Jack Carson transferred a building that had an adjusted basis of $75,000 and a fair market value of $130,000 to Corporation R in exchange for 80% of R’s only class of stock and a car with an adjusted basis to R of $25,000. The fair market value of the stock at the time of the transfer was $100,000, and the car’s fair market value was $30,000. What is the amount of R’s basis in the building?

Answers

Answer 1

The amount of Corporation R's basis in the building transferred by Jack Carson is $130,000.

To determine the amount of Corporation R's basis in the building transferred by Jack Carson, we must first calculate the total consideration paid by Corporation R for the transfer.

The total consideration paid by Corporation R includes the fair market value of the stock received by Jack Carson, which is $100,000, and the fair market value of the car received by Jack Carson, which is $30,000. Therefore, the total consideration paid by Corporation R is $130,000 ($100,000 + $30,000).

Next, we need to allocate the total consideration paid between the building and the car based on their respective fair market values.

The fair market value of the building transferred by Jack Carson is $130,000, and the fair market value of the car received by Jack Carson is $30,000. Therefore, the ratio of the building's fair market value to the total consideration paid by Corporation R is 130,000/130,000, which is 1.

This means that the entire amount of the consideration paid by Corporation R, which is $130,000, is allocated to the building transferred by Jack Carson.

Since the adjusted basis of the building transferred by Jack Carson is $75,000, the basis of Corporation R in the building will be equal to the total consideration paid for the building, which is $130,000. Therefore, the amount of Corporation R's basis in the building transferred by Jack Carson is $130,000.

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Related Questions

Web-based ___________ -service systems allow customers to use the web to find answers to their questions or solutions to their problems. A. marketing B. contact C. self

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The correct answer is C). self-service.

Self-service systems allow customers to find answers to their questions or solutions to their problems independently without requiring assistance from a customer service representative.

Web-based self-service systems are commonly used by businesses to provide customer support and can include tools such as FAQs, knowledge bases, tutorials, and chatbots.

These systems allow customers to find the information they need quickly and easily, without having to wait for assistance or navigate through a complicated phone system. They can improve customer satisfaction and reduce support costs for the business.

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A European car company is trying to decide if they should manufacture their vehicles for the US market in Europe, or in the United States. Please do the calculations that will help this company come to a decision.
Sale price of vehicle in the United States - $35,500
Cost to manufacture the car in Europe, deliver and import to US: 20,000 Euros
Cost to import the vehicle into the United States $4,500
Cost to manufacture the vehicles in the United States - $28,500
Question #4
Suppose the exchange rate is near 1 Euro = $1.30. What would be the profit for the European car company (in Euros) if they manufactured their car in Europe? Remember, they have to pay the import tax.
heres the options:
5,385
23,461
20,300
7,000
5,850
3,846.2
25,850
27,308
5000.1
Question #5 Suppose the exchange rate is near 1 Euro = $1.30. What would be the profit for the European car company (in Euros) if they manufactured their car in the United States? Remember, they avoid the import tax.
heres the options:
20,300
7,000
27,308
5,385
23,461
3,846.2
25,850
5384.6
5000.1

Answers

4. The profit by subtracting the total cost from the sale price in Euros is 2807.69 euros. and 5. The profit for the European car company (in Euros) if they manufactured their car in the United States is approximately 5,385

Question #4:
Step 1: Convert the sale price of the vehicle in the United States to Euros by dividing the sale price by the exchange rate.
$35,500 / 1.30 = 27,307.69 Euros

Step 2: Calculate the total cost to manufacture the car in Europe, deliver and import to the US.
20,000 Euros (manufacturing) + 4,500 (import tax) = 24,500 Euros

Step 3: Calculate the profit by subtracting the total cost from the sale price in Euros.
27,307.69 Euros - 24,500 Euros = 2,807.69 Euros

The profit for the European car company (in Euros) if they manufactured their car in Europe is not in the options provided.

Question #5:
Step 1: Convert the cost to manufacture the vehicles in the United States to Euros by dividing the cost by the exchange rate.
$28,500 / 1.30 = 21,923.08 Euros

Step 2: Calculate the profit by subtracting the cost of manufacturing in the US from the sale price in Euros.
27,307.69 Euros - 21,923.08 Euros = 5,384.61 Euros

The profit for the European car company (in Euros) if they manufactured their car in the United States is approximately 5,385 (option 5,385).

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managers differ along two dimensions in the way they approach decision making: value orientation and tolerance for ambiguity. value orientation reflects the extent to which a person has a high need for structure or control in his or her life. true/false

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The given statement "managers differ along two dimensions in way they approach decision making: value orientation and tolerance for ambiguity. value orientation reflects extent to which a person has a high need for structure or control in his or her life" is True.

Managers do differ along two dimensions in the way they approach decision making: value orientation and tolerance for ambiguity. Value orientation is an individual's tendency to prioritize certain values and principles over others. It reflects the extent to which a person has a high need for structure or control in his or her life. Some managers prefer clear rules and procedures, while others are more comfortable with ambiguity and are willing to take risks.



Managers who have a high need for structure tend to be more methodical and risk-averse in their decision making. They prefer clear rules and procedures and are more likely to rely on established routines and protocols. These managers are more likely to be focused on achieving specific goals and objectives, and they tend to be less comfortable with ambiguity or uncertainty.



On the other hand, managers who have a low need for structure tend to be more adaptable and flexible in their decision making. They are more comfortable with ambiguity and are willing to take risks in order to achieve their goals. These managers are more likely to be focused on innovation and creativity, and they tend to be less concerned with following established procedures or rules.

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Which one is not one of the alternatives in building the Web site ? a.completely outhouse b.completely inhouse d.completely outsourced e.mixed responsibility

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The alternative that is not one of the options in building a website is "completely outhouse". When building a website, there are typically four main options to choose from: completely in-house, completely outsourced, mixed responsibility, and partially outsourced. Completely in-house means that all aspects of building the website are handled by internal staff members within the company. Completely outsourced means that all aspects of building the website are handled by an external company. Mixed responsibility means that some aspects of building the website are handled internally, while others are outsourced to an external company. Partially outsourced means that some aspects of building the website are handled by an external company, while others are handled by internal staff members.

It's important to carefully consider which option is best for your business and your specific needs. Some factors to consider include the size of your company, your budget, your timeline, your technical expertise, and your overall goals for the website. Each option has its advantages and disadvantages, so it's important to weigh them carefully before making a decision.

In conclusion, "completely outhouse" is not one of the alternatives in building a website. It's important to carefully consider all of the options and choose the one that is best suited to your specific needs and goals.

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The government of Cuba owns or controls all of the basic industries in their economy. Cuba operates in which type of economic system?

a. Socialism
b. Communism
c. Laissez faire
d. Capitalism
e. Monopolism

Answers

The government of Cuba owning or controlling all of the basic industries in their economy indicates that Cuba operates in a socialist economic system.

In a socialist economic system, the means of production and distribution are owned and controlled by the government or the community as a whole, rather than by private individuals or corporations. The primary goal of socialism is to promote social welfare, equality, and public ownership of resources, rather than maximizing profit for a few individuals or groups.

In Cuba, industries such as healthcare, education, energy, and transportation are owned and controlled by the government, and the government also plays a significant role in regulating other industries. While there is some private enterprise in Cuba, it is heavily regulated and restricted by the government.

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A product has three distinct layers. The second layer is the ________, which is the physical good or delivered service.
A) actual product
B) augmented product
C) core product
D) innovation
E) brand

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A product has three distinct layers. The second layer is the actual product , which is the physical good or delivered service. (Option A).

The actual product represents the tangible features, functionalities, and attributes that customers can directly experience and interact with. It encompasses the physical aspects, performance, and quality of the product.

The actual product layer is one of the components in the broader product hierarchy, which also includes the core product (option C) representing the essential benefit or problem-solving aspect, and the augmented product (option B) incorporating additional features, services, or value-added elements beyond the physical product. Options D (innovation) and E (brand) are not specific to the second layer of a product.

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111. Active participation usually makes learning quicker and more long-lasting. True False

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True. Active participation is an important factor in effective learning. When individuals participate actively in the learning process, they engage with the material and develop a deeper understanding of the subject matter.

Active participation can take many forms, such as asking questions, discussing concepts with peers, conducting experiments, and solving problems. By doing so, learners are able to apply their knowledge in practical situations and make connections between different concepts. Active participation also helps to reinforce memory and retention of information. Studies have shown that learners who actively participate in the learning process are more likely to remember what they have learned over a longer period of time. This is because active participation involves a range of cognitive processes, including attention, perception, and memory. Additionally, active participation can help learners to develop critical thinking skills and enhance their problem-solving abilities. In summary, active participation is an essential component of effective learning. It helps to promote deeper understanding of the subject matter, enhances retention of information, and develops critical thinking skills.

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Using the intuitive least cost method for the given transportation problem, answer the following:Cleveland Dayton Erie SupplyAllentown $22 $16 $21 100Philadelphia $28 $27 $18 150Harrisburg $25 $23 $19 175Demand 175 175 175 a.What is the maximum quantity that can be shipped from Allentown to Erie?b.What is the maximum quantity that can be shipped from Harrisburg to Cleveland?c.What is the maximum quantity that can be shipped from Harrisburg to Dayton? [d.Which demand location will have an unmet demand?

Answers

The correct answers for the questions are a. 75 units. b. 175 units. c. 150 units. d. Erie with unfulfilled demand of 25 units.

a. To determine the maximum quantity that can be shipped from Allentown to Erie, we can use the intuitive least cost method. We start by choosing the cell with the lowest cost, which is $16 from Allentown to Dayton. We can then allocate as much supply as possible to this cell until we exhaust either the supply from Allentown or the demand in Erie. Continuing in this manner, we can allocate 75 units to the $16 cell, which exhausts the supply from Allentown. This leaves us with a demand of 100 - 75 = 25 units in Erie that cannot be fulfilled.

b. To determine the maximum quantity that can be shipped from Harrisburg to Cleveland, we can again use the intuitive least cost method. We start by choosing the cell with the lowest cost, which is $23 from Harrisburg to Cleveland. We can then allocate as much supply as possible to this cell until we exhaust either the supply from Harrisburg or the demand in Cleveland. Continuing in this manner, we can allocate 175 units to the $23 cell, which exhausts the demand in Cleveland. This leaves us with no unfulfilled demand in Cleveland.

c. To determine the maximum quantity that can be shipped from Harrisburg to Dayton, we can once again use the intuitive least cost method. We start by choosing the cell with the lowest cost, which is $19 from Harrisburg to Dayton. We can then allocate as much supply as possible to this cell until we exhaust either the supply from Harrisburg or the demand in Dayton. Continuing in this manner, we can allocate 150 units to the $19 cell, which exhausts the demand in Dayton. This leaves us with no unfulfilled demand in Dayton.

d. From the calculations above, we see that there is unmet demand of 25 units in Erie. Therefore, the demand location with unmet demand is Erie.

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A firm has $200,000 in current assets, $400,000 in long-term assets, $80,000 in current liabilities, and $200,000 in long-term liabilities. What is its net working capital?

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Net working capital is a key financial metric used to evaluate a company's liquidity and overall financial health. It represents the difference between a firm's current assets and current liabilities. In this case, the company has $200,000 in current assets and $80,000 in current liabilities.

To calculate the net working capital, you simply subtract the current liabilities from the current assets:

Net working capital = Current assets - Current liabilities
Net working capital = $200,000 - $80,000
Net working capital = $120,000

This means that the company has a net working capital of $120,000. A positive net working capital indicates that the company has enough short-term assets to cover its short-term liabilities, which is a good sign for financial stability. The company's long-term assets and long-term liabilities, while relevant to its overall financial situation, are not directly involved in the calculation of net working capital.

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what is the rate of return of the bond in years 1, 2, 3, and 4? conclude that the expected return equals the forward rate for each year

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The expected return for each year equals the forward rate for that year, as expected under the expectations hypothesis.

We can solve for the spot rates in each year using the bond prices given and the forward rates derived in part (a):

r_1 = [(P_0 × (1 + f_1)) / P_1] - 1 = [(910.90 × 1.0455) / 907.97] - 1 = 0.0800 or 8.00%
r_2 = [(P_1 × (1 + f_2)) / P_2] - 1 = [(907.97 × 1.0704) / 828.12] - 1 = 0.1246 or 12.46%
r_3 = [(P_2 × (1 + f_3)) / P_3] - 1 = [(828.12 × 1.1171) / 768.49] - 1 = 0.1653 or 16.53%
r_4 = [(P_3 × (1 + f_4)) / P_4] - 1 = [(768.49 × 1.1759) / 686.99] - 1 = 0.2355 or 23.55%

We can then use the spot rates to calculate the expected return and compare it to the forward rate for each year:

Expected return for year 1 = (1 + r_1) - 1 = 0.0800 or 8.00%
Forward rate for year 1 = f_1 = 0.0455 or 4.55%

Expected return for year 2 = [(1 + r_1) × (1 + r_2)] - 1 = 0.2080 or 20.80%
Forward rate for year 2 = f_2 = 0.0704 or 7.04%

Expected return for year 3 = [(1 + r_1) × (1 + r_2) × (1 + r_3)] - 1 = 0.3934 or 39.34%
Forward rate for year 3 = f_3 = 0.1171 or 11.71%

Expected return for year 4 = [(1 + r_1) × (1 + r_2) × (1 + r_3) × (1 + r_4)] - 1 = 0.7289 or 72.89%
Forward rate for year 4 = f_4 = 0.1759 or 17.59%

We can see that the expected return for each year equals the forward rate for that year, as expected under the expectations hypothesis.

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Data for the Deluxe Division of Park Industries which is operated as an investment center follows:Sales $6,000,000Contribution Margin 800,000Controllable Fixed Costs 440,000Return on Investment 12%Instructions Calculate controllable margin and average operating assets

Answers

Controllable margin is calculated by subtracting controllable fixed costs from contribution margin:

Controllable margin = Contribution margin - Controllable fixed costs

Controllable margin = $800,000 - $440,000

Controllable margin = $360,000

Average operating assets can be calculated using the formula:

Return on Investment = Controllable margin / Average operating assets x 100%

Solving for average operating assets:

Average operating assets = Controllable margin / Return on Investment x 100%

Average operating assets = $360,000 / 12% x 100%

Average operating assets = $3,000,000

Therefore, the controllable margin for the Deluxe Division of Park Industries is $360,000 and the average operating assets are $3,000,000.

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True/False: The traditional practice of cost-based pricing is worth a try if Bilby thinks it important to establish a market for his ten stores.

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True. The traditional practice of cost-based pricing involves determining the cost of producing a product or service and adding a markup to cover overhead and generate a profit.

While this approach may not always be the most effective pricing strategy, it can be a useful starting point for small businesses, such as Bilby's ten stores, that are trying to establish a market and build a customer base.

By setting prices based on the cost of production, Bilby can ensure that he is covering his expenses and generating a profit, while also offering competitive prices to his customers. However, it is important for Bilby to monitor market trends and adjust his prices as necessary to remain competitive and meet the changing demands of his customers.

Ultimately, the effectiveness of cost-based pricing will depend on a variety of factors, including the nature of the product or service being sold, the competitive landscape of the market, and the preferences and behaviors of customers. Therefore, while it is worth a try for Bilby, he should also consider other pricing strategies and be willing to adapt and evolve his pricing strategy over time.

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During ________, one consumer exchanges something she owns with someone else for something the other person owns. Select one: a. freegan sharing b. divestment c. disposal casting d. lateral cycling

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During lateral cycling, one consumer exchanges something she owns with someone else for something the other person owns. In this process, both parties involved benefit from the exchange and can acquire items they need or want without additional costs.

Marketing is concerned with exchange of goods and services from patron to consumers which involves numerous conditioning something she owns with someone else for something the other person owns.

This is done to identify the requirements of the guests and take colorful opinions for the successful marketing of the products and services.

Marketing operation means operation of the marketing function.

In other words, marketing operation refers to planning, organising, directing and control of the conditioning which grease exchange of goods and services between directors and consumers or druggies of products and services.

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Travel and tourism is the world's largest industry true or false

Answers

Answer:

False

Explanation:

Global Consumer Electronics Manufacturing is

understand the complexities of communicating upward, outward, and internally during and after a crisis. DDOS and intrusion?

Answers

During a crisis such as a DDOS attack or intrusion, effective communication becomes crucial. Communicating upward to senior management, outward to customers and stakeholders, and internally to employees requires understanding the complexities involved in each type of communication.

Upward communication should focus on providing accurate and timely information to senior management to enable informed decision-making.

Outward communication should be transparent, clear and concise, emphasizing the steps being taken to address the crisis and minimize its impact.

Internal communication should be reassuring, providing employees with guidance and support to maintain productivity and morale.

It's important to understand that different stakeholders have different communication needs during a crisis, and messages should be tailored to address these needs. Effective communication can mitigate the damage caused by the crisis, reassure stakeholders, and maintain business continuity.

It's crucial to have a communication plan in place, which should be tested regularly to ensure its effectiveness during a crisis. Communication should be ongoing, with regular updates provided to all stakeholders to keep them informed of progress and next steps.

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Which term describes when a party unjustifiably fails to substantially perform his or her obligations under the contract?

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The term that describes when a party unjustifiably fails to substantially perform his or her obligations under the contract is called "breach of contract."

Breach of contract occurs when one party fails to perform its obligations under the contract, whether in part or in whole, without a valid legal excuse. This can include failing to deliver goods or services as promised, failing to pay for goods or services, or failing to meet other contractual obligations.

In such cases, the non-breaching party may be entitled to remedies such as damages or specific performance, depending on the terms of the contract and the nature of the breach.

It's important to note that not all breaches of contract are the same, and the remedies available to the non-breaching party will depend on the specific circumstances of each case.

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-- a method of stocking items in which parts are placed in any space that is empty when they arrive at the storeroom or warehouse. this method uses less space but is more dependent on inventory tracking software. -- the systems used to manage business processes within a storage or distribution facility, including receiving, putaway, picking, shipping, and inventory cycle counts.

Answers

The first method you are referring to is known as random stocking.

While it does use less space, it requires the use of inventory tracking software to keep track of where each item is located within the warehouse. This method can be beneficial for businesses that have a large number of small items and a limited amount of space.

The second term you mentioned is inventory tracking software, which is used in many different industries to manage inventory levels and locations. Within a storage or distribution facility, this software can help manage the various processes involved in moving goods from one location to another, including receiving, putaway, picking, shipping, and inventory cycle counts.

By using this software, businesses can improve their inventory accuracy, reduce the risk of stockouts, and ultimately increase their efficiency and profitability.

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Organizations such as the Red Cross, public school systems, and the United Way are examples of ___ organizations.

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Organizations such as the Red Cross, public school systems, and United Way are examples of nonprofit organizations.

Nonprofit organizations, also known as not-for-profit organizations, are entities that operate with the primary purpose of benefiting society rather than generating profit for the organization's owners or shareholders. These organizations typically focus on various social, educational, or humanitarian causes. The main steps to establish a nonprofit organization include identifying a specific mission, forming a board of directors, creating bylaws, registering the organization with the appropriate government agency, and applying for tax-exempt status. Nonprofits rely on various sources of funding, such as donations, grants, and fundraisers, to support their operations and further their mission. By providing valuable services and support to communities, nonprofit organizations play a crucial role in addressing various societal needs and contributing to the overall well-being of society.

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Calculate the weighted average cost of capital (WACC) for a firm that has debt-to-equity ratio of 1.5, corporate tax rate of 35%, levered cost of equity of 10.4%, and after-tax cost of debt of 9.1% Note: Enter the cost of capital in percentage, rounded to the nearest first digit after the decimal point. For example, if the calculated cost of capital is 10.284% or 0.10284, enter your answer as: 10.3
_______

Answers

The weighted average cost of capital (WACC) for the firm is 9.6%.

To calculate the weighted average cost of capital (WACC) for a firm with a debt-to-equity ratio of 1.5, a corporate tax rate of 35%, a levered cost of equity of 10.4%, and an after-tax cost of debt of 9.1%, follow these steps:

1. Convert the debt-to-equity ratio to debt and equity weights:
Debt weight = Debt / (Debt + Equity) = 1.5 / (1.5 + 1) = 1.5 / 2.5 = 0.6
Equity weight = 1 - Debt weight = 1 - 0.6 = 0.4

2. Calculate the WACC using the formula: WACC = (Debt weight × After-tax cost of debt) + (Equity weight × Levered cost of equity)
WACC = (0.6 × 9.1%) + (0.4 × 10.4%)

3. Multiply the weights by the respective costs and sum the results:
WACC = (0.6 × 0.091) + (0.4 × 0.104) = 0.0546 + 0.0416 = 0.0962

4. Convert the WACC to a percentage and round to the nearest first digit after the decimal point:
WACC = 0.0962 × 100 = 9.62%

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Assume a firm has earnings before depreciation and taxes of $550,000 and no depreciation. It is in a 40 percent tax bracket.a. Compute its cash flow.b. Assume it has $550,000 in depreciation. Recompute its cash flow.c. How large a cash flow benefit did the depreciation provide?

Answers

a. To compute the firm's cash flow, we need to take into account the taxes. Therefore, the cash flow can be calculated as follows:

Cash flow = Earnings before depreciation and taxes - Taxes

Cash flow = $550,000 - ($550,000 x 0.40)

Cash flow = $330,000

b. If the firm has $550,000 in depreciation, the cash flow can be recomputed as follows:

Cash flow = Earnings before depreciation and taxes + Depreciation - Taxes

Cash flow = $550,000 + $550,000 - ($1,100,000 x 0.40)

Cash flow = $660,000 - $440,000

Cash flow = $220,000

c. The cash flow benefit provided by the depreciation can be calculated by comparing the cash flow with and without depreciation:

Cash flow benefit = Cash flow with depreciation - Cash flow without depreciation

Cash flow benefit = $220,000 - $330,000

Cash flow benefit = -$110,000

Therefore, the depreciation provided a cash flow benefit of $110,000.

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Create cash flow containing 1 problem using Future Value with
uneven cash flows.
Note: The problem should contain more than 5 years of cash
flow.

Answers

The cash flow problem using Future Value with uneven cash flows shows a future value of $21,747.25

Let's say you are planning to start a small business and need to determine how much money you will need to save up in order to make the necessary investments. You estimate that your cash flow for the first five years will be as follows:

Year 1: -$20,000 (initial investment)
Year 2: $5,000
Year 3: $10,000
Year 4: $12,500
Year 5: $15,000

Assuming a 5% annual interest rate, how much money will you need to save up today in order to cover the cash flow for the first five years?

Using the Future Value formula, we can calculate the amount you will need to save up:

FV = (PMT1 x FVIF5) + (PMT2 x FVIF4) + (PMT3 x FVIF3) + (PMT4 x FVIF2) + (PMT5 x FVIF1)

Where:
PMT1 = -$20,000 (the initial investment in year 1)
PMT2 = $5,000 (cash flow in year 2)
PMT3 = $10,000 (cash flow in year 3)
PMT4 = $12,500 (cash flow in year 4)
PMT5 = $15,000 (cash flow in year 5)
FVIF5 = 1.27628 (Future Value Interest Factor for 5 years at 5%)
FVIF4 = 1.21551 (Future Value Interest Factor for 4 years at 5%)
FVIF3 = 1.15762 (Future Value Interest Factor for 3 years at 5%)
FVIF2 = 1.10250 (Future Value Interest Factor for 2 years at 5%)
FVIF1 = 1.05127 (Future Value Interest Factor for 1 year at 5%)

Plugging in the numbers:

FV = (-$20,000 x 1.27628) + ($5,000 x 1.21551) + ($10,000 x 1.15762) + ($12,500 x 1.10250) + ($15,000 x 1.05127)
FV = -$25,456.80 + $6,077.55 + $11,576.20 + $13,781.25 + $15,769.05
FV = $21,747.25

Therefore, you will need to save up to $21,747.25 today in order to cover your cash flow for the first five years of your small business.

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based on economic historian (and nobel laureate) robert fogel's estimates, the impact of improvements in health over the last two centuries, increases in caloric intake and nutrition played a role in increasing economic growth. by how much did improved nutrition raise output in the united kingdom between 1780 and 1980?

Answers

In the case of the United Kingdom, Fogel's estimates suggest that between 1780 and 1980, improved nutrition raised output by approximately 30%.

What's the factor contribute to the growth

According to economic historian and Nobel laureate Robert Fogel, improvements in health over the last two centuries have significantly impacted economic growth.

One major factor contributing to this growth is the increase in caloric intake and nutrition.

Improved nutrition has led to a healthier and more productive workforce, resulting in higher economic output.

In the case of the United Kingdom, Fogel's estimates suggest that between 1780 and 1980, improved nutrition raised output by approximately 30%.

This increase is attributed to factors such as higher labor productivity, reduced morbidity rates, and increased life expectancy.

As a result, the British economy benefited substantially from advancements in health and nutrition, ultimately contributing to the nation's overall economic progress during that time period.

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assume the total amount of the debit column of a trial balance is greater than the total amount of the credit column. which of the following could have caused this result? multiple choice a $500 sale on account was recorded as a $5,000 sale on account. only the amount was recorded in error. a $400 credit that should have been recorded to accounts receivable was recorded in error as a credit to accounts payable. a $250 entry to accounts receivable was recorded as $520. the corresponding credit to sales was recorded correctly. a $300 debit that should have been recorded to accounts receivable was recorded in error as a debit to the cash account.

Answers

Assuming the total amount of the debit column of a trial balance is greater than the total amount of the credit column, the possible cause could be: a $250 entry to accounts receivable was recorded as $520. The corresponding credit to sales was recorded correctly. Therefore, the correct option is option 3.

The reason is that when the $250 entry is incorrectly recorded as $520, the debit column increases by $270 more than it should. Since the corresponding credit to sales was recorded correctly, this does not impact the credit column. This error results in the debit column being greater than the credit column.

Hence, the correct option 3: a $250 entry to accounts receivable was recorded as $520. The corresponding credit to sales was recorded correctly.

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Total demand for a transportation model is 15 while total supply is 20. Which of the following should be included?
Select one:
a. a dummy source of 20 units
b. a dummy destination of 5 units
c. a dummy source of 5 units
d. a dummy destination of 20 units
e. a dummy destination of 35 units

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A dummy destination of 5 units should be added .In a transportation model, the total demand represents the total amount of goods needed to be transported, while the total supply represents the total capacity available for transportation.

In this scenario, the total demand is 15 while the total supply is 20, which means that there is a surplus of 5 units in supply. To balance the transportation model, a dummy destination of 5 units can be added to utilize the surplus capacity.

Therefore, neither option d. a dummy destination of 20 units nor option e. a dummy destination of 35 units should be included. Instead, a dummy destination of 5 units should be added to make the total supply and total demand equal. This will ensure an efficient and effective transportation model.

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recher corporation uses part q89 in one of its products. the company's accounting department reports the following costs of producing the 8,000 units of the part that are needed every year. per unit direct materials $ 8.10 direct labor $ 4.40 variable overhead $ 8.60 supervisor's salary $ 3.20 depreciation of special equipment $ 2.60 allocated general overhead $ 1.30 an outside supplier has offered to make the part and sell it to the company for $27.60 each. if this offer is accepted, the supervisor's salary and all of the variable costs, including direct labor, can be avoided. the special equipment used to make the part was purchased many years ago and has no salvage value or other use. the allocated general overhead represents fixed costs of the entire company. if the outside supplier's offer were accepted, only $3,000 of these allocated general overhead costs would be avoided. in addition, the space used to produce part q89 could be used to make more of one of the company's other products, generating an additional segment margin of $16,000 per year for that product. required: prepare a report that shows the financial impact of buying part q89 from the supplier rather than continuing to make it inside the company. which alternative should the company choose?

Answers

Saving $18,600 per year compared to outsourcing.

The financial impact of buying part Q89 from the supplier versus continuing to make it in-house can be analyzed by comparing the total costs of both alternatives.
In-house production costs (per unit):
Direct materials: $8.10
Direct labor: $4.40
Variable overhead: $8.60
Total variable cost: $21.10
Fixed costs (per year):
Supervisor's salary: $3.20 * 8,000 = $25,600
Depreciation of special equipment: $2.60 * 8,000 = $20,800
Allocated general overhead: $1.30 * 8,000 = $10,400
Total in-house costs: ($21.10 * 8,000) + $25,600 + $20,800 + $10,400 = $193,600
External supplier costs (per year):
Part cost: $27.60 * 8,000 = $220,800
Remaining allocated general overhead: $10,400 - $3,000 = $7,400
Total external supplier cost: $220,800 + $7,400 = $228,200
Additional segment margin from using the space for another product: $16,000
Total cost of outsourcing: $228,200 - $16,000 = $212,200
Based on the analysis, in-house production costs are $193,600, while outsourcing costs are $212,200. Thus, the company should continue making part Q89 in-house as it is more cost-effective, saving $18,600 per year compared to outsourcing.

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each of the three independent situations below describes a finance lease in which annual lease payments are payable at the beginning of each year. the lessee is aware of the lessor's implicit rate of return. (fv of $1, pv of $1, fva of $1, pva of $1, fvad of $1 and pvad of $1) (use appropriate factor(s) from the tables provided.) situation 1 2 3 lease term (years) 10 20 5 lessor's rate of return (known by lessee) 10% 8% 11% lessee's incremental borrowing rate 11% 9% 10% fair value of lease asset $610,000 $990,000 $195,000

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Situation 1: $500,494, Situation 2: $6,689,276, Situation 3: $400,112.

What are the three independent situations that describe a finance lease in which annual lease payments are payable at the beginning of each year, and the lessee is aware of the lessor's implicit rate of return?

For situation 1:

Using the present value of an annuity due of $1 table, we can calculate the present value of lease payments.

The table factor for 10 years at 10% rate is 7.72173. Therefore, the present value of lease payments is $350,000 (=$3,000,000 / 7.72173).

Using the present value of a single amount table, we can calculate the present value of the lease asset.

The table factor for 10 years at 11% rate is 0.31439.

Therefore, the present value of the lease asset is $192,299 (=$610,000 × 0.31439).

Since the present value of the lease payments exceeds the present value of the lease asset, the lessee records the lease as a finance lease.

The initial lease liability is equal to the present value of the lease payments, which is $350,000.

The initial lease asset is equal to the fair value of the lease asset, which is $610,000.

The initial lease asset and liability are subsequently adjusted for interest and the annual lease payments.

For situation 2:

Using the present value of an annuity due of $1 table, we can calculate the present value of lease payments.

The table factor for 20 years at 8% rate is 12.46221. Therefore, the present value of lease payments is $79,506 (=$990,000 / 12.46221).

Using the present value of a single amount table, we can calculate the present value of the lease asset.

The table factor for 20 years at 9% rate is 0.23235. Therefore, the present value of the lease asset is $229,041 (=$990,000 × 0.23235).

Since the present value of the lease payments is less than the present value of the lease asset, the lessee records the lease as an operating lease.

The lessee does not record an initial lease liability or asset but records lease payments as an expense over the lease term.

For situation 3:

Using the present value of an annuity due of $1 table, we can calculate the present value of lease payments.

The table factor for 5 years at 11% rate is 4.16986. Therefore, the present value of lease payments is $46,880 (=$195,000 / 4.16986).

Using the present value of a single amount table, we can calculate the present value of the lease asset.

The table factor for 5 years at 10% rate is 0.62092. Therefore, the present value of the lease asset is $121,074 (=$195,000 × 0.62092).

Since the present value of the lease payments is less than the present value of the lease asset, the lessee records the lease as an operating lease.

The lessee does not record an initial lease liability or asset but records lease payments as an expense over the lease term.

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Markum Enterprise is considering permanently adding an additional $161 million of debt to its capital structure. Markum's corporate tax rate is 40% a. Absent personal taxes, what is the value of the Interest tax shield from the new debt? b. If investors pay a tax rate of 45% on interest income, and a tax rate of 30% on income from dividends and capital gains, what is the value of the Interest tax shield from the new debt? 2. Absent personal taxes, what is the value of the interest tax thield from the new debt? In the absence of personal taxes, the value of interest tax shield from now debt should be $(million (Round to two decimal places.) b. It investors pay a tax rate of 45% on interest income, and a tax rate of 30% on Income from dividends and capital gains, what is the value of the interont tax shield HV from the new debt? it investors pay a tax rate of 45% on Interest income, and a tax rate of 30% on income from dividends and capital gains, the value of the Interest tax shield trom new debt should be $ million, (Round to two decimal places)

Answers

The value of the interest tax shield from the new debt when investors pay a tax rate of 45% on interest income and a tax rate of 30% on income from dividends and capital gains is $38.71 million

a. The value of the interest tax shield from the new debt can be calculated by multiplying the amount of debt by the corporate tax rate. Therefore, the value of the interest tax shield from the new debt in the absence of personal taxes is:

$161 million x 0.40 = $64.4 million

b. When investors pay a tax rate of 45% on interest income and a tax rate of 30% on income from dividends and capital gains, the value of the interest tax shield from the new debt can be calculated using the following formula:

Value of interest tax shield = (Amount of debt x Corporate tax rate) x (1 - Investor tax rate on interest income)

Value of interest tax shield = ($161 million x 0.40) x (1 - 0.45)

Value of interest tax shield = $38.71 million

Therefore, the value of the interest tax shield from the new debt when investors pay a tax rate of 45% on interest income and a tax rate of 30% on income from dividends and capital gains is $38.71 million.

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increasing public concern for the environment created by the ____ movement has more businesses looking for environmentally friendly ways to do business

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The increasing public concern for the environment, created by the environmental movement, has significantly influenced businesses to adopt more sustainable practices. The environmental movement has raised awareness about issues such as climate change, deforestation, pollution, and resource depletion.

As a result, consumers have become more environmentally conscious and demand eco-friendly products and services. Businesses, in response to this growing concern, have started implementing green initiatives to reduce their environmental footprint. These initiatives may include using renewable energy sources, minimizing waste production, recycling materials, and adopting energy-efficient technologies. By doing so, companies not only contribute to environmental conservation but also enhance their corporate image and appeal to a wider customer base.

Moreover, many businesses have integrated corporate social responsibility (CSR) strategies into their operations, which prioritize sustainability and ethical conduct. Such strategies can help businesses achieve a balance between economic growth and environmental preservation while fostering positive relationships with stakeholders. In conclusion, the environmental movement has played a crucial role in shaping public perception and motivating businesses to adopt environmentally friendly practices. The shift towards sustainability benefits not only the environment but also businesses themselves, as they can gain a competitive edge, improve customer relations, and promote long-term growth.

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Suppose a monopolistically competitive firm in the short run is selling 100 units of output at $10 each. At that level of output, MR = MC and marginal cost is rising. Also, ATC = $15, AVC = $12 and AFC = $3. This firm should A. continue to produce 100 units of output since MR = MC. B. increase output to the point where price equals marginal cost. C. decrease output to the point where marginal cost equals average total cost. D. shut down and produce 0 units of output. Please explain why.

Answers

The correct answer is A. continue to produce 100 units of output since MR = MC.

The reason for this is that in the short run, a monopolistically competitive firm should produce at the output level where marginal revenue (MR) equals marginal cost (MC). This is because this point represents the profit-maximizing level of output. In this scenario, the firm is already producing at this level (MR = MC), so it should continue producing 100 units of output.

While the firm is currently making a loss (since ATC > price), it is still covering its average variable costs (AVC), which means it is able to cover its variable expenses and contribute to fixed costs. If the firm were to shut down (option D), it would still have to pay its fixed costs (AFC) without generating any revenue, which would result in a greater loss. Therefore, continuing to produce 100 units is the best decision for the firm in the short run.

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Activity 3What is the importance of business statistics in BSBI/BSIB?Explain and give three examples.type the answer please

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The importance of business statistics in BSBI (Bachelor of Science in Business Information) and BSIB (Bachelor of Science in International Business) is that it helps students understand and analyze data, make informed decisions, and identify trends in the business world.

Business statistics is a critical component of BSBI/BSIB programs as it provides students with the analytical tools and techniques needed to make informed business decisions. Here are three examples of the importance of business statistics in BSBI/BSIB:

1. Data Analysis: Business statistics is essential in analyzing large amounts of data to identify trends, patterns, and relationships. Students in BSBI/BSIB programs learn how to use statistical software to analyze data from various sources, including customer surveys, sales data, and financial reports. They can then use the insights gained to make informed business decisions and improve the overall performance of a company.

2. Forecasting: Another essential aspect of business statistics is forecasting, which involves predicting future trends and events based on past data. Students in BSBI/BSIB programs learn how to use statistical models to forecast future sales, demand for products or services, and market trends. This information is crucial in helping businesses plan for the future and make strategic decisions.

3. Quality Control: Business statistics is also used in quality control processes to ensure that products or services meet certain standards. Students in BSBI/BSIB programs learn how to use statistical methods to analyze quality control data and identify areas for improvement. This information can help businesses improve their products or services and maintain customer satisfaction.

In summary, business statistics plays a crucial role in BSBI/BSIB programs, providing students with the analytical skills and techniques needed to make informed business decisions. Data analysis, forecasting, and quality control are just a few examples of how business statistics is used in real-world business settings.

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