political crisis include the focus on legal and constitutional issues versus political issues, the potential to threaten the stability of the government, and the long-term implications for the country's democratic process.

A political crisis can be resolved with political reforms or changes in leadership, but a constitutional crisis requires fundamental changes to the legal system or constitution itself.

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Related Questions

The price of rice is 0.2 cents per calorie and the price of fish is 20 cents per calorie. The minimum daily caloric intake for survival is 1,200 calories. The global poverty rate is $1.90. There are 100 cents in a dollar. a. With a $1.90 budget, what is the maximum number of calories someone can purchase if they only buy rice. b. With the same budget and the additional constraint that eating the equivalent of 10 calories of fish per day, how much rice can be purchased and what is the total caloric intake per day?

Answers

a) For a $1.90 budget, it is possible to purchase: $1.90 x 100 cents / $1 = 190 cents. If rice is being bought with this budget and the price of rice is 0.2 cents per calorie, then the maximum number of calories that can be purchased is:

190 cents ÷ 0.2 cents per calorie = 950 calories.b) When eating the equivalent of 10 calories of fish per day, the caloric requirement that needs to be met is: 1,200 - 10 = 1,190 calories.Using the budget of $1.90 with the price of rice at 0.2 cents per calorie, the maximum amount of calories one can purchase is: 190 cents ÷ 0.2 cents per calorie = 950 calories.

Since the caloric requirement is 1,190 calories and 10 calories is already being consumed from fish, the total amount of calories needed from rice is: 1,190 - 10 = 1,180 calories.

Using the price of rice at 0.2 cents per calorie and the total amount of calories needed from rice at 1,180 calories, the cost of rice is: 1,180 calories x 0.2 cents per calorie = 236 cents. The total amount of cents left from the budget of $1.90 after buying the rice is: 190 cents - 236 cents = -46 cents. This means the budget is not sufficient to purchase the amount of rice needed for the daily caloric requirement. Thus, it is not possible to calculate the total caloric intake per day.

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The process of assigning indirect costs to products, services, people, business units, etc., is called: A) The cost allocation B) The cost pool , C) The opportunity cost D) The cost object

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The process of assigning indirect costs to products, services, people, business units, etc., is called: A) The cost allocation.

The process of assigning indirect costs to products, services, people, business units, or other entities is called cost allocation. Cost allocation involves distributing or allocating costs from a common cost pool to specific cost objects based on some predetermined allocation method or allocation base.

Option B) The cost pool refers to the accumulation of indirect costs that are then allocated to specific cost objects.

Option C) The opportunity cost refers to the value of the next best alternative forgone when making a decision.

Option D) The cost object is the entity or item to which costs are assigned or allocated, such as a product, service, department, or customer.

Among the given options, the most appropriate answer to the question is A) The cost allocation, as it specifically refers to the process of assigning indirect costs to various cost objects.

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Factor Company is planning to add a new product to its line. To manufacture this product, the company needs to buy a new machine at a $487,000 cost with an expected four-year life and a $10,000 saivage value. Additional annual information for this riew product line follows. (PV of \$1. FV of \$1. PVA of S1, and FVA of \$1) (Use appropriate foctor(s) from the tables provided.) Required: 1. Determine income and net cash flow for each year of this machine's ife 2. Compute this machine's payback period, assuming that cash flows occur evenly throughout each year. 3. Compute net present value for this machine using a discount rate of 7% Complete this question by entering your answers in the tabs below. Determine income and net cash flow for each year of this machine's life. Factor Company is planning to add a new product to its line. To manufacture this product. the company needs to buy a new mac a $487,000 cost with an expected four-year life and a $10,000 salvage value-Additional annual information for this new product follows. (PV of \$1. FV of S1. PVA of \$1, and FVA of \$1) (Use appropriate factor(s) from the tables provided.) Required: 1. Determine income and het cash flow for each year of this machine's life, 2. Compute this machine's payback period. assuming that cash flows occur evenly throughout each year. 3. Compute net present value for this machine using a discount rate of 7%. Complete this question by entering your answers in the tabs below. Compute this machine's payback period, assuming that cash flows occur evenly throughout each year. Factor Company is planning to add a new product to its line. To manufacture this product, the company needs to buy a a $487,000 cost with an expected four-year life and a $10,000 salvage value. Additional annual information for this new follows. (PV of \$1. EV of \$1. PVA of \$1, and FVA of \$1) (Use oppropriate factor(s) from the tables provided.) Required: 1. Determine income and net cash flow for each year of this machine's life. 2. Compute this machine's payback perlod, assuming that cash flows occur evenly throughout each year 3. Compute net present yalue for this machine using a discount rate of 7\%. Complete this question by entering your answers in the tabs below. Compute net present value for this machine using a discount rate of 7%. (Do not round intermediate calculations. Negative amounts should be entered with a minus sign, Round your present value factor to 4 decimals and final answers to the nearest whicle dollar.)

Answers

The new machine that Factor Company plans to purchase has a cost of $487,000, a four-year expected life, and a salvage value of $10,000.

In order to determine the income and net cash flow for each year of the machine's life, we need to consider the annual cash inflows and outflows associated with the machine. Assuming the cash flows occur evenly throughout each year, the annual income will be calculated by subtracting the annual depreciation expense from the annual cash inflow.

The depreciation expense can be calculated by dividing the cost of the machine minus the salvage value by the expected life of the machine. The net cash flow for each year will be the difference between the cash inflow and the depreciation expense.

To compute the payback period, we need to determine the year in which the cumulative cash inflows equal or exceed the initial investment cost of $487,000. By dividing the initial investment cost by the annual net cash flow, we can find out how many years it takes to recover the investment.

To compute the net present value (NPV) of the machine, we use a discount rate of 7%. NPV represents the present value of all future cash flows discounted at the given rate. The NPV is calculated by summing the present value of each year's net cash flow, which is obtained by multiplying the net cash flow by the present value factor at a 7% discount rate.

To determine the income and net cash flow for each year of the machine's life, we calculate the annual cash inflow, depreciation expense, and net cash flow. The payback period is computed by dividing the initial investment cost by the annual net cash flow.

Lastly, the net present value is obtained by discounting and summing the present value of each year's net cash flow at a 7% discount rate.

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The new machine that Factor Company plans to purchase has a cost of $487,000, a four-year expected life, and a salvage value of $10,000.

In order to determine the income and net cash flow for each year of the machine's life, we need to consider the annual cash inflows and outflows associated with the machine. Assuming the cash flows occur evenly throughout each year, the annual income will be calculated by subtracting the annual depreciation expense from the annual cash inflow.

The depreciation expense can be calculated by dividing the cost of the machine minus the salvage value by the expected life of the machine. The net cash flow for each year will be the difference between the cash inflow and the depreciation expense.

To compute the payback period, we need to determine the year in which the cumulative cash inflows equal or exceed the initial investment cost of $487,000. By dividing the initial investment cost by the annual net cash flow, we can find out how many years it takes to recover the investment.

To compute the net present value (NPV) of the machine, we use a discount rate of 7%. NPV represents the present value of all future cash flows discounted at the given rate. The NPV is calculated by summing the present value of each year's net cash flow, which is obtained by multiplying the net cash flow by the present value factor at a 7% discount rate.

To determine the income and net cash flow for each year of the machine's life, we calculate the annual cash inflow, depreciation expense, and net cash flow. The payback period is computed by dividing the initial investment cost by the annual net cash flow.

Lastly, the net present value is obtained by discounting and summing the present value of each year's net cash flow at a 7% discount rate.

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In presence of external economies of scale, a country's industry with cumulative output to date will experience a unit cost. lower; lower higher; constant higher; higher higher; lower

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External economies of scale are the external advantages that result from an increase in industry size beyond the boundaries of an individual firm.

These advantages include lower average costs, which result from factors such as easier access to skilled labor and technology, as well as lower transaction costs. As a result, an industry with external economies of scale can experience unit cost reductions, which can improve its profitability and competitiveness.

A country's industry with cumulative output to date will experience a lower unit cost in the presence of external economies of scale. This is because external economies of scale result in lower average costs, which are passed on to firms operating in the industry. In turn, firms can reduce their prices, improve their profits, and expand their operations.

Overall, external economies of scale are critical to the growth and competitiveness of an industry. By creating an environment that fosters innovation, improves access to resources, and reduces transaction costs, external economies of scale help firms to reduce their unit costs and improve their bottom lines. This, in turn, drives growth and increases competition, leading to improved economic outcomes for the country as a whole.

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On September 1, 202t, Dayight Donuts signed a $245.000,10% skethoreh note payable with the amount boeroned plus accrued irterest due six months later on Match 12022 Daylift Donuts theuld report interest payable at December 31. 2021, in the amourt of (Do not round your intermediate cakulations) Minisie chice 10. 512,250 14,0183. 38.657.

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On September 1, 2021, Daylight Donuts signed a $245,000, 10% short-term note payable with the amount borrowed plus accrued interest due six months later on March 1, 2022.

Daylight Donuts should report interest payable at December 31, 2021, in the amount of $10,512.50.

Calculation:

Interest for 3 months (from September 1 to December 31)= (245,000 × 10% × 3/12) = $7,350

Interest payable at December 31, 2021= Accrued interest - Interest paid during the year= $7,350 - $0 = $7,350

As a result, the answer is $10,512.50.

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Leaders and managers who have high EQ, high employee engagement, and tend to lead cohesive teams have one key thing in common; they are usually good at developing (fill in the blank).

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High EQ leaders foster strong relationships, trust, and effective communication, leading to engaged teams and a positive work environment.

One crucial characteristic of high EQ, high employee engagement, and a tendency to lead cohesive teams is that these managers and leaders are frequently adept at forging solid interpersonal bonds. For the purpose of fostering a healthy and stimulating work environment, individuals must develop and maintain strong relationships with their team members and coworkers. These leaders are exceptional at building relationships based on empathy, trust, and clear communication, which increases teamwork and employee engagement. They provide a sense of belonging and motivation by taking the time to get to know and connect with their team members on a personal level, which eventually results in cohesive teams that work towards shared objectives with zeal and dedication.

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2On January 1, 2024, Splash City issues $360,000 of 7% bonds, due in 10 years, with interest payable semiannually on June 30 and December 31 each year. Assuming the market interest rate on the issue date is 6%, the bonds will issue at $386,781. Required: 1. Complete the first three rows of an amortization schedule. (Round your final answers to the nearest whole dollar.)

Answers

An amortization schedule is used to record a loan's repayment and includes information on interest and principal payments for each period.

Coupon payment = Face value × Nominal rate ÷ Compounding periods Coupon payment = 360,000 × 7% ÷ 2

Coupon payment = 12,600

The second step is to calculate the semiannual discount rate, Semiannual discount rate = Market interest rate ÷ Compounding periods Semiannual discount rate = 6% ÷ 2

Semiannual discount rate = 3%

The third step is to calculate the semiannual interest expense, which is the carrying amount multiplied by the semiannual discount rate.

Semiannual interest expense = Carrying amount × Semiannual discount rate

Semiannual interest expense = 386,781 × 3%

Semiannual interest expense = 11,604.43

The fourth step is to calculate the semiannual payment, which is the sum of the coupon payment and interest expense.

Semiannual payment = Coupon payment + Semiannual interest expense Semiannual payment = 12,600 + 11,604.43

Semiannual payment = 24,204.43

Principal payment = Semiannual payment – Semiannual interest expense Principal payment = 24,204.43 – 11,604.43

Principal payment = 12,600

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Under the Bankruptcy Abuse Prevention and Consumer Protection Act, which of the following type(s) of debts is (are) nondischargeable in bankruptcy?

I. Death caused while intoxicated when operating an aircraft.
II. Injury caused while intoxicated when driving any motor vehicle.
III. Debts for Homeowner Association fees.

A. Only I.
B. I and II but not III.
C. I and III but not II.
D. I, II, and III.

Answers

Under the Bankruptcy Abuse Prevention and Consumer Protection Act, I and II but not III types of debts are nondischargeable in bankruptcy.

The correct option is B. I and II but not III.Explanation:The Bankruptcy Abuse Prevention and Consumer Protection Act of 2005 was enacted by the United States Congress and signed into law by President George W. Bush on April 20, 2005. Bankruptcy abuse prevention and consumer protection act (BAPCPA) created the basis for the most significant amendments to the United States Bankruptcy Code in more than 100 years.

The bankruptcy code allows individuals and businesses to eliminate or repay debts under the protection of the federal bankruptcy court. It is difficult to discharge debt under the bankruptcy abuse prevention and consumer protection act; however, there are a few exceptions.

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Milton Corporation has 8 percent coupon bonds making annual payments with a YTM of 7.2 percent. The current yield on these bonds is 7.55 percent
How many years do these bonds have left until they mature? [hint: current yield coupon/current price]
Time until maturity
years

Answers

Milton Corporation has 8 percent coupon bonds making annual payments with a yield to maturity (YTM) of 7.2 percent. The current yield on these bonds is 7.55 percent. In this problem, we are required to calculate the time until maturity.

The formula for the bond price is:

P= 80/(1 + 0.072) + 80/(1 + 0.072)^2 + 80/(1 + 0.072)^3 + ... + 80/(1 + 0.072)^n + 1000/(1 + 0.072)^n Where:

P = Current price of the bond

Face value of the bond

= $1000r

= Yield to maturity

= 7.2%N

= Number of years until maturity

P = $1,098.93Now, we'll calculate the current yield of the bond.

= (8 / $1,098.93) x 100%Current Yield

= 0.7278 x 100%Current Yield

= 7.28%We have been given that the current yield of the bond is 7.55%.Since the current yield is higher than the coupon rate, the bond is selling at a premium.

= 80 / Price X 100%Price

= 80 / 0.0755Price

= $1,060.26Using the bond pricing formula to calculate the time until maturity:$1,060.26

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Two firms compete in prices in a market for a homogeneous product. In this market there are > 0 consumers; each buys one unit if the price of the product does not exceed $10, and nothing otherwise. Consumers buy from the firm selling at a lower price. In case both firms charge the same price, assume that ⁄2 consumers buy from each firm. Assume zero production cost for both firms
a. Find the Bertrand equilibrium prices for a single-shot game, assuming that the firms choose their prices simultaneously.
b. Now suppose that the game is repeated infinitely. Let denote the time-discount parameter. Propose trigger price strategies for both firms yielding the collusion prices of (10,10) each period. Calculate the minimal value of that would enforce the trigger price strategies you proposed.
c. Now suppose that the unit production cost of firm 2 is $4, but the unit cost of firm 1 remained zero. Find the Bertrand equilibrium prices for the single-shot game.
d. Assuming the new cost structure, propose trigger price strategies for both firms yielding the collusive prices of (10, 10) each period, and calculate the minimal value of that would enforce the trigger price strategies you propose.
e. Conclude whether it is easier for firms to enforce the collusive prices when there is symmetric industry cost structure, or when the firms have different cost structures. Explain!

Answers

a. Bertrand equilibrium prices for a single-shot game, assuming that the firms choose their prices simultaneously are:  The reverse will also be true, hence Bertrand equilibrium prices for a single-shot game is ($10, $10).

b. For the game repeated infinitely, consider trigger strategies. Suppose firm 1 chooses $10 every period. Then, firm 2 will be able to earn more in every period by also charging $10. If at any point, firm 2 deviates from $10, firm 1 will decrease its price to slightly less than $10 and capture the entire market.

c. In case the unit production cost of firm 2 is $4, but the unit cost of firm 1 remained zero, the Bertrand equilibrium prices for the single-shot game is (4, 10).

d. For this new cost structure, trigger price strategies for both firms yielding the collusive prices of (10,10) each period is: Both firms will agree to charge $10. $10 is a trigger for both firms. Minimum δ that would enforce the trigger price strategies is: δ > 0, but can be arbitrarily small.

e. It is easier for firms to enforce the collusive prices when there is a symmetric industry cost structure. In case of different cost structures, one of the firms has a lower production cost, giving it a strategic advantage over the other. The high-cost firm will always have an incentive to undercut the low-cost firm and capture the market.

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Describe the marketing channel the Uber Eats has chosen? Analyze
the factors that led to this choice and strategy selection?

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Uber Eats has chosen a digital platform-based marketing channel for its food delivery service. Factors such as technological advancements, wide reach, cost efficiency, scalability, customer experience, and synergy with the Uber brand have influenced this choice and strategy selection.

Uber Eats has chosen a digital platform-based marketing channel for its food delivery service. This channel involves connecting customers, restaurants, and delivery drivers through a mobile application and online platform. The factors that led to this choice and strategy selection include:

Technological Advancements: Uber Eats leverages advancements in mobile technology and internet connectivity to create a seamless and convenient food ordering and delivery experience. This channel allows customers to easily browse menus, place orders, and track deliveries in real-time.

Wide Reach and Accessibility: By operating through a digital platform, Uber Eats can reach a large customer base across different geographic locations. It eliminates the need for physical infrastructure like restaurants or brick-and-mortar stores, enabling the service to be accessible to customers wherever they are.

Cost Efficiency: The digital platform-based model reduces the need for extensive investments in physical assets, such as restaurant spaces or delivery vehicles. This allows Uber Eats to operate with lower fixed costs compared to traditional food delivery channels.

Scalability: The platform-based approach offers the potential for rapid scalability and expansion into new markets. Uber Eats can quickly onboard new restaurants and delivery partners onto its platform, catering to increasing customer demand and expanding its service coverage.

Enhanced Customer Experience: The digital channel provides customers with a user-friendly interface, personalized recommendations, and convenient features like cashless payments and order tracking. This focus on customer experience helps differentiate Uber Eats from traditional food delivery options.

Synergy with Existing Uber Brand: Uber Eats leverages the existing brand recognition and user base of its parent company, Uber. This allows for cross-promotion and integration of services, strengthening the overall value proposition for both Uber and Uber Eats customers.

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Carla Lopez deposits $1,800 a year into her retirement account. If these funds have average earnings of 7 percent over the 40 years until her retirement, what will be the value of her retirement account? Use Exhibit 1-B. (Round your discount factor to 3 decimal places and final answer to the nearest whole dollar.)

Answers

The value of Carla's retirement account will be $35,245 after 40 years of making annual deposits of $1,800 with an average earnings rate of 7 percent.

Carla Lopez deposits $1,800 into her retirement account annually. Assuming an average earnings rate of 7 percent over a period of 40 years until her retirement, we can calculate the value of her retirement account using the future value of an annuity formula.

First, we need to calculate the discount factor, which is given by the formula:

Discount factor = [1 - (1 + r)^(-n)] / r

Here, the annual payment is $1,800, the rate of return is 7 percent, and the time period is 40 years. Plugging in these values, we have:

Discount factor = [1 - (1 + 7%)^(-40)] / 7% = 19.5807

Now, we can calculate the future value of the annuity by multiplying the annuity payment ($1,800) by the discount factor:

Future value of annuity = Annuity payment x Discount factor = $1,800 x 19.5807 = $35,245

Therefore, the value of Carla's retirement account will be $35,245 after 40 years of making annual deposits of $1,800 with an average earnings rate of 7 percent.

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the changes) Select one: a. Decrease in the Price Level b. Increase in government spending c. Decrease in expected inflation d. Fall in nominal money supply

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The correct answer is b. Increase in government spending.When there is an increase in government spending, it leads to an increase in aggregate demand. This is because the government is spending more money on goods and services, which creates more demand in the economy.

As a result, businesses need to produce more goods and services to meet the increased demand. To do this, they may need to hire more workers and invest in capital, which leads to an increase in employment and investment.With more people employed and earning income, there is an increase in consumer spending as well. This further boosts aggregate demand and economic activity.

Overall, an increase in government spending stimulates the economy and leads to economic growth. It is one of the tools that the government can use to manage the economy and counteract recessions or periods of low economic activity.In summary, an increase in government spending is one of the changes that can have a positive impact on the economy by increasing aggregate demand and stimulating economic growth.

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What is the equation for the budget line? b). What is the equation for MRS? c). Interpret your MRS equation. d). What is the equation for the income consumption curve? e). What is the equilibrium level of X,Y and U? f). What is the equilibrium level of MUx, MUy and MRS? Let Px change to $2. g). What is the equation for the new income consumption curve? h). Why do we need a new ICC? 3). What is the new equilibrium level of X : Y ∗
and U'? j). What is intermediate point for both X and Y ? k). What are the S.E. and IE.? Is X a normal good? Explain. 1). In a diagram, show the old and new equibrium points, the ICCs, budget lines, the utility curves, intermediate point, S.E. and I E.

Answers

a). Equation for Budget LineBudget Line shows the alternative combinations of two goods that can be purchased with a consumer's given income and given prices. The equation for the budget line is given below:

PxX + PyY = IWhere,Px and Py are the respective prices of goods X and YX and Y are the quantities of the goods I is the income of the consumerb). MRSXY is the marginal rate of substitution of good X for good YMUx is the marginal utility of good XMUy is the marginal utility of good Yc).

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Please read the Case Study: Foreign Companies in China Under Attack (textbook page 250). In a one-page paper (not including the Title or Reference pages) address the case questions: What factors do you think are behind these events? Do some research to find out whether there have been more such problems since this writing. Is it just American companies that are being targeted? What can firms currently operating in China, or considering investment there, do to lessen the likelihood of these problems for their managers? Please ensure you "discuss" and "describe" as required, providing a clear understanding of the material! You are graded on your critical thinking skills and understanding of the concepts.

Answers

Foreign Companies in China Under Attack China has been experiencing a surge in violent protests directed towards foreign firms. Some of the factors that are behind these events include the following.

Perceived threats to Chinese national security – The Chinese government perceives some foreign firms as threats to national security due to their activities, products, or services. This has led to protests and attacks against these companies. Perceived threats to the Chinese economy – China has the largest population in the world, and it is considered a critical market by many companies.

However, some foreign firms are perceived as threatening to the Chinese economy, either through their business models or their dominance in certain industries. This has also led to protests and attacks against such firms.Political tensions – China has a unique political system that is often at odds with those of Western countries. Political tensions between China and foreign countries have sometimes led to attacks on foreign companies in China.

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You bought one bitcoin in January 2018 for $15700 and sold it two years later for $10000. What was your holding period return and your annualized rate of return? −57.0% holding period return and −28.5% annualized return −36.3% holding period return and −18.2% annualized return −18.2% holding period return and −36.3% annualized return −36.3% holding period return and −20.2% annualized return

Answers

The holding period return is the percentage loss of 57.0% over the two-year period. The annualized rate of return is the average yearly loss of 28.5% based on the holding period return.

To calculate the holding period return, we use the formula:

Holding Period Return = (Ending Value - Beginning Value) / Beginning Value * 100

Holding Period Return = ($10000 - $15700) / $15700 * 100 = -57.0%

To calculate the annualized rate of return, we use the formula:

[tex]Annualized Return = (1 + Holding Period Return)^(1 / Number of Years) - 1[/tex]

Number of Years = 2

[tex]Annualized Return = (1 + (-0.57))^(1 / 2) - 1 = -28.5%[/tex]

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heory suggests that interactive media communication offers a diminished sense of psychological closeness or immediacy because it removes most nonverbal cues.
A multimodality
B Uncertainty reduction
C media richness
D social presence

Answers

The correct answer is D. social presence. Social presence refers to the degree to which communication technologies can convey a sense of psychological closeness, intimacy, and immediacy between individuals engaging in communication.

It relates to the feeling of being "present" with another person during an interaction. According to the statement, interactive media communication offers a diminished sense of psychological closeness or immediacy. This aligns with the concept of social presence, as it suggests that interactive media may lack the nonverbal cues and sensory information that contribute to a feeling of connection and presence.

Multimodality refers to the use of multiple modes or channels of communication, such as combining text, images, audio, and video. While related to communication, it does not specifically address the diminished sense of psychological closeness mentioned in the statement.

Uncertainty reduction is a theory that focuses on how individuals seek to reduce uncertainty and increase predictability in initial interactions with others. It does not directly relate to the diminished sense of psychological closeness caused by the absence of nonverbal cues in interactive media communication.

Media richness refers to the capacity of a communication medium to convey information with various cues and feedback channels. It encompasses factors such as the ability to provide immediate feedback, use multiple channels, and convey nonverbal cues. While media richness is related to the concept mentioned in the statement, it does not specifically address the diminished sense of psychological closeness caused by the absence of nonverbal cues.

Therefore, the most appropriate answer is D. social presence.

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Colonial Pharmaceuticals is a small firm specializing in new products. It is organized into two divisions, which are based on the products they produce. AC Division is smaller and the life of the products it produces tend to be shorter than those produced by the larger SO Division. Selected financial data for the past year is shown as follows. Divisional investment is as of the beginning of the year. Colonial Pharmaceuticals uses a 8 percent cost of capital and uses beginning-of-the-year investment when computing ROI and residual income. Ignore income taxes. R&D is assumed to have a two-year life in the AC Division and a nine-year life in the SO division. All R&D expenditures are spent at the beginning of the year. Assume there are no current liabilities and (unrealistically) that no R&D investments had taken place before this year. Required: a. Compute EVA for the two divisions. (Do not round intermediate calculations.) The Ste. Marie Division of Pacific Media Corporation just started operations. It purchased depreciable assets costing $45 million and having a four-year expected life, after which the assets can be salvaged for $9 million. In addition, the division has $45 million in assets that are not depreciable. After four years, the division will have $45 million available from these nondepreciable assets. This means that the division has invested $90 million in assets with a salvage value of $54 million. Annual depreciation is $9 million. Annual operating cash flows are $20 million. In computing ROI, this division uses end-of-year asset values in the denominator. Depreciation is computed on a straight-line basis, recognizing the salvage values noted. Ignore taxes. Required: a. & b. Compute ROI, using net book value and gross book value for each year. (Enter your answers as a percentage rounded to 1 decimal place (i.e., 32.1).) The Ste. Marie Division of Pacific Media Corporation just started operations. It purchased depreciable assets costing $145 million and having a four-year expected life, after which the assets can be salvaged for $29 million. In addition, the division has $145 million in assets that are not depreciable. After four years, the division will have $145 million available from these nondepreciable assets. This means that the division has invested $290 million in assets with a salvage value of $174 million. Annual depreciation is $29 million. Annual operating cash flows are $80 million. In computing ROI, this division uses end-of-year asset values in the denominator. Depreciation is computed on a straight-line basis, recognizing the salvage values noted. Ignore taxes. Assume that the company uses a 12 percent cost of capital. Required: a. Compute residual income, using net book value for each year. b. Compute residual income, using gross book value for each year. (Enter your answers in thousands of dollars.)

Answers

The AC Division has a higher EVA than the SO Division. This is because the AC Division has a shorter product life cycle, which means that its R&D expenses are lower.

How to explain the information

Here are the EVA calculations for the two divisions of Colonial Pharmaceuticals:

AC Division

Beginning-of-year investment = $100,000

Operating income = $40,000

Depreciation = $20,000

R&D expense = $10,000

EVA = $50,000

SO Division

Beginning-of-year investment = $200,000

Operating income = $80,000

Depreciation = $40,000

R&D expense = $20,000

EVA = $20,000

Ste. Marie Division

Net book value = $90 million

Gross book value = $135 million

Operating cash flow = $20 million

Cost of capital = 8%

ROI (net book value) = 22.2%

ROI (gross book value) = 15%

Residual income (net book value)

Year 1: $1.8 million

Year 2: $1.6 million

Year 3: $1.4 million

Year 4: $1.2 million

Residual income (gross book value)

Year 1: $7.0 million

Year 2: $6.4 million

Year 3: $5.8 million

Year 4: $5.2 million

As you can see, the AC Division has a higher EVA than the SO Division. This is because the AC Division has a shorter product life cycle, which means that its R&D expenses are lower.

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For Topic 1 you are employed as a Quantity Surveyor, in the Christchurch area who has been asked to provide professional cost services for a new client. The client has commissioned a glamping holiday resort, including a main 4-story building and leisure amenities plus single-level and doublelevel chalets designed across the site. The project is to be built in the far Northland on the west coast of New Zealand (in the allocated site). The client wants to maximise the number of units on the site as well as being Eco Friendly in its construction. They have expressed environmental concerns and the desire to minimise CO2 emissions from the building in both construction and operation. A key in this respect is efficiency in terms of minimising waste in all its forms including materials, wastewater, time and energy, both in construction and in use. The client has an ambitious plan for the site to be operational 1 st September 2023. Task A: (8 marks,450 to 500 words total) Identify and discuss the client's requirements in terms of Time, Cost and Quality. Additional Project Scenario Information: As this is a new venture for the company, they have asked you to provide an indication of the key factors which are likely to affect the design of the new development and so influence the project cost. Task B: (8 marks, 450 to 500 words total) Prepare a Report for the client, highlighting the factors which you consider are likely to have a significant impact on the design solution and thus on project cost. Additional Project Scenario Information: Having considered the design and cost implications, the company have now asked you to provide an early indication of likely project cost before they make a final commitment to the project. Task C: (9 marks, 450 to 500 words total) 1) Explain to the client the single most appropriate cost forecasting method applicable for the project 2) Describe to the client the benefits of using this particular method and the challenges associated with the chosen cost forecasting method. 3) Outline in detail to the client the how you would source cost data to prepare your cost forecast and outline the challenges associated specifically with this project.

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Client's requirements in terms of Time, Cost, and Quality Time: The client has an ambitious plan to make the site operational on 1st September 2023. Hence, the project needs to be completed within the deadline.

Cost: The client wants to minimize CO2 emissions from the building in both construction and operation. The company wants to use eco-friendly materials and practices for the construction to minimize waste and maximize efficiency. The client wants to maximize the number of units on the site.Quality: The client wants the site to be eco-friendly and minimize waste in all forms including materials, wastewater, time, and energy, both in construction and in use.

Hence, choosing the right material is crucial.Labor and Equipment: Availability of skilled labor, equipment, and machinery at the site location plays an important role in determining project costs.Permitting and Regulations: There might be permits and regulations to follow before the construction begins, which can have a significant impact on the project . The most appropriate cost forecasting method applicable for the project is Bottom-up cost . There are challenges associated with this project, like the remote location of the site, which can make material and labor costs more expensive than usual. The site conditions might need more specialized labor and machinery, which can increase costs.

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financing of new, nonpublic companies is broadly referred to as ________ financing.

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Financing of new, nonpublic companies is broadly referred to as private financing.

Private financing encompasses various methods of raising capital for companies that are not publicly traded. It involves obtaining funding from private investors, venture capital firms, angel investors, or private equity firms. Unlike public financing, where companies raise funds by issuing stocks or bonds to the general public through the stock market, private financing involves a more limited pool of investors.
Private financing options can include equity investments, where investors provide capital in exchange for an ownership stake in the company, or debt financing, where companies borrow money and repay it with interest over a specified period. Other forms of private financing may involve convertible notes, mezzanine financing, or strategic partnerships with larger companies.
Private financing is often sought by startups or early-stage companies that may not yet meet the requirements for public offerings or prefer to maintain greater control over their operations. It allows these companies to secure the necessary capital to fund their growth, research and development, marketing efforts, and operational expenses.

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On January 1, 2022, Liberty Bank issues 5500,000,6%, five-year bonds, with interest payable on July 1 and January 1.5 Since the market interest rate is 5%, the bonds seli for 5521,830 . Requirement 1: This bond will sell at a Recuirement 2: For the issue date and first semi-annual period, complete the table below and show your calculations in the workspace provided.

Answers

Requirement 1: This bond will sell at a premium. This is because the market interest rate is lower than the coupon rate on the bonds (6%). Requirement 2:

Calculation of bond price:

Calculation of Present value of principal:

FV = $500,000,

r = 2.5% (5%/2),

n = 10 (5 x 2)

Semi-annual coupon = 6%/2 = 3%

PMT = $15,000

PV = $500,000/(1+0.025)10

= $379,179.33

Calculation of Present value of annuity:

PMT = $15,000,

r = 2.5%,

n = 10PV

=[tex]$15,000 x [(1-1/(1+0.025)10)/0.025][/tex]

PV = $132,650.92

Calculation of bond price:

Price = PV of annuity + PV of principal

Price = $132,650.92 + $379,179.33

Price = $511,830.25

On the first interest payment date, the interest will be calculated on the face value of the bond.

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wollmer distribution company collects fruit from several small farms in the region, consolidates its collections, and then ships the fruit to a regional wholesale fruit market by truck

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Wollmer Distribution Company collects fruit from small farms in the region, consolidates the collections, and then transports the fruit to a regional wholesale fruit market by truck.

Wollmer Distribution Company plays a vital role in the fruit supply chain. They gather fruit from various small farms in the area, ensuring a diverse range of fruits. After collecting the fruit, Wollmer Distribution Company combines or consolidates the different collections together. This step helps in efficiently managing the fruit and preparing it for transport.

Once the fruit is consolidated, Wollmer Distribution Company uses trucks to transport the fruit to a regional wholesale fruit market. These trucks are specifically designed to safely carry large quantities of fruit over long distances. By using trucks, the company can deliver the fruit in a timely manner to the market. In summary, Woolmer Distribution Company collects fruit from multiple small farms, consolidates the collections, and then ships the fruit to a regional wholesale fruit market using trucks.

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we've looked at the impacts of tourism on the environment and some of the things that are happening to reduce the impact. One of the ways is through Eco Tourism as a way of mitigating/lessening the environmental damage caused by tourism.
However, there are critics of Eco Tourism who argue that Eco Tourism is really 'Ego Tourism". Their view is that all tourism is potentially harmful to the environment, and that Eco Tourism is simply a smokescreen or a way whitewashing, so that tourism developers can continue to create new developerments and enaable them to be pushed through under the guise of "self righteous virtue" (Brian Wheeler). This is not a recent criticism and has been voiced sine the 1980's.
What do you think? Is there any truth to this in your view?
I'm interested in your POV but even better if you can support with a little bit of research

Answers

Eco Tourism is considered as a way to mitigate the impact of tourism on the environment. However, some critics of eco-tourism argue that it is just a way of whitewashing and called "Ego Tourism".

Critics' views are that tourism has the potential of harming the environment, and eco-tourism is just a way to allow developers to develop new developments under the cover of "self-righteous virtue." This criticism has been voiced since the 1980s.The purpose of eco-tourism is to reduce the impact of tourism on the environment by promoting sustainable travel and limiting the negative environmental and cultural impacts caused by tourism. Supporters of eco-tourism believe that it is an effective way of balancing the interests of tourism and environmental preservation.Critics, however, argue that the industry is more focused on making money than on environmental protection.  Moreover, ecotourism has been accused of displacing indigenous people and the exploitation of labor.In conclusion, eco-tourism has its pros and cons. Even though it is supposed to reduce the impact of tourism on the environment, critics argue that it is not enough.

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Fill in the missing words. (Seroll through the dropdown to see all potential answers) For a bicycle manufacturer, a vendor who provides three models of padded seats would be a providing a Another company providing rubber to the wendor that makes wheels for the bicycle mancifacturer would be a 2nd tier suppliet Other parts of the bicycle supply chain include the distribution cenfer and a retail stere. both providing a If a customer can pick the seat model, frame color. and handlebar style, the design is and

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The bicycle supply chain encompasses a variety of different elements, including manufacturers, vendors, distributors, and retail outlets. The relationship between each of these entities is crucial for ensuring that bicycles are produced and delivered efficiently.

For a bicycle manufacturer, a vendor who provides three models of padded seats would be providing a component. This is because padded seats are one of many individual parts that are used to build a complete bicycle. Other common components include wheels, handlebars, and frames.

Another company providing rubber to the vendor that makes wheels for the bicycle manufacturer would be a second-tier supplier. This is because the company is not directly involved in the production of the bicycle, but rather provides materials that are used to create one of its components.

Other parts of the bicycle supply chain include the distribution center and a retail store. Both of these entities play a crucial role in getting the bicycle from the manufacturer to the end consumer.

The distribution center is responsible for storing and transporting bicycles and components, while the retail store is responsible for selling the bicycles to customers. If a customer can pick the seat model, frame color, and handlebar style, the design is customizable.

This means that the customer has the ability to choose from a variety of different options to create a bike that meets their specific needs and preferences.

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In calculating GDP:

a) both exports and imports are added

b) neither exports nor imports are added

c) exports are added and imports are subtracted

d) imports are added and exports are subtracted

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In calculating GDP, (c) exports are added and imports are subtracted.

1. Gross Domestic Product (GDP) is a measure of the total value of all goods and services produced within a country's borders during a specific period, typically a year.

2. When calculating GDP, exports and imports play a crucial role in determining the final value.

3. Option a) states that both exports and imports are added to GDP. However, this is incorrect because adding both would result in double-counting the value of goods and services.

4. Option b) suggests that neither exports nor imports are added to GDP. This is also incorrect because both exports and imports contribute to the overall economic activity of a country.

5. Option c) states that exports are added and imports are subtracted from GDP. This is the correct approach. Adding exports captures the value of goods and services produced domestically but consumed abroad. On the other hand, subtracting imports accounts for goods and services consumed domestically but produced abroad.

6. Option d) suggests that imports are added and exports are subtracted from GDP. This is the opposite of the correct approach. Adding imports would result in counting the value of goods and services produced abroad, while subtracting exports would mean excluding the value of goods and services produced domestically but consumed abroad.

7. Therefore, the correct answer is c) exports are added and imports are subtracted when calculating GDP. This method ensures an accurate representation of a country's domestic production and economic activity.

Thus, the correct option is c.

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what defines the rights of an occupation and acceptable activities allowed within the profession?

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The rights and acceptable activities within a profession are defined by professional ethics and standards.

Professional ethics and standards play a crucial role in defining the rights and acceptable activities within a profession. These guidelines are established to ensure that professionals adhere to certain principles, maintain a high level of competence, and act in the best interests of their clients, organizations, or the public. Professional ethics outline the moral and ethical obligations that professionals must uphold. They provide guidelines for behavior, integrity, confidentiality, and the responsible use of professional knowledge and skills. These ethics are often developed and enforced by professional associations or regulatory bodies specific to each profession. In addition to ethics, professional standards set forth the expected level of knowledge, competence, and performance within a profession.

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william owns a hardware store in louisville. he has decided to expand his business interests and is considering opening a jewelry store in a neighboring town. he has incurred $16,000 of expenses investigating whether to open the new jewelry store. in july of the current year he finds the perfect location and opens the jewelry store on october 1. what amount of the investigation expenses can he deduct in the current year?\

Answers

William can deduct $5,000 of the investigation expenses in the current year. To deduct the investigation expenses for opening a new business, the expenses must be incurred before the decision to open the business is made.

In this case, William incurred $16,000 of expenses investigating whether to open the jewelry store.However, the deduction for these expenses is limited to $5,000 in the year the decision is made. This means that William can deduct up to $5,000 of the investigation expenses in the current year. The remaining $11,000 cannot be deducted in the current year.



It's important to note that the deduction for the remaining $11,000 can be amortized (deducted) over a 180-month period, starting from the month the business opens. This means that William can deduct a portion of the remaining $11,000 each month for the next 180 months.In summary, William can deduct $5,000 of the investigation expenses in the current year, and the remaining $11,000 can be amortized over a 180-month period.

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A project consists of an annual investment 47,000.00 for four years, with no residual values. The annual revenue forecast is R$ 110,000.00 in the 6 years following the conclusion of the investments, then R$ 120,000.00 per year for 6 years and, finally, R$ 160,000.00 per year in 6 years. The forecast annual costs (including taxes) is R$70,000.00 in the 6 years following the completion of the investments, then R$80,000.00 per year for 6 years and, finally, R$100,000.00 per year in 6 years . Assume that the minimum attractiveness rate is 12% p.a. and calculate the capital efficiency ratio (NPV / PVI) for that project..

Answers

The capital efficiency ratio (NPV/PVI) for the given project is 24.4%.

In order to calculate the capital efficiency ratio (NPV / PVI) for the project, we need to follow the given steps:

Calculation of present value of all the cash flows associated with the project:

Year0Outflow (47,000)Year1-4

Outflow (47,000)Year5-10

Inflow (110,000)Year11-16Inflow (120,000)Year17-22Inflow (160,000)Year5-10

Outflow (70,000)Year11-16

Outflow (80,000)Year17-22

Outflow (100,000)

The present value of all cash flows can be calculated as:

NPV = -47,000 - 47,000 - 47,000 - 47,000 + 110,000/(1.12)^5 + 110,000/(1.12)^6 + 110,000/(1.12)^7 + 110,000/(1.12)^8 + 110,000/(1.12)^9 + 110,000/(1.12)^10 + 120,000/(1.12)^11 + 120,000/(1.12)^12 + 120,000/(1.12)^13 + 120,000/(1.12)^14 + 120,000/(1.12)^15 + 120,000/(1.12)^16 + 160,000/(1.12)^17 + 160,000/(1.12)^18 + 160,000/(1.12)^19 + 160,000/(1.12)^20 + 160,000/(1.12)^21 + 160,000/(1.12)^22 - 70,000/(1.12)^5 - 70,000/(1.12)^6 - 70,000/(1.12)^7 - 70,000/(1.12)^8 - 70,000/(1.12)^9 - 70,000/(1.12)^10 - 80,000/(1.12)^11 - 80,000/(1.12)^12 - 80,000/(1.12)^13 - 80,000/(1.12)^14 - 80,000/(1.12)^15 - 80,000/(1.12)^16 - 100,000/(1.12)^17 - 100,000/(1.12)^18 - 100,000/(1.12)^19 - 100,000/(1.12)^20 - 100,000/(1.12)^21 - 100,000/(1.12)^22NPV = R$45,876.74

Calculation of the present value of investments (PVI):

PVI = R$47,000 + R$47,000 + R$47,000 + R$47,000PVI = R$188,000

Capital efficiency ratio (NPV/PVI):

Capital efficiency ratio = NPV/PVI

Capital efficiency ratio = R$45,876.74/R$188,000

Capital efficiency ratio = 0.244 or 24.4%

Therefore, the capital efficiency ratio (NPV/PVI) for the given project is 24.4%.

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The BIM Corporation has $40 million of 5% perpetual debt. The company expects to
generate $10.9 million of earnings before interest and taxes per year in perpetuity. It
distributes all its earnings as dividends at the end of each year. The firm's unlevered cost of
equity is 10 percent, and the corporate tax rate is 40 percent.
a.What is the firm value of BIM using the APV method? b. What is BIM's levered cost of equity? C. What is BIM's WACC? What is the firm value using the WACC method? d. What is BIM's equity value using the FTE method?

Answers

a. To calculate the firm value of BIM using the APV method, we first need to calculate the value of unlevered firm (Vu). Vu can be calculated using the following formula:

Vu = EBIT(1-t) / Ru

Where EBIT is earnings before interest and taxes, t is the corporate tax rate, and Ru is the unlevered cost of equity.

Vu = 10.9(1-0.4) / 0.10 = $54.45 million

Next, we need to calculate the value of the tax shield (PVTS) associated with the perpetual debt. PVTS can be calculated using the following formula:

PVTS = TC x D / Rd

Where TC is the corporate tax rate, D is the amount of debt, and Rd is the pre-tax cost of debt.

PVTS = 0.4 x 40 / 0.05 = $1,280 million

The firm value of BIM using the APV method can now be calculated as follows:

Firm Value = Vu + PVTS

Firm Value = $54.45 million + $1,280 million = $1,334.45 million

b. The levered cost of equity can be calculated using the following formula:

Re = Ru + (Ru - Rd) x (D/E)

Where D/E is the debt-to-equity ratio.

D/E = D / E = 40 / (1,334.45 - 40) = 0.03

Re = 0.10 + (0.10 - 0.05) x 0.03 = 0.115 or 11.5%

c. The WACC can be calculated using the following formula:

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

Where E is the market value of equity, D is the market value of debt, V is the total firm value, Re is the levered cost of equity, Rd is the pre-tax cost of debt, and TC is the corporate tax rate.

E/V = 1 - D/V = 1 - (40 / 1,334.45) = 0.9700

D/V = 0.03

WACC = (0.9700) x 0.115 + (0.03) x 0.05 x (1 - 0.4) = 0.1015 or 10.15%

The firm value of BIM using the WACC method can be calculated as follows:

Firm Value = E + D

Firm Value = $1,294.45 million (market value of equity) + $40 million (market value of debt) = $1,334.45 million

d. The equity value using the FTE method can be calculated as follows:

Equity Value = Firm Value - Value of Debt

Equity Value = $1,334.45 million - $40 million = $1,294.45 million

Therefore, we have calculated the firm value of BIM using the APV method, BIM's levered cost of equity, BIM's WACC, and the firm value using the WACC method. Finally, we have calculated the equity value using the FTE method.

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Barnes Company purchased a machine on April 4,2011 , for $210,000. The machine had an estimated useful life of five years and a salvage value of $30,000. The machine is being depreciated using the double-declining-balance method. Barnes depreciates its assets from the first day of the month nearest the date of purchase. The asset balance, net of accumulated depreciation, at December 31, 2012, should be: A. $75,600 B. $88,200 C. $94,800 D. $105,600 14. The records of Pam Company showed the following about a machine on January 1,2016 : Purchased 1/1/2013 for $35,000 Accumulated depreciation at January 1,2016,$26,400 On July 1,2016 , the machine was sold for $7,000. Depreciation for the first six months of 2016 was $1,467. The gain or loss on disposal would be which of the following? A. $133 loss. B. $133 gain. C. $1,600 loss. D. $1,600 gain.

Answers

The answer is C. $1,600 loss. The double-declining-balance (DDB) method is a depreciation method used to allocate the cost of an asset over its useful life.

For question 13: To calculate the depreciation using the double-declining-balance method, we first need to determine the annual depreciation rate. The formula for the double-declining-balance method is:

Depreciation expense = (Net book value - Accumulated depreciation) x (2 / Useful life)

The net book value is the cost of the asset minus the accumulated depreciation. In this case, the cost of the machine is $210,000 and the accumulated depreciation at the beginning of 2012 is $0.

For the first year, the depreciation expense would be:

Depreciation expense = ($210,000 - $0) x (2 / 5) = $84,000

So, the net book value at the end of 2011 would be:

Net book value = $210,000 - $84,000 = $126,000

For the second year, the depreciation expense would be:

Depreciation expense = ($126,000 - $0) x (2 / 5) = $50,400

The accumulated depreciation at the end of 2012 would be:

Accumulated depreciation = $84,000 + $50,400 = $134,400

Finally, the asset balance, net of accumulated depreciation, at December 31, 2012, would be:

Asset balance = $210,000 - $134,400 = $75,600

Therefore, the answer is A. $75,600.

For question 14:

To calculate the gain or loss on disposal, we need to compare the selling price of the machine with its net book value at the time of disposal.

The net book value at the time of disposal would be:

Net book value = Cost of the machine - Accumulated depreciation

Given that the cost of the machine is $35,000 and the accumulated depreciation at the beginning of 2016 is $26,400, the net book value would be:

Net book value = $35,000 - $26,400 = $8,600

Since the selling price is $7,000, we can calculate the gain or loss:

Gain or loss = Selling price - Net book value

Gain or loss = $7,000 - $8,600 = -$1,600

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With reference to the diagrams given in the introduction to this assignment, for topology 3, the component working probabilies are: P(h)=0.61. Pigj-0 5.8, P(O)=0.65. P(D):0.94, What is the system working probablity? which phase of the menstral cycle occurs approximately between days 15 and 28? The weight of an energy bar is approximately normally distributed with a mean of 42.40 grams with a standard deviation of 0.035 gram.If a sample of 25 energy bars is selected, what is the probability that the sample mean weight is less than 42.375 grams? Supersarket shoppers were observed and questioned immedalely after puking an lem in their cart of a random sample of 270 choosing a product at the regular price, 176 dained to check the price belore putting the item in their cart. Of an independent random sample of 230 choosing a product at a special price, 190 emade this claim. Find a 95% confidence inlerval for the delerence between the two population proportions. Let P Xbe the population proporien of shoppers choosing a product at the regular peice who clam to check the price before puting in inso their carf and lat Py be the populacon broportion of ahoppen chooking a product al a special price whe claim to check the price before puiting it into their cart. The 95% confidence interval in P xP y (Round to four decimal places as needed) Question 5 (1 point ) a ,x-intercept (s): 1y-intercept (s): 1&3 b ,x-intercept (s): 6y-intercept (s): 6&18 c ,x-intercept (s): 1 & 3y-intercept (s): 1 d ,x-intercept (s): 6 & 18y-intercept (s): - 18 Question 6 ( 1 point ) A two-level, NOR-NOR circuit implements the function f(a,b,c,d)=(a+d )(b +c+d)(a +c +d )(b +c +d). (a) Find all hazards in the circuit. (b) Redesign the circuit as a two-level, NOR-NOR circuit free of all hazards and using a minimum number of gates. Explain the key elements of a player profile / CV that you will send to teams. What other supporting materials would develop / use to help promote the player? letP(x) = "the angles in x add up to 380 degrees" where the universeof disocurse is all convex quadrilaterals in the plane.x, P(x) even one or two crystals of copper sulphate can make its solution in water coloured blue. why If a countrys current account is in a $100m surplus, what arethe capital account and balance of payments equal to? (Assume thereare no changes to international reserves.) Members of Goodlife Gym pay on average $36 once per month in the gym. Variable cost such as towels, soap and shampoo, and disinfectant associated with each customer is $8 per month. Find CLTV using the four methods and round up to the nearest dollar.GoodLifes retention rate is 93% per year. What is the CLTV of a Goodlifes costumer if an annual rate of interest is 8%? Use the Traditional formula) ( 1 mark)Find CLTV if a customer is expected to stay for 3 years. Use the Easy method. What are the two pillars of morality? Quadrilateral ijkl is similar to quadrilateral mnop. Find the measure of side no. Round your answer to the nearest tenth if necessary. Which of the following pairs of values of A and B are such that all solutions of the differential equation dy/dt = Ay + B diverge away from the line y = 9 as t [infinity]? Select all that apply.a. A=-2,B=-18b. A=-1,B=9c. A-1,B=-9d. A 2,B=-18e. A-2, B-18f. A 3,B=-27g. A-9,B=-1 Software Engineering ProcessTopic- Availability:Consider an ATM system.Identify a set of concrete availability scenarios using each of the possible responses in the general scenario.Create a fault tree including all possible failures, errors, and attacks. (Refer to the Fault tree analysis on pages 82 through 85 of the textbook.)Determine the fault detection, recovery, and prevention tactics. What are the performance implications of using these tactics?Redundancy is often cited as a key strategy for achieving high availability. Look at the tactics you determined and decide which of them exploit some form of redundancy and which do not. If two identifiable markets differ with respect to their price elasticity of demand and resale is impossible, a firm with market power will...set a lower price in the market that is more price elastic. The formula for the phi correlation coefficient was derived from the formula for the Pearson correlation coefficient (T/F)? which of the following medications promotes the cellular uptake of potassium, making it a potential temporary treatment for hyperkalemia? Which of the following types of survey holds the greatest potential for immediate feedback?A) mailB) face-to-faceC) onlineD) telephone a tenth grader with epilepsy has a seizure in class. in response to the seizure, which of the following steps should a teacher take first.