The first step an attacker must perform to conduct a successful session hijacking is to insert himself/herself between Party A and Party B.
This can be done through various methods, such as ARP spoofing or DNS spoofing, to redirect the traffic to the attacker's machine. Once the attacker is in the middle, they can then begin to analyze and predict the sequence number of the packets, which is the second step in the process. This allows the attacker to seize control of the session by injecting their own packets into the communication stream or by modifying existing packets. Finally, the attacker may sever the connection between the two parties to prevent them from realizing the hijacking is taking place. Therefore, the correct answer to the question is 1.
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Compute cost of goods sold using the following information. Merchandise inventory, beginning Cost of merchandise purchased Merchandise inventory, ending $ 13,100 86,100 19, 100 Cost of Goods Sold is Computed as: Merchandise inventory, beginning Add: Cost of merchandise purchased Goods available for sale Less: Merchandise inventory, ending Cost of goods sold $ 13,100 86,100 99,200 19,100 $ 80,100
The cost of goods sold is $80,100. This metric is crucial in assessing the financial health of the business and making informed decisions about pricing, inventory management, and overall profitability.
The cost of goods sold is an important financial metric that represents the cost of the products or goods that were sold during a particular period. In this case, we have the beginning merchandise inventory of $13,100, cost of merchandise purchased of $86,100 and ending merchandise inventory of $19,100. To calculate the cost of goods sold, we add the beginning inventory to the cost of merchandise purchased to get the total goods available for sale, which is $99,200.
Next, we subtract the ending inventory from the goods available for sale to get the cost of goods sold, which is $80,100. This represents the total cost of goods sold during the period in question.
COGS = (Merchandise Inventory, Beginning) + (Cost of Merchandise Purchased) - (Merchandise Inventory, Ending) Merchandise Inventory, Beginning = $13,100
Cost of Merchandise Purchased = $86,100 Merchandise Inventory,
Ending = $19,100
Now, plug these values into the formula: COGS = ($13,100) + ($86,100) - ($19,100) COGS = $99,200 - $19,100 COGS = $80,100 .
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The cost of goods sold (COGS) is calculated by adding the beginning inventory to the cost of goods purchased to get the total available for sale, and then subtracting the ending inventory. After carrying out these steps, the COGS in this case is found to be $80,100.
Explanation:To compute the Cost of Goods Sold (COGS), we start with the beginning inventory, which is $13,100. We then add the Cost of Merchandise Purchased, which comes out to $86,100. These two numbers added together give us the Goods Available for Sale, which is $99,200. To find the final COGS, we subtract the Merchandise Inventory at the end of the period, which is $19,100. So, $99,200 - $19,100 = $80,100, which is the COGS.
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The exchange rate is .7639 U.S. dollars per Brazilian real. How many U.S. dollars are needed to purchase 7,000 Brazilian reals?a. $8,330.46 b. $9.163.50 c. $7,255.40 d. $5,347.30 e. $5,617.30
The answer is (d) $5,347.30. option d.
It's important to note that exchange rates are constantly fluctuating, so it's always a good idea to check the current rate before making any international transactions.
Additionally, there may be fees or other charges associated with currency exchange that should also be taken into account. To solve this problem, we need to multiply the amount of Brazilian reals by the exchange rate to find out how many U.S. dollars are needed to purchase them.
So, if the exchange rate is .7639 U.S. dollars per Brazilian real, we can set up the equation:
7,000 Brazilian reals x .7639 U.S. dollars/Brazilian real = X U.S. dollars
Simplifying this equation, we get:
5,347.30 U.S. dollars = X. option d.
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1. Compound interest is the return on principal A) for one period. B) plus interest for two or more periods. C) only D) for one or more periods.
Compound interest is the return on principal for one or more periods so that the correct answer is option (D)
Compound interest is a crucial concept in finance and investing, as it represents the process by which an initial sum of money (principal) grows over time, generating interest not only on the initial principal but also on the accumulated interest from previous periods. This creates a snowball effect, allowing the invested sum to increase exponentially over time.
The other options provided in the question do not accurately describe compound interest. Option A) for one period, refers to simple interest, where interest is only calculated on the initial principal. Option B) plus interest for two or more periods, would only encompass a limited timeframe and does not capture the ongoing nature of compound interest. Lastly, option C) only, is not a complete statement and does not provide any meaningful information about compound interest.
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Molina Corporation issues 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103. The journal entry to record the issuance will show a
Molina Corporation issues 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103. The journal entry to record the issuance of Molina Corporation's 5000, 10-year, 8%, $1000 bonds dated January 1, 2017, at 103 will show a Debit to Cash: $5,150,000, Credit to Bonds Payable: $5,000,000 and Credit to Premium on Bonds Payable: $150,000.
The journal entry reflects the fact that the company received cash of $5,150,000 for issuing $5,000,000 in bonds, resulting in a $150,000 premium on the bonds payable. This premium represents the excess of the price paid by the investors over the face value of the bonds and will be amortized over the life of the bonds as a reduction in interest expense.
Debit: Cash = $5,150,000 (5000 x $1000 x 1.03)Credit: Bonds Payable = $5,000,000 (5000 x $1000)Credit: Premium on Bonds Payable = $150,000 (difference between cash received and the face value of bonds)This entry records the issuance of the bonds, reflecting the receipt of cash, the liability for the bonds payable, and the premium on bonds payable due to the bonds being issued at a price above their face value (103%).
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Romero issues 3,400,000 of 10%, 10 year bonds dated January 1 20133 that pay interest semiannually on June 30 and December 31. The bonds are issued at a price of 3,010,000.1. Prepare the January 1 2013 journal entry to record the bonds issuance.2. for each semiannual period, compute (a) the cash payment, (b) the straight line discount amortization, and (c) the bond interest expense.
For the second semiannual period (December 31, 2013), the same calculations are repeated using the remaining book value of the bonds as the face value. The cash payment will remain the same, but the discount amortization and bond interest expense will decrease as the discount is gradually amortized over the life of the bond.
1. The journal entry to record the bond issuance on January 1, 2013 is as follows:
Cash 3,010,000
Discount on Bonds Payable 390,000
Bonds Payable 3,400,000
The Discount on Bonds Payable is calculated as the difference between the face value of the bonds (3,400,000) and the issue price (3,010,000). This represents the discount on the bonds that will be amortized over the life of the bond.
2. For the first semiannual period (June 30, 2013):
a. The cash payment is calculated as 10% of the face value of the bonds, which is $170,000 ($3,400,000 x 10% x 6/12).
b. The straight line discount amortization is calculated as the total discount divided by the number of periods, which is $19,500 ($390,000 / 20).
c. The bond interest expense is calculated as the sum of the cash payment and the discount amortization, which is $189,500 ($170,000 + $19,500).
For the second semiannual period (December 31, 2013), the same calculations are repeated using the remaining book value of the bonds as the face value. The cash payment will remain the same, but the discount amortization and bond interest expense will decrease as the discount is gradually amortized over the life of the bond.
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When u.s. businesses established branches in south africa, in the short run, south africa's aggregate supply _______.
When U.S. businesses establish branches in South Africa, in the short run, South Africa's aggregate supply will increase.
This is because the establishment of new businesses will lead to an increase in production and output, which in turn leads to an increase in the aggregate supply. The new businesses will employ workers and purchase goods and services from other businesses, which will further boost the economy and aggregate supply.
Additionally, the investment by U.S. businesses can lead to an increase in technological advancements and innovation in the country, which can lead to further increases in productivity and output. However, it is important to note that the long-term effects of U.S. businesses establishing branches in South Africa may vary depending on various factors such as government policies, economic stability, and social issues.
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A few decades ago, international business was largely the domain of ________. Group of answer choices all of the these service firms multinational firms smaller firms
A few decades ago, international business was largely the domain of multinational firms.
These multinational firms were typically large corporations that operated in multiple countries, conducting business activities such as trade, investment, and production on a global scale.
They had the resources, infrastructure, and capabilities to establish operations and compete in various markets around the world. Smaller firms and service firms also participated in international business, but multinational firms had a significant presence and played a prominent role in driving global economic activities.
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On January 1 of this year, Houston Company issued a bond with a face value of $20,000 and a coupon rate of 7 percent. The bond matures in 3 years and pays interest every December 31. When the bond was issued, the annual market rate of interest was 6 percent. Houston uses the effective-interest amortization method. (Use appropiate factors from the tables FV, PV, FVA, and PVA of $1 and round to nearest whole dollar)
1. Complete a bond amortization schedule for all three years of the bond's life. (Enter all values as positive values.)
Date Cash Interest Interest Expense Premium Amortization Book Value of Bond
Jan. 1, year 1 Dec. 31, year 1 Dec. 31, year 2 Dec. 31, year 3
Date | Cash | Interest | Interest Expense | Premium Amortization | Book Value of Bond
Jan. 1, year 1 | - | - | - | - | $20,000
Dec. 31, year 1| $1,400 | $1,200 | $200 | $43 | $19,957
Dec. 31, year 2| $1,400 | $1,197 | $203 | $40 | $19,794
Dec. 31, year 3| $1,400 | $1,194 | $206 | $37 | $19,625
To calculate the bond amortization schedule, the bond's interest expense and premium amortization for each period need to be determined. The bond's interest expense is calculated as the book value of the bond multiplied by the market interest rate of 6%. The premium amortization is calculated as the difference between the bond's coupon rate of 7% and the market interest rate of 6%, multiplied by the bond's par value of $20,000.
Using the effective-interest amortization method, the premium amortization for each period is subtracted from the bond's interest expense to determine the total interest paid for each period. The premium amortization is then subtracted from the bond's premium balance to determine the premium balance for the next period. Finally, the book value of the bond is calculated as the bond's par value plus the premium balance.
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Kansas Company acquired a building valued at $151,000 for property tax purposes in exchange for 10,000 shares of its $7 par common stock. The stock is widely traded and sold for $16 per share. At what amount should the building be recorded by Kansas Company?
a.$151,000
b.$90,000
c.$160,000
d.$70,000
The building should be recorded by Kansas Company at $160,000.
The building should be recorded at the fair market value of the stock exchanged, which is 10,000 shares x $16 per share = $160,000. Even though the building was valued at $151,000 for property tax purposes, the exchange of stock for the building implies that the fair market value of the building is equal to the fair market value of the stock exchange. Therefore, the building should be recorded at $160,000.
Step 1: Determine the fair value of the stock issued.
Kansas Company issued 10,000 shares of its $7 par common stock. The stock is widely traded and sold for $16 per share.
Step 2: Calculate the fair value of the stock.
Fair value of stock = Number of shares * Market price per share
Fair value of stock = 10,000 * $16 = $160,000
Step 3: Record the building at the fair value of the stock.
Since the building was acquired in exchange for the common stock, the building should be recorded at the fair value of the stock, which is $160,000.
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what will your aftertax yield be on a corporate bond that is currently priced to yield 7 percent if you are in the 25 percent tax bracket?
5.25 percent will your after tax yield be on a corporate bond that is currently priced to yield 7 percent if you are in the 25 percent tax bracket
To calculate your after tax yield on a corporate bond that is currently priced to yield 7 percent if you are in the 25 percent tax bracket, you will need to first determine the tax implications of the bond's yield. Since the bond is yielding 7 percent, you will need to pay taxes on that income.
To calculate the aftertax yield, you can use the following formula:
Aftertax Yield = Yield x (1 - Tax Rate)
In this case, the tax rate is 25 percent, so your aftertax yield would be:
Aftertax Yield = 7% x (1 - 0.25) = 5.25%
Therefore, your after tax yield on this corporate bond would be 5.25 percent.
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If the United States is experiencing a recessionary gap and the Federal Reserve purchases government bonds, what will happen to the U.S. dollar, imports, and exports?A. The U.S. dollar will appreciate, imports will increase, and exports will decrease.B. The U.S. dollar will appreciate, imports will decrease, and exports will increase.C. The U.S. dollar will depreciate, imports will decrease, and exports will increase.D. The U.S. dollar will depreciate, imports will increase, and exports will decrease.E. The U.S. dollar will not be impacted, imports will decrease, and exports will increase.
If the United States is experiencing a recessionary gap and the Federal Reserve purchases government bonds, the correct answer is D. The U.S. dollar will depreciate, imports will increase, and exports will decrease.
This is because when the Federal Reserve purchases government bonds, it increases the money supply in the economy, which leads to a decrease in interest rates. Lower interest rates make U.S. bonds less attractive to foreign investors, causing a decrease in demand for the U.S. dollar and a depreciation in its value. A weaker dollar makes imports more expensive and exports cheaper, leading to an increase in imports and a decrease in exports.
This strategy is often used by the Federal Reserve to stimulate the economy during a recessionary gap. Increasing the money supply and decreasing interest rates, it encourages borrowing and spending, which can boost economic growth. However, it also comes with the trade-off of a weaker currency and an imbalance in trade.
In summary, when the Federal Reserve purchases government bonds during a recessionary gap, the U.S. dollar will depreciate, imports will increase, and exports will decrease.
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Century Entertainment Company operates a movie theater that has monthly fixed expenses of $4,000. In addition, the company pays film distributors $1.00 per ticket sold. The following chart shows the number of tickets Century expects to sell in the coming year: Jan. Feb. Mar. Apr. May June July Aug. Sept. Oct.Nov. Dec. Total 2,000 1,600 3,200 3,400 3,200 4,200 4,700 4,000 5,000 3,100 3,000 2,600 40,000 Required Assume that Century wants to earn $3.00 per movie patron. What price should it charge for a ticket in January and in September?
Century Entertainment Company should charge $5.00 per ticket in January and $4.80 per ticket in September to cover its fixed expenses and achieve a profit of $3.00 per movie patron.
To determine the ticket price that Century Entertainment Company should charge in January and September, we need to calculate the total revenue required to cover its monthly fixed expenses and achieve a profit of $3.00 per movie patron.
First, we can calculate the total number of tickets that Century expects to sell in January and September:
- In January, the company expects to sell 2,000 tickets
- In September, the company expects to sell 5,000 tickets
Next, we can calculate the total revenue required to cover the fixed expenses and achieve the target profit:
- In January, the total revenue required is ($4,000 + (2,000 x $1.00) + (2,000 x $3.00)) = $10,000
- In September, the total revenue required is ($4,000 + (5,000 x $1.00) + (5,000 x $3.00)) = $24,000
Finally, we can calculate the ticket price required to generate the required revenue in each month:
- In January, the ticket price should be ($10,000 / 2,000) = $5.00
- In September, the ticket price should be ($24,000 / 5,000) = $4.80
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Suppose that in Econland Bonnie was earning $50,000 a year five years ago when the CPI was equal to 200. Today the CPI is equal to 400 and she is earning $80,000. We would say that Bonnie's. a. Real wage and nominal wage have increased b. Real wage has fallen but nominal wage has increased. c. Nominal wage has fallen but real wage has increased d. Nominal wage has increased but real wage fell e. Real wage has increased but nominal wage has not changed.
We would say that Bonnie's real wage has fallen but nominal wage has increased.
The real wage is the purchasing power of the nominal wage, or the amount of goods and services that can be purchased with a given wage. It is calculated by dividing the nominal wage by the price level, as measured by the CPI. In this case, Bonnie's nominal wage has increased from $50,000 to $80,000 over a period of five years. However, the CPI has also increased from 200 to 400 over the same period, which means that the price level has doubled.
To calculate Bonnie's real wage, we can divide her nominal wage by the price level:
Real wage = Nominal wage / Price level
Five years ago, Bonnie's real wage was:
Real wage (5 years ago) = $50,000 / 200 = $250
Today, Bonnie's real wage is:
Real wage (today) = $80,000 / 400 = $200
Therefore, we can see that Bonnie's real wage has fallen from $250 to $200 over the past five years, even though her nominal wage has increased. This means that Bonnie's purchasing power has decreased over time, as the increase in her nominal wage has not kept pace with the increase in prices.
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5. Manufacturers of printers and computers set prices independently. This means that they A. use capital-intensive means of production. B. use division of labor and specialization in production C. do not consider the effect of the prices on the demand for the products D. do not consider the negative effect that the high prices have on each other's profit
This is because they focus on their own specialization and production processes, and aim to maximize their profits through their pricing strategies.
They may also use capital-intensive means of production and division of labor to achieve their production goals, but the primary factor influencing their pricing decisions is their independence and focus on their own profits. Option A - "use capital-intensive means of production" - is not directly related to the question of setting prices independently, but rather relates to the production methods used by manufacturers. Some manufacturers may indeed use capital-intensive production methods, but others may use labor-intensive methods, or a combination of both.
Option B - "use division of labor and specialization in production" - is also not directly related to the question of price setting, but rather relates to how manufacturers organize their production processes. Many manufacturers do indeed use division of labor and specialization in production to improve efficiency and reduce costs.
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Manufacturers of printers and computers setting prices independently means that they do not consider the negative effect that the high prices have on each other's profit. Option D is the correct answer.
When manufacturers set prices independently, it implies that they are not engaging in price coordination or collusion. Each manufacturer determines its own pricing strategy without considering the impact it may have on the demand for the products or the pricing decisions of their competitors. This lack of coordination allows manufacturers to potentially set higher prices without concern for the competitive market dynamics or the negative effect it may have on their rivals' profitability.
Option D is the correct answer.
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You are working in the bookstore on your campus and must stock all the shelves with new textbooks for the upcoming semester. Trying to get it done quickly, you lift large stacks of books, but become very tired after only a short time. What motor units are you activating in order to perform this task and why are you quickly getting tired
The combination of high-force demands, reliance on anaerobic metabolism, and limited energy reserves in fast-twitch motor units contribute to your quick fatigue when lifting heavy stacks of books.
When lifting large stacks of books, you are activating your fast-twitch motor units. Fast-twitch motor units are responsible for generating high levels of force and are recruited for activities that require quick and intense muscle contractions.
The reason you quickly become tired is due to the nature of fast-twitch motor units. These motor units rely primarily on anaerobic metabolism, which means they produce energy without the presence of oxygen. This anaerobic energy production is efficient for short bursts of intense activity but leads to the accumulation of metabolic byproducts such as lactic acid.
As you continue to lift heavy stacks of books, the high force demands on your muscles result in the accumulation of lactic acid. This build-up of lactic acid leads to fatigue and a decrease in muscle performance. Additionally, fast-twitch motor units have a limited energy reserve and tire more quickly compared to slow-twitch motor units, which are used for lower intensity, endurance activities.
The combination of high-force demands, reliance on anaerobic metabolism, and limited energy reserves in fast-twitch motor units contribute to your quick fatigue when lifting heavy stacks of books.
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You lift a 120 kg barbell from the floor to over your head to a height of 2.1m. what is the work done to lift the weight?
The work done to lift the 120 kg barbell to a height of 2.1 m is approximately 2469.6 Joules.
To calculate the work done to lift the weight, we can use the formula:
Work = Force x Distance
In this case, the force is equal to the weight of the barbell, and the distance is the height it is lifted.
Given:
Weight of the barbell = 120 kg
Height lifted = 2.1 m
Acceleration due to gravity = 9.8 m/s² (approximate value)
First, we need to calculate the force exerted by the barbell, which is equal to its weight:
Force = Mass x Acceleration due to gravity
Force = 120 kg x 9.8 m/s²
Force = 1176 N
Now we can calculate the work done:
Work = Force x Distance
Work = 1176 N x 2.1 m
Work = 2469.6 Joules (J)
Therefore, the work done to lift the 120 kg barbell to a height of 2.1 m is approximately 2469.6 Joules.
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During the manufacture of the gas sulfuric acid, the presence of nitric oxide gas helps in catalyzing the oxidation of sulfur dioxide which is also a gas. This process is best described as: Select the correct answer below: O heterogeneous catalysis O intermediate catalysis homogeneous catalysis O none of the above
Homogeneous catalysis is the best way to describe the process during the manufacture of the gas sulfuric acid, where the presence of nitric oxide gas catalyzes the oxidation of sulfur dioxide.
This is because the reaction occurs between gases in a homogeneous mixture, as opposed to a heterogeneous mixture where the reactants are in different phases. Homogeneous catalysis is a type of catalysis where the catalyst is in the same phase as the reactants, and it increases the rate of the reaction by lowering the activation energy. In this case, the nitric oxide gas acts as a catalyst to facilitate the reaction between sulfur dioxide and oxygen. This process is crucial for the production of sulfuric acid, which is an essential chemical used in many industries. We can say that homogeneous catalysis is a useful technique in various industries as it offers many advantages, including higher efficiency, lower costs, and reduced waste production.
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the most important control over the existence, completeness, and valuation of cash balances______
The most important control over the existence, completeness, and valuation of cash balances is the establishment and maintenance of a robust internal control system.
This system includes segregation of duties, regular reconciliations, and proper documentation.
Segregation of duties ensures that different individuals are responsible for separate aspects of cash management, such as handling cash receipts, making disbursements, and reconciling balances. This reduces the risk of errors and fraud by creating a system of checks and balances.
Regular reconciliations involve comparing recorded cash balances with bank statements to identify and resolve discrepancies. This process ensures that cash transactions are accurately recorded and that the company's financial statements reflect the correct cash position.
Proper documentation, such as maintaining detailed records of cash transactions, is essential for maintaining accurate cash balances. This includes keeping receipts, invoices, and bank statements to support cash transactions, which can be reviewed and audited if necessary.
In summary, a strong internal control system is the key to ensuring the existence, completeness, and valuation of cash balances. By implementing segregation of duties, regular reconciliations, and maintaining proper documentation, a company can mitigate the risks associated with cash management and maintain the accuracy of its financial statements.
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Based on the video, which basic strategy best describes the strategy Raytheon is pursuing? Multiple Choice internalization transnational O international global standardization O localization
Localization strategy best describes the strategy Raytheon.
Correct option is C.
This involves tailoring products and services to meet local market needs and preferences. This strategy is designed to ensure the company’s offerings are tailored to the various markets in which it operates. This strategy involves understanding the local context and culture, as well as market-specific regulations and trends.
It also requires the company to develop strong relationships with local partners and develop strategies for managing local staff and operations. This approach can help Raytheon to better meet the needs of its customers and gain a competitive advantage in local markets.
Correct option is C.
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complete question:
which basic strategy best describes the strategy Raytheon is pursuing? Multiple Choice
a. internalization transnational
b. international global standardization
c. localization strategy
d. none
. Gain realized on a like-kind exchange is excluded from income in all of the following circumstances except:
A.
When boot is given.
B.
When boot is received.
C.
When a liability is assumed.
D.
Both b and c.
The correct answer for your question is: D. Both B and C. Gain realized on a like-kind exchange is excluded from income in most circumstances.
However, there are exceptions where gains are not excluded from income. This means that gain realized on a like-kind exchange is NOT excluded from income when: B. Boot is received: If a taxpayer receives "boot," which is any additional property or cash received in the exchange that is not considered like-kind, the gain must be recognized as income to the extent of the boot received. C. When a liability is assumed: If a taxpayer assumes a liability in the exchange, such as taking on a mortgage or loan, the gain may be recognized as income to the extent of the difference between the liability assumed and the liability given up.
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tamarisk company purchased machinery on january 1, 2020, for $92,800. the machinery is estimated to have a salvage value of $9,280 after a useful life of 8 years.
Compute 2020 depreciation expense using the double-decining-balance method. Depreciation expense ______
The depreciation expense for 2020 using the double-declining-balance method can be computed as follows:
Step 1: Determine the straight-line depreciation rate.
The straight-line depreciation rate is calculated by dividing the depreciable cost (original cost minus salvage value) by the useful life of the asset.
Depreciable cost = $92,800 - $9,280 = $83,520
Useful life = 8 years
Straight-line depreciation rate = Depreciable cost / Useful life = $83,520 / 8 = $10,440
Step 2: Determine the double-declining-balance depreciation rate.
The double-declining-balance depreciation rate is calculated by multiplying the straight-line depreciation rate by 2.
Double-declining-balance depreciation rate = Straight-line depreciation rate x 2 = $10,440 x 2 = $20,880
Step 3: Calculate the depreciation expense for 2020.
The depreciation expense for 2020 is calculated by multiplying the double-declining-balance depreciation rate by the beginning book value of the asset.
Beginning book value = Original cost - Accumulated depreciation
Accumulated depreciation in year 1 = 0
Beginning book value = $92,800
Depreciation expense for 2020 = Beginning book value x Double-declining-balance depreciation rate
Depreciation expense for 2020 = $92,800 x $20,880 / $83,520 = $23,320
Tamarisk Company purchased machinery on January 1, 2020, for $92,800. The machinery has an estimated salvage value of $9,280 after a useful life of 8 years. To compute the 2020 depreciation expense using the double-declining-balance method, we need to follow three steps.
Step 1: Determine the straight-line depreciation rate.
The straight-line depreciation rate is calculated by dividing the depreciable cost by the useful life of the asset. The depreciable cost is the original cost minus the salvage value.
Depreciable cost = $92,800 - $9,280 = $83,520
Useful life = 8 years
Straight-line depreciation rate = Depreciable cost / Useful life = $83,520 / 8 = $10,440
Step 2: Determine the double-declining-balance depreciation rate.
The double-declining-balance depreciation rate is calculated by multiplying the straight-line depreciation rate by 2.
Double-declining-balance depreciation rate = Straight-line depreciation rate x 2 = $10,440 x 2 = $20,880
Step 3: Calculate the depreciation expense for 2020.
The depreciation expense for 2020 is calculated by multiplying the double-declining-balance depreciation rate by the beginning book value of the asset. The beginning book value is the original cost of the asset because there is no accumulated depreciation in year 1.
Beginning book value = Original cost - Accumulated depreciation
Accumulated depreciation in year 1 = 0
Beginning book value = $92,800
Depreciation expense for 2020 = Beginning book value x Double-declining-balance depreciation rate
Depreciation expense for 2020 = $92,800 x $20,880 / $83,520 = $23,320
Therefore, the depreciation expense for 2020 using the double-declining-balance method is $23,320.
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briefly describe how the use of databases could help in detecting kickback fraud schemes
Databases can help in detecting kickback fraud schemes by allowing the analysis of large volumes of transactional data.
By identifying patterns of payments or transactions that are inconsistent with typical business practices, such as payments to vendors that are not on an approved list or repeated payments to the same vendor for the same service, auditors can flag potential fraud schemes for further investigation.
Additionally, databases can be used to compare vendor addresses or bank account information to employee information to detect collusion between vendors and employees. The use of data analytics and algorithms can further enhance the detection of irregularities and highlight potential fraudulent activity in kickback schemes.
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consider a 30-year mortgage at an interest rate of 5ompounded monthly. the amount to be mortgaged is $210,000. how much of the first month's payment is interest?
A 30-year mortgage at an interest rate of 5ompounded monthly. the amount to be mortgaged is $210,000.Then the first month's payment Interest is $828.84.
To calculate the amount of interest in the first month's payment for a 30-year mortgage at an interest rate of 5% compounded monthly, we need to use the formula for calculating mortgage payments.
The formula for monthly mortgage payments is:
M = P [ i(1 + i)^n ] / [ (1 + i)^n – 1]
Where:
M = monthly mortgage payment
P = principal amount (the amount to be mortgaged)
i = monthly interest rate (5% divided by 12),n = number of months in themortgage (30 years multiplied by 12 months)
Plugging in the numbers, we get:
M = $210,000 [ (0.05/12) (1 + (0.05/12))^360 ] / [ (1 + (0.05/12))^360 – 1]M = $1,128.84
Therefore, the first month's payment will be $1,128.84.
Interest = $1,128.84 - $210,000 = $828.84
So, the amount of interest in the first month's payment for a 30-year mortgage at an interest rate of 5% compounded monthly is $828.84. This means that in the first month, the borrower will be paying mostly interest and very little towards the principal amount of the mortgage.
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Setup Corporation buys $100,000 of sand, rock and cement to produce redi-mix concrete. It sells the concrete for $400,000. The value added by Setup Corporation is: O zero dollars. $100,000 $300,000 O $200,000
The value added by Setup Corporation is **$300,000**.
Value added refers to the increase in value that a company creates during the production process. In this case, Setup Corporation purchased raw materials (sand, rock, and cement) worth $100,000 and transformed them into a final product (redi-mix concrete) that was sold for $400,000.
The value added can be calculated by subtracting the cost of purchased materials from the selling price of the final product:
Value added = Selling price - Cost of purchased materials
Value added = $400,000 - $100,000
Value added = $300,000
Therefore, the value added by Setup Corporation in producing and selling the redi-mix concrete is **$300,000**.
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Liquidity preference is ____
Question 16 options: a. is the demand for goods and services that can be easily sold for cash. b. is the demand for holding cash money rather than bonds or other assets. c. increases when interest rates rise. d. causes interest rates to rise when liquidity preference falls.
Liquidity preference is the demand for holding cash money rather than bonds or other assets. Liquidity preference is a concept in economics that describes the preference of individuals and businesses to hold cash rather than other assets.
This preference arises from the desire to have easy access to funds in case of emergencies or unexpected expenses. When individuals and businesses are uncertain about the future, they tend to hold more cash to ensure they have enough liquidity to meet their needs.
As a result, liquidity preference can have significant implications for financial markets and the broader economy. When liquidity preference is high, interest rates tend to be lower, as individuals and businesses are willing to hold cash rather than invest in riskier assets like bonds or stocks. Conversely, when liquidity preference is low, interest rates tend to be higher, as individuals and businesses are more willing to invest in other assets.
In summary, liquidity preference is the demand for holding cash money rather than bonds or other assets, and it can have a significant impact on financial markets and the broader economy.
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If the supply of capital is perfectly elastic, a tax on capital income results in:________-
If the supply of capital is perfectly elastic, a tax on capital income results in a complete shift of the tax burden to the owners of capital. This means that the tax will not affect the quantity of capital supplied in the market.
When the supply of capital is perfectly elastic, it means that the quantity of capital supplied in the market is highly responsive to changes in the market price. In this case, a tax on capital income will result in a decrease in the after-tax return on capital. As a result, the owners of capital will reduce their demand for investment opportunities and shift their investments to other areas that offer higher after-tax returns. This, in turn, will lead to a decline in the demand for capital and lower market prices. The decrease in market prices will further reduce the after-tax return on capital, causing the owners of capital to bear the entire burden of the tax.
In conclusion, a tax on capital income in a perfectly elastic capital supply market will result in a complete shift of the tax burden to the owners of capital.
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An investor has researched financial information for Fried Chicken Corporation over the past three years. He has provided you a report with the returns for the company. YEAR RETURN 2016 4. 72% 2017 6. 71% 2018 14. 65% The investor put $860. 00 into Fried Chicken at the beginning of 2016. What is the average return for Fried Chicken Corporation over this time period
To calculate the average return for Fried Chicken Corporation over the given time period, we need to find the average of the individual returns for each year.
The returns for Fried Chicken Corporation over the three years are as follows:
2016: 4.72%
2017: 6.71%
2018: 14.65%
To find the average return, we sum up the returns for each year and divide by the number of years:
Average return = (4.72% + 6.71% + 14.65%) / 3
Average return = 26.08% / 3
Average return = 8.69%
Therefore, the average return for Fried Chicken Corporation over the given time period is 8.69%.
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The first step in the target costing process is to estimate how much a product will cost to develop. True False
True. The target costing process is a method used by companies to manage the costs of their products throughout the product's lifecycle.
This process involves estimating the total cost of a product and then setting a target price that customers are willing to pay for it. The first step in the target costing process is to estimate how much a product will cost to develop. This is important because the cost of development can significantly impact the final cost of the product. By estimating the cost of development upfront, companies can better understand the total cost of the product and set a target price that will allow them to make a profit. Costing is a critical part of the target costing process and involves analyzing all the costs associated with developing and producing a product. This includes direct costs such as materials and labor as well as indirect costs such as overhead expenses. By carefully managing costs throughout the product lifecycle, companies can ensure that they are delivering high-quality products to their customers at a price that is both competitive and profitable.
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Point A worker sees increases in the prices that she pays for transportation, housing, and food but that her wage has remained unchanged for a long time. a. Shoeleather cost b. Menu cost c. Relative price variability d. Tax distortions
The situation described in the question is an example of- C. relative price variability.
What does this entail ?This refers to the change in the prices of goods and services relative to each other.
In this case, the worker is experiencing an increase in the prices of transportation, housing, and food, which are essential for her daily life.
However, her wage has remained unchanged for a long time, which means that her purchasing power has decreased. This can lead to shoeleather costs, which are the costs associated with increased efforts to find the best prices for goods and services.
The worker may also face menu costs, which are the costs associated with updating prices due to inflation.
Tax distortions may also occur if the government does not adjust tax brackets for inflation, leading to higher taxes for the worker despite her unchanged income.
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bill wants to buy a new boat in 7 years. he expects the new boat will cost 28,000. bill has 1800 in an investment accoutn today
Bill should consider investing a significant portion of his income each year into a diversified investment portfolio, and he may also want to consider utilizing tax-advantaged accounts to maximize his savings potential.
Bill wants to buy a new boat in 7 years and expects it to cost $28,000. To be able to afford the boat, Bill needs to start saving and investing money today. Fortunately, Bill has $1,800 in an investment account which can be used as a starting point. To determine how much money Bill needs to invest each year to reach his goal of $28,000, he needs to consider the rate of return on his investment. Assuming an average annual return of 5%, Bill would need to invest approximately $3,462 each year to reach his goal. However, it's important to note that there are risks associated with investing, and it's possible that the rate of return may be lower than expected or even negative, which would require Bill to invest more money or reconsider his timeline for purchasing the boat. Another option for Bill is to consider investing in a tax-advantaged account, such as an IRA or 401(k), which could offer additional benefits in terms of reducing his tax liability and potentially providing higher returns. In summary, to achieve his goal of buying a new boat in 7 years, Bill should consider investing a significant portion of his income each year into a diversified investment portfolio, and he may also want to consider utilizing tax-advantaged accounts to maximize his savings potential.
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Hi! Bill can use his investment account to save for the new boat. Assuming that the account earns an annual interest rate of 5%, he can expect his investment to grow to approximately $2,495 in 7 years. This assumes that he doesn't make any additional contributions to the account. However, if he makes regular contributions to the account, he can increase his savings and reach his goal faster. It's important for Bill to regularly monitor the performance of his investment account and adjust his savings strategy as needed to ensure that he is on track to reach his goal of buying the new boat.
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