On December 31, 2017, Alpha Corporation, valued at $10 million, acquired BetaCo when BetaCo was valued at $5 million. BetaCo holds a capital loss carryforward of $220,000 and excess business credits of $435,000. At the end of 2018, Alpha reports taxable income before any carryovers of $750,000, consisting of $150,000 capital gains and $600,000 operating income. The applicable Federal long-term rate is 4%, and Alpha earns an 8% after-tax rate of return.a. How much of the BetaCo carryovers may Alpha utilize in 2018?b. Alpha expects to generate $600,000 of taxable operating income for 2019 and 2020. In 2021, it expects to record $700,000 taxable income, including $100,000 of capital gains. What is the value of the capital loss carryforward to Alpha after 2018? Prepare your solution using spreadsheet software such as Microsoft Excel. Use a marginal state and Federal income tax rate of 25%. Hint: Use text Appendix F in your analysis.

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Answer 1

In this question, Alpha Corporation acquired Beta Co with a capital loss carryforward of $220,000 and excess business credits of $435,000. Alpha reports taxable income before any carryovers of $750,000, consisting of $150,000 capital gains and $600,000 operating income.

Alpha earns an 8% after-tax rate of return and the applicable Federal long-term rate is 4%.

a. How much of the Beta Co carryovers may Alpha utilize in 2018?

The amount of Beta Co carryovers that Alpha can utilize in 2018 can be calculated as follows:

For capital losses: Tax savings = Capital loss carryover × 25% = $220,000 × 25% = $55,000

For excess business credits: Tax savings = Excess business credits × 25% = $435,000 × 25% = $108,750

Therefore, the total amount of Beta Co carryovers that Alpha can utilize in 2018 is $55,000 + $108,750 = $163,750.

b. What is the value of the capital loss carryforward to Alpha after 2018?

The value of the capital loss carryforward to Alpha after 2018 can be calculated as follows: Operating income for 2019 and 2020 = $600,000 × 2 = $1,200,000

Operating income for 2021 = $700,000Capital gains for 2021 = $100,000

Total taxable income for 2019 to 2021 = $1,200,000 + $700,000 + $100,000 = $2,000,000

Taxable income from capital gains for 2021 = $100,000

Capital loss carryforward from 2018 = $220,000

Less: Tax savings on capital loss carryforward from 2018 = $55,000Capital loss carryforward available for 2021 = $165,000The value of the capital loss carryforward to Alpha after 2018 is $165,000.

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Related Questions

true or false: irr approach may lead to incorrect decisions in comparison of two mutually exclusive projects. true false question.

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True . The Internal Rate of Return (IRR) approach may lead to incorrect decisions in comparison to two mutually exclusive projects.  

What is the meaning of mutually exclusive projects? In finance, mutually exclusive projects are a set of undertakings where selecting one project prohibits the selection of other projects. This implies that the adoption of one project will exclude the adoption of the other project. As a result, mutually exclusive projects are a situation in which an investor has to pick between two or more projects where the acceptance of one results in the exclusion of the others.

What is IRR? The internal rate of return (IRR) is a metric used in capital budgeting to estimate the profit of prospective investments. It is the interest rate at which the net present value of the cash inflows is equal to the net present value of the cash outflows, which is used to calculate the IRR. The IRR method, which is a discounted cash flow approach, is often used to evaluate a project's feasibility by comparing it to the projected rate of return.

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flexibility in the supply chain can be a tool to help a firm create a competitive advantage, reduce cost and improve responsiveness. true or false

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True. A flexible supply chain ensures competitive global market growth, expansion and brand recognition.

A risk assessment strategy that incorporates these flexibility models will better understand how your supply chain operates, strengthen relationships, and improve product and pricing.

Supply chain flexibility—the ability to easily adjust production volumes, raw material purchases, and transportation capacity—provides significant advantages over traditional supply chain management. Traditional approaches to supply chain management are rigid and cannot be changed quickly as needed. This is known to cause chaos throughout the supply chain when demand fluctuates or the supply chain stops. Supply chain flexibility allows us to function in response to naturally occurring day-to-day changes.

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given budgeted sales of 10,000 units, desired ending inventory of 5,000 units, and beginning inventory of 2,000 units, required production is blank units. multiple choice question. O 10,000 O 7,000 O 13,000 O 15,000

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Option (c), With desired ending inventory of 5,000 units, desired starting inventory of 2,000 units, and budgeted sales of 10,000 units, 13,000 units must be produced.

What is meant by budgeted income?

A prediction of the income you anticipate bringing in the next year is known as budgeted revenue. Often, you may divide this cash into monthly revenue, allowing you to set goals for your sales and marketing team. The majority of an organization's revenue comes from sales.

A sales budget is a kind of financial strategy that predicts an organization's overall income for a given time frame. The two primary characteristics used to anticipate the success of the company are the quantity of products sold and the price at which they are sold.

10,000 + 5,000 - 2,000 = 13,000

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if a government experiences an increase in its budget surplus, which of the following possible outcomes will likely result? question 2 options: exports decrease while imports and all other variables are held constant investment falls while everything else holds constant imports increase while exports and all other variables are held constant private savings decrease while everything else holds constant

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If a government experiences an increase in its budget surplus, the following possible outcome will likely result: investment falls while everything else holds constant.

What is budget surplus?

A budget surplus occurs when income or receipts go beyond expenditure or outflows. A budget surplus, also known as a surplus, is an excess of revenues over expenses that accrues to the government during a fiscal year. The government may use the surplus to pay down debt or spend it on capital investments for the future.

What is investment?

Investment is the purchase of goods that are not consumed today but instead are used in the future to create wealth. When an individual or organization uses its money to purchase stocks, bonds, or real estate for long-term gain rather than short-term income, it is considered an investment.

Exports and imports, as well as private savings, are not directly linked to budget surplus, whereas investment is. As a result, if a government experiences an increase in its budget surplus, investment may decrease while everything else stays constant.

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multiple choice question a company has a margin of safety of 20%. if expected sales are $50,000, then break-even sales are: multiple choice question. $50,000 $10,000 $40,000 $20,000

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The company needs to have break-even sales of c) $40,000 in order to make a profit.

Determine break-even sales

A company's margin of safety is calculated by subtracting the break-even sales from the expected sales. In this case, the margin of safety is 20% ($50,000 expected sales - $40,000 break-even sales = 20%).

This means that the company needs to have break-even sales of $40,000 in order to make a profit.

The multiple choice options are therefore:

$50,000 (expected sales),

$10,000 (too low), $40,000

(break-even sales) and

$20,000 (too low).

The correct answer is therefore $40,000.

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Hubert hires thomas to build a casino in downtown funsville. The contract provides that the casino must be completed within a year, but does not specify when thomas must start. Thomas begins to build the casino seven months into the contract. In the eighth month, funsville enacts a law banning all casinos and prohibiting any casinos from being built or operated. Hubert and thomas's contract might have become. ?

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The contract provides that the casino must be completed within a year, but does not specify when Thomas must start.  Hubert and Thomas's contract might have become void.

When one of the parties involved is unable to fully comprehend the implications of the agreement, the contract becomes void. A mentally ill or inebriated person, for example, may not be coherent enough to comprehend the terms of the agreement, rendering it null and void.

Furthermore, minors' agreements may be void; however, some contracts involving minors who have obtained the consent of a parent or guardian may be enforceable.

Any contract agreement formed between two parties to commit illegal acts is also considered void. A contract between an illegal drug supplier and a drug dealer, for example, is unenforceable from the start because the agreed-upon activity is illegal.

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suppose that the risk-free rate is 3% and that the market risk premium is 4%. round your answers to one decimal place.

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Typos or irrelevant parts of the question should not be ignored. It is important to use the terms provided in the student question.Suppose that the risk-free rate is 3% and that the market risk premium is 4%. To calculate the expected return on a stock using the capital asset pricing model (CAPM), the following formula is used:Expected Return on Stock = Risk-Free Rate + Beta × Market Risk PremiumWhere Beta is a measure of the stock's volatility relative to the market. If Beta is not given, it must be calculated using regression analysis or another method. Once Beta is known, the expected return on the stock can be calculated. For example, suppose a stock has a Beta of 1.5.Using the CAPM, the expected return on the stock would be:Expected Return on Stock = 3% + 1.5 × 4% = 9%Therefore, the expected return on the stock is 9%.When answering questions on Brainly, it is important to be factually accurate, professional, and friendly. Answers should be concise and provide relevant information without extraneous detail.

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a project whose critical path has an estimated time of 120 days with a variance of 100 has a 20% chance that the project will be completed before which day (rounded to nearest day)?

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A project whose critical path has an estimated time of 120 days with a variance of 100 has a 20% chance that the project has a 20% chance of being completed before 112 days (rounded to the nearest day).

Let us first calculate the standard deviation, which is the square root of the variance:

Variance = 100

Standard deviation = √variance

                                = √100

                                = 10

Therefore, the standard deviation is 10.

There are a variety of methods for calculating probabilities based on a standard normal distribution, such as using a Z-table or a normal distribution calculator. We can also use the Z-score formula to calculate the number of standard deviations from the mean that a particular value lies in, which we will use to determine the appropriate probability.

In this case, we have the following information:

Mean = 120 days

Standard deviation = 10 days

X = the number of days before the completion of the project

We want to find the value of X that corresponds to a 20 percent chance that the project will be completed by that date. This can be determined by finding the Z-score for the 20th percentile, which is -0.8416 using a Z-table or a normal distribution calculator.

Then we will use the formula

Z = (X - μ) / σ

to solve for X,

where μ is mean and σ is the standard deviation.

-0.8416 = (X - 120) / 10-8.416

            = X - 120-8.416 + 120

           = 111.584

Therefore, there is a 20% chance that the project will be finished before the 112th day (rounded to the nearest day).

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abc reports the following information for the year: net credit sales $120,000 average accounts receivable 20,000 cash collections on credit sales 100,000 what is abc's receivables turnover ratio?

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Based on the above, ABC's receivables turnover ratio is 6.0

What is the receivables turnover ratio?

To calculate the receivables turnover ratio, we need to divide net credit sales by the average accounts receivable:

Receivables Turnover Ratio = Net Credit Sales / Average Accounts Receivable

From the given information, we have:

Net Credit Sales = $120,000

Average Accounts Receivable = $20,000

Therefore:

Receivables Turnover Ratio = $120,000 / $20,000 = 6

ABC's receivables turnover ratio is 6.0

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See full question below

ABC reports the following information for the year:

Net credit sales

$120,000

Average accounts receivable

20,000

Cash collections on credit sales

100,000

What is ABC's receivables turnover ratio?

Multiple Choice

6.0

1.2

0.2

5.0

Which of the following responsibilities involves gathering project requirements and creating a project plan?
A. Managing tasks
B. Communicating project milestones
C. Forecasting the budget
D. Planning and organizing

Answers

The responsibility which involves gathering project requirements and creating a project management plan is: Planning and organizing. The correct option is D. Planning and organizing.

Project management is the process of planning, coordinating, and overseeing a project from start to finish. It involves the use of specialized skills, knowledge, and techniques to accomplish specific goals and objectives within defined constraints such as time, cost, scope, and quality.

Project management responsibilities: Developing the project plan: Project managers need to create a comprehensive project plan that includes everything from the project's objectives to the tasks required to achieve them. They must also ensure that the project plan is feasible, given the constraints of time, cost, and resources.

Gathering project requirements: Project managers must gather and document all project requirements, including the necessary resources and stakeholders, as well as any other relevant data. Communicating with stakeholders: Project managers must keep stakeholders informed of project progress, changes, and issues as they arise. This communication can be via meetings, reports, or other means.

Organizing the project team: Project managers must select and organize the team members who will be responsible for the project's completion. They should also ensure that the team members have the necessary knowledge and skills to perform their tasks.

Managing project risks: Project managers should identify and manage project risks to minimize their impact on the project's success. They must also develop contingency plans to deal with potential risks that cannot be avoided.

Monitoring project progress: Project managers should monitor project progress regularly to identify any issues that may arise. They should also track project milestones to ensure that they are being met according to the project plan.

Managing project resources: Project managers must manage the project's resources, including time, budget, and materials, to ensure that they are used efficiently and effectively. They should also ensure that the project remains within budget and schedule.

Conclusion: Planning and organizing involves gathering project requirements and creating a project plan. The correct option is D. Planning and organizing.

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if sara's current salary is 25,000 per year and she is due to get a 3% raise this year in addition to a 2% cost of living increase, how much will her salary be after these increases take effect?

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Sara's new salary after the 3% raise and 2% cost of living increase would be $26,250 per year.

The increase in salary amounts to $1,250, which is the sum of the 3% raise and 2% cost of living increase applied to Sara's initial salary of $25,000. To calculate Sara's new salary after the 3% raise and 2% cost of living increase, we can follow these steps:

Calculate the amount of the 3% raise:

3% of $25,000 = $750

Calculate the amount of the 2% cost of living increase:

2% of $25,000 = $500

Add the amount of the 3% raise and the 2% cost of living increase to Sara's current salary:

$25,000 + $750 + $500 = $26,250

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the principal reason for a company having a common stock split is to: group of answer choices decrease total owners' equity. capitalize retained earnings. decrease the market value per share of common stock. increase the total cash dividends pa

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The principal reason for a company having a common stock split is to decrease the market value per share of common stock. Option 3 is correct.

The ownership of a company is represented by an asset known as common stock. Common stockholders choose the board of directors and determine corporate policy. Typically, this sort of stock ownership produces better long-term returns. Option 3 is correct.

Voting may be required to decide whether to combine with or buy a company, choose board members, or approve dividends or stock splits. Stocks should make up a sizable portion of every investor's portfolio. They are riskier than bonds, preferred stock, and certificates of deposit. But, in the event of a liquidation, common shareholders are not entitled to any assets until all bondholders, preferred shareholders, and other debt holders have received full payment. Option 3 is correct.

The complete question is "The principal reason for a company having a common stock split is to _________

decrease total owners' equity. capitalize retained earnings. decrease the market value per share of common stock. increase the total cash dividends pa

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which of the following statements are true? multiple select question. mixed costs contain both fixed and variable cost elements. mixed costs are also commonly known as step-fixed or step-variable costs. the equation for a straight line can be used to express the relationship between mixed costs and the level of activity. both the total cost and the per-unit cost of mixed costs change with changes in the level of activity.

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The following statements are true

(1) mixed costs contain both fixed and variable cost elements.

(2) Mixed costs are also commonly known as step-fixed or step-variable costs.

(3) The equation for a straight line can be used to express the relationship between mixed costs and the level of activity.

(4) Both the total cost and the per-unit cost of mixed costs change with changes in the level of activity.

What is a mixed cost?Mixed costs are the costs that contain both variable and fixed components. It is because these costs change over time. The change is related to the change in the number of products manufactured or the number of services offered. The mixed costs are often referred to as semi-variable costs, semi-fixed costs, or semi-direct costs.

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an economist studying the market for wild alaskan salmon determines the price elasticity of supply to be 0.43. a. in this case, the price elasticity of supply is said to be

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Price elasticity of supply refers to the degree of change in the amount supplied of a good or service in response to a change in price.

The formula for price elasticity of supply is as follows: Price Elasticity of Supply = % Change in Quantity Supplied / % Change in Price The price elasticity of supply is said to be elastic if a small change in price results in a significant change in the amount supplied of a good or service.

If a change in price causes a proportionate change in the quantity supplied of a good or service, the price elasticity of supply is said to be unit elastic. If the quantity supplied of a good or service changes very little in response to a change in price, the price elasticity of supply is said to be inelastic.

So, the price elasticity of supply for the wild Alaskan salmon is 0.43, and it is less than one. As a result, the price elasticity of supply for wild Alaskan salmon is said to be inelastic.

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informational justice reflects the perceived fairness of the communications provided to employees from authorities true

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The statement ''informational justice reflects the perceived fairness of the communications provided to employees from authorities'' is True.

As informational justice is a type of organizational justice that refers to the perceived fairness of communication provided to employees by their authorities. It encompasses the extent to which the information communicated is truthful, timely, complete, and relevant to the employee's concerns and needs.

When employees perceive that they have received fair and accurate information from their authorities, they are more likely to trust them and feel a sense of respect and commitment towards their organization.

On the other hand, when employees perceive that the information provided to them is biased or incomplete, it can lead to feelings of mistrust, disengagement, and low morale.

Therefore, organizations should strive to ensure that the communication provided to their employees is transparent, consistent, and equitable to foster a positive work environment and promote organizational success.

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true or false: a country that imports a substantial amount of goods and services would enjoy a higher standard of living if it reduced its imports of goods and services.

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a country that imports a substantial amount of goods and services would enjoy a higher standard of living if it reduced its imports of goods and services. The statement is False.

What is the importance of imports in country's economy?

The importance of imports in a country's economy is that they supplement domestic production and increase the country's economic productivity.

Imports are critical to economic growth and development, as they assist a country in improving its resource allocation and enhancing production efficiency by allowing consumers to access goods and services that cannot be produced locally.

In conclusion, a country that imports a substantial amount of goods and services would not enjoy a higher standard of living if it reduced its imports of goods and services. On the other hand, it could experience a lower standard of living if it were to reduce its imports.

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media people like editors, packagers, and producers, who make judgments about what is sent to networks, stations, and website operators, are called

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The term "mass communication" describes the dissemination of information to big populations. Non-professionally produced websites have a greater daily audience than a.

Are media professionals responsible for deciding what should be delivered to networks?

Media professionals who have an impact on messages in transit decide what information should be supplied to networks, stations, and website operators. A military censor who prevents the telling of a war account.

What is the relationship between media convergence and other forms of media?

The term "media convergence" essentially refers to the blending of various mass media platforms, including traditional media, print media, broadcast media, new media, the internet, and mobile and high-tech platforms for digital media that are interactive.

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An individual moves through five stages before adopting a product. The five stages include all of the following EXCEPT ________.
Select one:
a. interest
b. adoption
c. validation
d. evaluation
e. awareness

Answers

An individual moves through five stages before adopting a product. The five stages include all of the following EXCEPT interest. option a. is correct.

Before someone decides to buy a product or service, they must go through a series of five stages. These stages, in order, are as follows:

awarenessInterestEvaluationValidationAdoption

The consumer becomes aware of the existence of a product. This can be accomplished in a variety of ways, including advertisements, word-of-mouth, and online searches.

The consumer has a growing interest in the product as a result of learning about it. As consumer learns more about the product, their interest grows.

The consumer evaluates the product in terms of how it will meet their requirements. The consumer takes a closer look at the product's features, pricing, and value proposition.

The consumer compares the product to other similar products available in the market. This may include checking out reviews online, comparing prices, or talking to other people who have used the product.

Finally, the customer decides to buy the product, putting all of their knowledge and information to use. They have examined all of the alternatives and determined that this product is the best for their needs. Therefore, the correct option is a.

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managers who oversee the movement of jobs to countries with low-cost labor are most likely to .

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Managers who oversee the movement of jobs to countries with low-cost labor are most likely to save costs and increase profits.

Outsourcing is when a company hires another firm or an individual to perform tasks, manage operations, or provide services that would otherwise be done in-house. Companies choose to outsource work for a variety of reasons, including saving money, reducing risks, and allowing them to focus on their core competencies. Offshoring is the practice of relocating work to a foreign country, usually to take advantage of lower labor costs or other financial incentives.

A company may outsource jobs or operations to an offshoring firm that is based in a foreign country. Alternatively, they may choose to set up a subsidiary or office in a foreign country and employ local staff there. This can be done through a variety of methods, including joint ventures, mergers, and acquisitions, or building a new facility from scratch.

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Tthe ____ mostive encourages entrepreneurs to start businesses, expand existing onem create new products or improve existing ones, and/or improve production processes to use resources efficiently.

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The positive motive encourages entrepreneurs to start businesses, expand existing one create new products or improve existing ones, and/or improve production processes to use resources efficiently.

What is innovation?

Innovation refers to a process of creating something new that has value. It is the creation of something new, different, and unique that benefits the consumer, society, and the economy. Innovation can be something new that has never been seen before, or it can be something that already exists but is improved in some way or is made better. Innovation can be applied to products, processes, and services.Innovation and entrepreneurshipInnovation and entrepreneurship are closely linked. The concept of entrepreneurship involves identifying opportunities and creating new ventures.

Innovation is a necessary condition for entrepreneurship, as it involves developing new ideas and technologies that can be used to create new products, processes, and services. Innovation is often the driving force behind the success of new ventures, as it provides a competitive edge that can help to differentiate products and services from those of competitors.

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hich of the following business entities does not create a separate entity? a. limited liability company b. corporation c. partnership

Answers

Partnership is the business entity that does not create a separate entity. A business entity is an organization that conducts business activities such as selling, purchasing, or offering goods or services. There are various types of business entities. Option (a) is the correct answer.

Each business entity operates differently and has a different set of rules and regulations. Some of the business entities include sole proprietorship, partnership, corporation, and limited liability company (LLC). A separate entity is a legal term that refers to a distinct entity or unit that is not the same as its owners or shareholders.

It is an independent entity that has its own legal and tax identity that is different from the owners. It is a legal term that refers to a company or an organization that is legally distinct from the owners. A partnership is a type of business entity in which two or more people work together to run a business. They share the profits and losses of the business.

A partnership is one of the simplest and easiest ways to start a business. It is not a separate entity, as each partner is personally liable for the debts and obligations of the partnership. Therefore, the business entity that does not create a separate entity is a partnership. Option (a) is the correct answer.

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resource-allocation graph if the cost of terminating any of the processes is the same, which process would you recommend we terminate? why?

Answers

In a resource allocation graph, if the cost of terminating any of the processes is the same, the process with the smallest number of vertices should be terminated.

A resource allocation graph is a directed graph with a collection of vertices and edges representing the various processes and resources in a system. The edges represent requests and assignments of resources to processes. In this case, all the processes have the same cost of termination.

Therefore, the process with the least number of vertices is recommended to be terminated. The vertices of a process represent the resources that are requested by the process. Thus, the process with the smallest number of vertices represents the process that requires fewer resources than the others.

Therefore, it is the process that is easiest to terminate without disrupting the overall functioning of the system. Hence, we recommend that the process with the least number of vertices be terminated.

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what should you be armed with to adequately assess potential weaknesses in each information asset? question 25 options: properly classified inventory audited accounting spreadsheet intellectual property assessment list of known threats

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To adequately assess potential weaknesses in each information asset, you should be armed with a A: properly classified inventory, C: an intellectual property assessment, and D: a list of known threats.

An audited accounting spreadsheet can be useful for financial analysis, but it may not be sufficient for assessing information security risks. By having a properly classified inventory, you can identify and prioritize your most valuable assets, which will help you allocate resources and develop appropriate security controls. A list of known threats can help you identify potential attack vectors and vulnerabilities that you may need to address. An assessment of intellectual property can help you identify and protect your proprietary information and trade secrets.

By combining all of these elements, you can develop a comprehensive picture of the potential risks and vulnerabilities associated with each information asset, which will help you develop effective risk management strategies.

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kyle runs a store that sells small and large space heaters. the large heaters sell for $250 each with unit variable costs of $120, while the small space heaters sell for $80 each with unit variable costs of $30. currently, the small space heaters amount to 2,100 of the units sold, while the large heaters amount to 700 of the units sold. the fixed costs for the store are $126,000. what is the company-wide break-even point in units? select answer from the options below 1,800 units 2,000 units 1,350 units 900 units

Answers

To calculate the company-wide break-even point in units, you need to calculate the total revenue needed to cover the fixed costs. Therefore, the break-even point in units is 1,350.

To do this, you need to calculate the total variable cost and total revenue.The total variable cost can be calculated by multiplying the unit variable cost for the small heaters by the number of small heaters sold and then adding that to the unit variable cost for the large heaters multiplied by the number of large heaters sold. Therefore, the total variable cost is $93,600.

The total revenue can be calculated by multiplying the price per unit for the small heaters by the number of small heaters sold and then adding that to the price per unit for the large heaters multiplied by the number of large heaters sold.

Therefore, the total revenue is $263,600.To calculate the break-even point, divide the fixed cost by the contribution margin. The contribution margin is the difference between the total revenue and the total variable cost, which is $170,000.

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one year ago, mabel bought a coupon bond at a yield-to-maturity of 5%. when she sells the coupon bond the yield-to-maturity is now 6% causing the bond's price to go down. what type of risk did mabel suffer from? interest rate risk default risk reinvestment risk liquidity risk none of the above

Answers

The correct option is A, Mabel suffer from type of Interest Rate Risk. When she sells the coupon bond the yield-to-maturity is know 6% causing the bond's price to go down.

Interest rate risk contributes significantly to the Sensitivity in CAMELS. Since the 1990s, financial firms' interactions with their regulators have contributed significantly to our understanding of measuring interest rate risk. Senior management may lose their jobs and the company may be added to the FDIC problem bank list when a bank earns a low CAMELS rating, putting the interests of bondholders, creditors, and equity holders at risk.

The evaluation of interest rate risk is a hot subject among regulators, banks, thrifts, saving and loans, credit unions, and other financial organisations. A financial institution's capital adequacy, assets, management capability, earnings, liquidity, and sensitivity to market risk are all evaluated by the widely used CAMELS grading system.For most banking organisations using the CAMELS approach, interest rate risk makes up undoubtedly the majority of the sensitivity analysis.

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Complete Question: -

One year ago, Mabel bought a coupon bond at a yield-to-maturity of 5%. When she sells the coupon bond the yield-to-maturity is know 6% causing the bond's price to go down. What type of risk did Mabel suffer from?

a. Interest Rate Risk

b. Default Risk

c. Reinvestment Risk

d. Liquidity Risk

e. None of the above

all of the following statements about dairy products are true except: question 8 options: 1) ultra-pasteurized (up) milk sold in aseptic packages does not need to be refrigerated. 2) because most broad-liners do not carry dairy products, it is important to identify a separate dairy supplier for your operation 3) generally, the higher the butterfat, the higher the ap price. 4) dairy products should be stored away from other foods because they absorb the odors of some foods easily.

Answers

The statement that is false is that ultra-pasteurized (up) milk sold in aseptic packages does not need to be refrigerated. Option 1) is correct.

Why does Ultra-pasteurized (UP) milk need to be refrigerated?

Ultra-pasteurized (UP) milk sold in aseptic packages does not need to be refrigerated. This statement is false because even though ultra-pasteurization kills most bacteria, the milk will still spoil if left at room temperature due to contamination that can occur after it has been opened. As a result, it is essential to keep milk, whether pasteurized or ultra-pasteurized, refrigerated to avoid spoilage.

Dairy products must always be refrigerated, regardless of whether they are ultra-pasteurized or in aseptic packaging. All other statements are true; it is important to identify a separate dairy supplier for your operation because most broad-liners do not carry dairy products, generally, the higher the butterfat, the higher the AP price, and dairy products should be stored away from other foods because they absorb the odors of some foods easily.

The correct answer to this question is: Ultra-pasteurized (UP) milk sold in aseptic packages does not need to be refrigerated.

Therefore, the correct option is 1.

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frederick tims, a single individual, sold the following investment assets this year. asset date purchased date sold tax basis sales price 100 shares gamma incorporated 01/04/10 05/07/22 $ 5,000 $ 15,000 30 shares land incorporated 12/31/92 10/01/22 $ 75,000 $ 100,000 50 shares down corporation 05/10/14 11/01/22 $ 12,000 $ 8,000 10 shares extel incorporated 03/25/09 02/19/22 $ 17,000 $ 5,000 if frederick's preferential tax rate on adjusted capital gain is 15%, compute his tax attributable to the above sales.

Answers

If frederick's preferential tax rate on adjusted capital gain is 15%, It needs 2.50$ tax attributable for the sales.

How to calculate

Given the details of the investment assets sold by Frederick Tims along with their tax basis and sales price, we need to calculate the tax attributable to the above sales if his preferential tax rate on adjusted capital gain is 15%.

We know that the preferential tax rate on adjusted capital gain is 15%.We can calculate the adjusted capital gain by subtracting the tax basis from the sales price.

we can calculate the total adjusted capital gain by adding up the adjusted capital gain of all the investment assets.

The total adjusted capital gain is:

Total adjusted capital gain = $10,000 + $25,000 - $4,000 - $12,000 = $19,000

Since the preferential tax rate on adjusted capital gain is 15%, the tax attributable to the above sales will be:

Tax = 15% × $19,000 = $2,850

Therefore, the tax attributable to the above sales is $2,850.

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during the first month, your ad generated 15,000 impressions. based on this data, how many clicks did your ad receive?

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Based on the data, your ad received 15,000 impressions during the first month. This means that the total number of clicks for your ad during the first month is 15,000.

So, impressions are the number of times your ad is displayed. Clicks are the number of times users click on the ad. Since impressions and clicks are the same in this case, the total number of clicks for your ad during the first month was 15,000.

In conclusion, the total number of clicks for your ad during the first month was 15,000.

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a high-low retailer like walgreens might temporarily cut the price of carmex tubes to $0.49, well below its customary price, to attract attention to the product and customers to the store. this temporary price reduction is an example of

Answers

This temporary price reduction is an example of a promotional pricing strategy.

A promotional pricing strategy which is a marketing strategy used to temporarily lower the price of a product in order to increase demand and generate sales.

A temporary price reduction, such as the one mentioned in the question, is an example of a promotional pricing strategy. Promotional pricing involves temporarily lowering the price of a product to stimulate demand and increase sales volume. This strategy is often used to attract new customers, generate repeat business, or move excess inventory.

In the case of Walgreens and the Carmex tubes, the temporary price reduction is likely aimed at attracting customers to the store and increasing sales volume for the product. By offering the product at a lower price, the company is hoping to increase demand and potentially gain market share from competitors.

The lower price may also encourage customers to purchase more of the product than they would have otherwise, potentially leading to increased revenue and profits for the company.

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in the process of reconciling its bank statement for january, maxi's clothing's accountant compiles the following information: cash balance per company books on january 30 $ 5,225 deposits in transit at month-end $ 1,900 outstanding checks at month-end $ 570 bank service charges $ 30 an nsf check returned on a customer account $ 480 the adjusted cash balance per the books on january 31 is:

Answers

The final answer are adjusted cash balance per the books on January 31 is $ 6,025.

In the process of reconciling its bank statement for January, Maxi's Clothing's accountant compiles the following information:

Cash balance per company books on January 30 = $ 5,225

Deposits in transit at month-end = $ 1,900

Outstanding checks at month-end = $ 570

Bank service charges = $ 30

An NSF check returned on a customer account = $ 480

The adjusted cash balance per the books on January 31 is $ 6,025.

How to get the answer: The cash balance per the company books on January 30 = $ 5,225

The deposits in transit at month-end = $ 1,900.

The outstanding checks at month-end = $ 570.

So, the cash balance adjusted for the deposits in transit and the outstanding checks at the month-end = $ 5,225 + $ 1,900 - $ 570 = $ 6,555.

Then, the bank service charges = $ 30 and the NSF check returned on a customer account = $ 480.

Therefore, the adjusted cash balance per the books on January 31 is $ 6,555 - $ 30 - $ 480 = $ 6,025.

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