Shaffer Company acquires land for $78,000 cash. Additional costs are given below. What will Shaffer record the acquisition cost of the land as?
Removal of shed = $400
Filling and grading = $1,200
Salvage value of lumber of shed = $150
Broker commission = $1,180
Paving of parking lot = $10,000
Closing costs = $850

Answers

Answer 1

When a company acquires land, it must record the acquisition cost of the land as the total cost incurred to obtain the land and get it ready for its intended use. In this case, Shaffer Company acquired land for $78,000 cash and incurred additional costs to prepare the land for its intended use.

The total of these costs is $13,780, which includes the removal of the shed, filling and grading, salvage value of lumber of shed, broker commission, paving of parking lot, and closing costs.
Therefore, the acquisition cost of the land that Shaffer Company will record in its accounting records is the sum of the purchase price and the additional costs, which is $78,000 + $13,780 = $91,780.

It is important to note that the acquisition cost of the land includes all costs necessary to obtain and prepare the land for its intended use. This means that any costs incurred after the acquisition, such as repairs or maintenance, are not included in the acquisition cost and are expensed as incurred.

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Related Questions

in which life cycle phase do most conflicts over project objectives occur?

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Conflicts over project objectives can occur at various stages of the project life cycle, but they are most likely to occur during the planning phase. This is because the planning phase is when the project objectives and scope are defined, and stakeholders often have different ideas and expectations for what the project should achieve.

In addition, conflicts may arise as different stakeholders prioritize different aspects of the project, such as cost, schedule, quality, or scope.

During the planning phase, it is important for project managers to engage in effective stakeholder management, actively listening to and addressing stakeholder concerns, and negotiating to find a common ground.

By involving stakeholders in the planning process and communicating clearly about project objectives and constraints, project managers can reduce the likelihood of conflicts and ensure that everyone is aligned on the project goals.

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In the life cycle of a project, most conflicts over project objectives tend to occur during the implementation phase. This is the phase where the project plan is put into action, and stakeholders may have differing expectations or interpretations of the project's goals and outcomes.

During the execution phase, conflicts can arise due to factors such as scope changes, resource constraints, conflicting priorities, communication breakdowns, or unforeseen challenges. Different stakeholders may have different ideas about what success looks like for the project, leading to conflicts over objectives, deliverables, timelines, or resource allocation.

Conflicts over project objectives can also occur during the execution phase because the reality of implementation may uncover discrepancies or gaps between the initial plan and the actual progress. As the project unfolds, stakeholders may become more aware of constraints, risks, or competing interests, leading to disagreements about priorities or desired outcomes.

Managing conflicts over project objectives requires effective communication, stakeholder engagement, and a collaborative approach to problem-solving. Project managers and team leaders play a crucial role in facilitating discussions, aligning expectations, and finding mutually beneficial solutions.

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what were the primary business drivers that led vision x managers to seek out an erp system?

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The primary business drivers that led Vision X managers to seek out an ERP system were increased efficiency, improved data visibility, scalability, standardization, and cost reduction. I hope this long answer provides the clarity you were seeking.

The use of an ERP system is a strategic decision for any organization, as it impacts all business areas and processes. In the case of Vision X, several business drivers led managers to seek out an ERP system, including:

1. Increased Efficiency: The existing business processes and systems were outdated and manual, leading to inefficiencies and errors. Vision X managers recognized the need for a centralized system that could streamline processes, automate routine tasks, and increase efficiency.

2. Improved Data Visibility: With different systems in place for different departments, data was scattered and difficult to access. Vision X managers recognized the need for a system that could provide real-time data visibility, enabling better decision-making across the organization.

3. Scalability: As Vision X continued to grow, managers recognized that the existing systems would not be able to support the increasing demands of the business. An ERP system would provide the necessary scalability and flexibility to support growth and expansion.

4. Standardization: With different systems and processes in place, standardization was difficult to achieve. Vision X managers recognized the need for an ERP system that could provide a standardized approach to business processes and enable consistency across the organization.

5. Cost Reduction: The existing systems and processes were costly to maintain, and Vision X managers recognized the need for a system that could reduce costs by streamlining processes and eliminating manual work.

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intermodal combines several modes of shipment. the most common intermodal combination globally is

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Intermodal transportation is a method of shipping goods that involves using multiple modes of transportation such as trucks, trains, ships, and planes. By utilizing different modes of transportation, intermodal shipping can offer advantages such as increased flexibility, lower costs, and reduced environmental impact.

Trucks are used to transport goods from the shipper's location to the nearest rail terminal or intermodal hub. At the hub, the goods are then loaded onto a train for long-distance transportation. Trains can travel long distances quickly and efficiently, making them an ideal mode of transportation for intermodal shipping.

The use of trucks and trains as the most common intermodal combination globally has several benefits. Trucks can offer flexibility and convenience for local pickups and deliveries, while trains can provide cost-effective and efficient long-distance transportation.

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Which method of entering the global marketplace would be LEAST risky? a. Exporting b. Licensing c. Contract manufacturing d. Joint ventures e. Direct investment.

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In terms of the least risky method of entering the global marketplace, I would say that exporting is generally considered to be the safest option.

Exporting involves selling goods or services produced in one country to customers in another country.

It allows companies to dip their toes into the global marketplace without investing a lot of money or resources upfront.

Additionally, exporting allows companies to maintain control over their intellectual property and brand, as they are not relying on another company to produce or market their products.
However, it's important to note that while exporting may be the least risky option, it still comes with its own set of challenges and considerations.

For example, companies need to be aware of different regulations and cultural norms in each country they are exporting to, and they may need to modify their products or marketing strategies accordingly.

Additionally, exporting may not be a sustainable long-term strategy for companies looking to establish a significant presence in the global marketplace.

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TRUE / FALSE. which of the above synchronization primitives always ensures orderly execution of threads

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TRUE, The synchronization primitive that always ensures orderly execution of threads is a mutex. A mutex allows only one thread to access a shared resource at a time, thereby preventing conflicts and ensuring orderly execution.

The statement that synchronization primitives always ensure orderly execution of threads is false. Synchronization primitives, such as mutexes, semaphores, and critical sections, can help coordinate and control the execution of threads, but they do not guarantee a specific order of execution. The order in which threads are executed depends on factors like scheduling algorithms and hardware specifics, and may vary at runtime. Synchronization primitives are primarily used to prevent race conditions and ensure that shared resources are accessed safely by multiple threads.

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frankin corporation's net cash provided by operating activities was $230; its capital expenditures were $91; and its cash dividends were $48. the company's free cash flow was:

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Free cash flow is a financial metric used to evaluate a company's ability to generate cash after accounting for capital expenditures and dividends paid to shareholders. It is calculated by subtracting capital expenditures and dividends from net cash provided by operating activities.

Therefore, to calculate Frankin Corporation's free cash flow, we can subtract its capital expenditures and dividends from its net cash provided by operating activities. Using the information provided, we can calculate Frankin Corporation's free cash flow as follows: Free Cash Flow = Net Cash Provided by Operating Activities - Capital Expenditures - Cash Dividends Free Cash Flow = $230 - $91 - $48 Free Cash Flow = $91 Therefore, Frankin Corporation's free cash flow was $91.

Free cash flow is an important metric for investors as it represents the amount of cash that a company has available to invest in growth opportunities or return to shareholders through stock buybacks or increased dividends. A positive free cash flow indicates that a company is generating enough cash to fund its operations and invest in future growth, while a negative free cash flow indicates that a company may be struggling to generate enough cash to cover its expenses and investments. It is important to note that free cash flow is not the only metric that investors should consider when evaluating a company's financial health. Other metrics, such as revenue growth, profit margins, and return on equity, should also be taken into account to gain a complete understanding of a company's financial performance and prospects for future growth.

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Which of the following is true about the auditor's use of an internal auditor and a RC specialist? The auditor must assess the competency of both the internal auditor and the specialist.
A specialist may be related to the client, but an internal auditor may not.
The auditor may share responsibility for the audit report with an internal auditor who is deemed to be both objective and competent, but may not share such responsibility with a specialist. The auditor may share responsibility for the audit report with a specialist who is deemed to be both objective and competent, but may not share such responsibility with an internal auditor.

Answers

The correct statement is that the auditor must assess the competency of both the internal auditor and the specialist.

When conducting an audit, the auditor may rely on the work performed by an internal auditor or engage the expertise of a specialist to gather relevant information and support their audit procedures.

In both cases, it is the responsibility of the auditor to assess the competency and objectivity of these individuals. The auditor needs to ensure that the internal auditor possesses the necessary skills, knowledge, and experience to perform their assigned tasks effectively and independently. Similarly, when engaging a specialist, the auditor must evaluate their expertise and independence to rely on their work.

While a specialist may be related to the client, it does not necessarily mean that they lack objectivity or cannot contribute to the audit process. The auditor should carefully consider any potential conflicts of interest or biases that may arise due to the specialist's relationship with the client.

Ultimately, the auditor retains the responsibility for the audit report and may share responsibility with an internal auditor or a specialist who is deemed to be both objective and competent. The key consideration is the competency and objectivity of the individuals involved in supporting the audit process.

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.Senior executive service (SES) positions are A. political appointments.
B. civil service positions.
C. congressionally appointed.
D. hybrids of political appointments and civil service positions.
E. congressionally appointed civil service positions.

Answers

Senior executive service (SES) positions are hybrids of political appointments and civil service positions. The correct answer is option d.

Senior Executive Service (SES) positions are a category of high-level positions within the federal government of the United States. These positions are considered to be hybrids of political appointments and civil service positions.

While SES positions are part of the civil service, they also involve a certain level of political appointment and are subject to more flexibility and mobility compared to other civil service positions. Individuals in SES positions are typically selected based on their qualifications, expertise, and leadership abilities, and they serve as executives or managers responsible for policy implementation and decision-making.

Unlike traditional civil service positions, SES positions can be filled by individuals who are not career civil servants but rather appointed from outside the existing civil service. This allows for the appointment of individuals with specific expertise or leadership qualities that are needed to address particular challenges or objectives.

It's worth noting that while SES positions are hybrids of political appointments and civil service positions, they are not congressionally appointed (option C) or congressionally appointed civil service positions (option E). The appointments to SES positions are made by the executive branch of the government.

The correct answer is option d.

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if your disc or drum brakes suddenly fail you should

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If your disc or drum brakes suddenly fail, it can be a scary situation. The first thing you should do is stay calm and try not to panic. You need to focus on bringing the vehicle to a stop in a safe manner. The first step is to downshift your vehicle if it is a manual transmission, or shift to a lower gear if it is automatic.

This will help slow down the vehicle. Next, you can use the emergency or parking brake to slow the vehicle down. However, be aware that using the emergency brake for an extended period of time can cause it to overheat and fail as well. Try to steer the vehicle towards an open space or an area with less traffic.

Once you have slowed down to a safe speed, try to safely bring the vehicle to a stop. Once you have come to a stop, turn on your hazard lights and call for assistance. It is important to have your brakes checked by a professional before driving the vehicle again.

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When it comes to determining the appropriate quantity of physical capital to​ use, the firm employs a decision rule that is conceptually __________ the approach it takes in choosing the number of workers to hire.

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When it comes to determining the appropriate quantity of physical capital to use, the firm employs a decision rule that is conceptually similar to the approach it takes in choosing the number of workers to hire.

In the case of physical capital, the cost of acquiring and maintaining the equipment must be weighed against the potential increase in output that the equipment can generate. Similarly, in the case of labour, the cost of hiring and training additional workers must be weighed against the potential increase in productivity that they can bring to the firm.

Both decisions also involve considering the firm's long-term goals and objectives. For example, a firm that plans to expand its operations may need to invest in additional physical capital and hire more workers to accommodate the growth. Alternatively, a firm that is focused on reducing costs may choose to reduce its physical capital and labor inputs to achieve greater efficiency.

In summary, while the decision rule for determining the appropriate quantity of physical capital to use is not identical to the approach taken in choosing the number of workers to hire, it shares many similarities in terms of weighing costs and benefits, considering long-term goals and objectives, and seeking to maximize the firm's overall efficiency and profitability.

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firms often price some basic products very low in hopes that consumers will purchase other products when they are drawn in by the low-price deals. this is referred to as .

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The practice described, where firms offer low-priced products to attract customers and encourage them to buy other items, is known as loss leader pricing.

Loss leader pricing is a marketing strategy where a company sets the price of a specific product or a few products at a very low level, often below cost or with minimal profit margin. The goal is to entice customers into the store or to the company's website with the hope that they will purchase other higher-priced items along with the discounted product. By offering a highly appealing deal on a basic or essential item, the company aims to generate increased customer traffic and potentially boost overall sales and profitability through the additional purchases made by those customers. The strategy relies on the idea that customers will be more likely to buy additional products once they are already engaged with the brand or business.

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month principal 20 pr balance 1 $1,000.00 ($1,000 x .2 x 1/12) = $16.67 $1,016.67 2 $1,016.67 $16.94 $1,033.61 3 $1,033.61 $17.23 $1,050.84

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Based on the provided information, it appears to be a schedule of monthly payments towards a loan or debt. Each month, a portion of the principal is paid along with interest, resulting in a decreasing balance over time.

In the given table, the initial principal is $1,000. In the first month, a payment of $20 is made, which consists of the interest calculated based on the remaining balance ($1,000) multiplied by the interest rate (0.2) and divided by 12 months, resulting in $16.67. The remaining $3.33 goes towards reducing the principal. As a result, the new balance for the first month is $1,016.67.

This pattern continues for the subsequent months, with a portion of the payment allocated to interest and the remaining amount reducing the principal. The interest amount decreases as the balance decreases, while the principal gradually decreases over time.

It is important to note that the provided table showcases a portion of the repayment schedule. To analyze the complete schedule and calculate the final payment or remaining balance, additional information is required, such as the total number of months, interest rate, and any other relevant terms of the loan or debt.

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assume a manufacturing company is deciding whether to make or buy a component part. which of the following indicates the need to include an opportunity cost when making the decision?

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When a manufacturing company is deciding whether to make or buy a component part, the need to include an opportunity cost arises if there are alternative uses for the resources that would be utilized in producing the part.

The need to include an opportunity cost arises when the manufacturing company can use its resources to produce the component part instead of buying it from an external supplier. This means that by choosing to make the component part, the company is giving up the opportunity to use those resources for other profitable activities. Therefore, the opportunity cost must be taken into consideration when making the decision. This is because the company must consider the potential benefits or profits it could generate from using those resources in a different way, which is the opportunity cost of choosing to make the component part in-house.

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how many fewer meals does barbara serve than she would if the market were perfectly competitive?

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If Barbara is a seller in a market that is not perfectly competitive, she may be able to charge higher prices for her meals and therefore sell fewer meals than she would in a perfectly competitive market where prices are determined solely by supply and demand.

On the other hand, if Barbara is a buyer in a market that is not perfectly competitive, she may have to pay higher prices for her ingredients and therefore be able to serve fewer meals than she would in a perfectly competitive market. So, without more context, I cannot provide a specific answer to your question. However, I hope this long answer helps provide some clarity on the factors that could impact Barbara's meal servings in different market conditions.

To determine how many fewer meals Barbara serves than she would if the market were perfectly competitive, we need to follow these steps:
1. Identify the number of meals served by Barbara in the current market condition (monopoly, oligopoly, etc.).
2. Calculate the number of meals that would be served in a perfectly competitive market.
3. Subtract the number of meals served in the current market from the number of meals served in a perfectly competitive market.

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Concerning relationship between beginning finished goods inventory, ending finished goods inventory, production, and sales, which of the following is true? a. Production = Sales + Ending Inventory - Beginning Inventory b. Production = Beginning Inventory - Ending Inventory + Sales c. Production = Beginning Inventory + Sales - Ending Inventory d. Production = Beginning Inventory + Ending Inventory

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The correct relationship between beginning finished goods inventory, ending finished goods inventory, production, and sales is: a. Production = Sales + Ending Inventory - Beginning Inventory

This equation accounts for the changes in inventory levels during the given period. It states that production is equal to sales plus the change in inventory, which is represented by the ending inventory minus the beginning inventory.

By subtracting the beginning inventory from the ending inventory, we can determine the net change in inventory. Adding this change to the sales figure gives us the total production for the period.

This equation reflects the relationship between the various components and helps in understanding the flow of goods within the production and sales process.

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sakura is a production manager and has decided that grouping machinery and equipment according to their functions works best at her company. what layout would be her company be using?

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Sakura's company would be using a functional layout. A functional layout, also known as process layout or functional departmentalization, involves grouping machinery, equipment, and other resources based on their functions or operations.

In this type of layout, similar or related machines or equipment are grouped together in separate departments or areas based on the tasks they perform. For example, all cutting machines may be grouped together in one department, while all assembling equipment may be grouped in another department.

The functional layout is commonly used in manufacturing or production environments where different operations or processes need to be performed on the product. This layout allows for specialized equipment and expertise in each department, optimizing efficiency and productivity. It also facilitates easy monitoring and supervision of each department's activities.

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StarDucks, Inc (SDUX) is an American coffee company with more than 10,000 coffeehouses operating in the United States. Unlike many of its major competitors, it remained focused only on the production and sale of coffee drinks so far, rather than diversifying into other similar food and beverage lines. Recently, to respond to increasing demands from its customer regarding new products, and to boost the company’s growth, the executive staff has been seriously thinking about entering into a different business line "SDUX Gelato" to realize new growth opportunities.
An initial forecasting effort has been done to project the initial investment and subsequent cash flows for the next 5 years:
Year
0
1
2
3
4
5
Cash Flow ($000s)
-1,750,000
-150,000
420,000
550,000
200,000
125,000
After the initial 5 years, SDUX believes the market will continue in perpetuity: however, given that the segment will reach maturity, it would very likely be a zero growth business. The company uses NPV for capital budgeting decisions on new products and investments.
As of today, SDUX currently has $8 billion in bonds (debt) outstanding. Their stock closed at
$40/share and there are 300 million shares outstanding. The beta of SDUX stock (equity) is approximately 0.8. SDUX is an "A-rated’ company credit-wise, and continues to borrow at the current rate of 3.1% like most companies in that rating category. They face a marginal tax rate of 35%. Recent market data shows that 10-year US treasuries yield 1.8% and the expected market risk premium going forward is 6%.
Additionally, in considering the new investment, SDUX is likely going to raise new capital which it will finance through an equity offering. Based on the recommendation by their investment bank, SDUX considers establishing a new capital structure that will be 75% equity if they decide to go forward with the new business.
SDUX has also identified a pure play company, G-Latte-O Corp, that only produces and sells high end coffee-flavored gelato products. G-Latte-O has a capital structure that is 15% debt –
85% equity and has an equity beta of 1.4. They have the same marginal tax rate as SDUX.
a) Calculate the current WACC for SDUX Corporation and determine whether the company should proceed with the investment at that discount rate.

Answers

The current WACC for SDUX Corporation is equal to 5.44%.

Risk-Free Rate = 1.8%

Equity Risk Premium = 6%

Beta (SDUX) = 0.8

To calculate the Weighted Average Cost of Capital (WACC) for SDUX Corporation,

Determine the cost of equity and the cost of debt.

Cost of Equity (Ke),

The cost of equity is calculated using the Capital Asset Pricing Model (CAPM).

The formula is as follows,

Ke = Risk-Free Rate + Beta × Equity Risk Premium

    = 1.8% + 0.8 × 6%

    = 6.6%

Cost of Debt (Kd).

The cost of debt is the yield on the company's outstanding debt.

SDUX currently borrows at a rate of 3.1% and the company is 'A-rated'

we can use this rate as the cost of debt.

Kd = 3.1%

Capital Structure Weights,

SDUX plans to establish a new capital structure that will be 75% equity and 25% debt.

Equity Weight (E)= 75%

Debt Weight (D)= 25%

Tax Rate,

SDUX has a marginal tax rate of 35%.

Calculation of WACC:

The WACC is calculated as the weighted average of the cost of equity and the after-tax cost of debt using the capital structure weights,

WACC = (E / V) × Ke + (D / V) × Kd × (1 - Tax Rate)

Where V is the total value of the firm (equity + debt).

Here,

Equity Value (market cap) = Stock Price × Number of Shares

Debt Value = $8 billion (outstanding bonds)

Equity Value = $40 × 300 million

                     = $12 billion

Total Value (V)

= Equity Value + Debt Value

= $12 billion + $8 billion

= $20 billion

Plugging in the values, we get,

WACC = (0.75 × 6.6%) + (0.25 × 3.1%) × (1 - 35%)

           = 4.95% + 0.4875%

           = 5.4375%

Therefore, the current Weighted Average Cost of Capital (WACC) for SDUX Corporation is approximately 5.44%.

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Avon Barksdale's operation uses large quantities of prepaid cell phones, on average 500 per week with a standard deviation of 45. The lead time for their own brand of prepaid cell phones is two weeks and they have a lot size of 125 phones





21) What is the standard deviation of demand during their lead time? A) 45 phones B) 64 phones C) 90 phones D) 109 phones





22) Suppose Mr. Barksdale sets his reorder point at 1100 phones. What is his average cell phone inventory? A) 87. 5 phones B) 105 phones C) 162. 5 phones D) 257. 5 phones





23) What is the average flow time of a phone if the reorder point used by Mr. Barksdale is 2000 phones? A) 1. 74 weeks B) 1. 87 weeks C) 2. 00 weeks D) 2. 13 weeks

Answers

Avon Barksdale's operation uses large quantities of prepaid cell phones:

64 phones are the standard deviation of demand during their lead time. His typical cell phone collection is 162.5 phones. If Mr. Barksdale used 2000 phones as his reorder point, the average flow time for a phone is 2.13 weeks.

Because it helps measure volatility in markets and securities and predict performance trends, standard deviation is an especially useful tool in investing and trading strategies. As it connects with effective money management, for instance, a file store is probably going to have a low standard deviation versus its benchmark record, as the's asset will likely recreate the list.

In contrast, one can anticipate that aggressive growth funds will have a high standard deviation from relative stock indices due to the aggressive wagers made by their portfolio managers to generate returns that are higher than average.

A lower standard deviation is not always better. Everything relies upon the ventures and the financial backer's eagerness to expect risk. Investors should take into account their tolerance for volatility and their overall investment goals when dealing with portfolio deviation. An investment strategy that chooses vehicles with higher-than-average volatility may be acceptable to more aggressive investors, whereas more conservative investors may not.

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An 8%, 30-year bond has a yield to maturity of 10% and a modified duration of 8.0 years. If the market yield drops by 15 basis points, there will be a _____ in the bond's price.
(a) 1.15% decrease
(b) 1.20% increase
(c) 1.53% increase
(d) 2.43% decrease

Answers

An 8%, 30-year bond has a yield to maturity of 10% and a modified duration of 8.0 years. If the market yield drops by 15 basis points, there will be a 1.53% in the bond's price (option c).

The modified duration of a bond measures the sensitivity of the bond's price to changes in interest rates. In this case, the bond has a modified duration of 8.0 years, which means that for every 1% change in interest rates, the bond's price will change by approximately 8.0%.

If the market yield drops by 15 basis points (0.15%), the new yield to maturity will be 9.85%. Using the modified duration formula, we can calculate the expected change in the bond's price:

% Change in Price = -Modified Duration x % Change in Yield
% Change in Price = -8.0 x (-0.15%)
% Change in Price = 1.20% increase

However, we also need to account for the initial yield to maturity of 10%. Since the bond's yield is now closer to its initial yield, the price change will be slightly less than the expected change. Using the convexity formula, we can adjust the expected change in price:

Adjusted % Change in Price = % Change in Price / (1 + Yield to Maturity / 2) x Convexity
Adjusted % Change in Price = 1.20% / (1 + 10% / 2) x 67.04
Adjusted % Change in Price = 1.53% increase

Therefore, if the market yield drops by 15 basis points, the bond's price will increase by approximately 1.53%. The correct answer is (c) 1.53% increase.

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what is the payback period for the following set of cash flows? year cash flow 0 −$ 5,300 1 1,100 2 1,900 3 2,000 4 2,800

Answers

The payback period for the given set of cash flows is 3 years.

How to calculate the payback period for the given cash flows?

To calculate the payback period, we need to determine the time it takes for the initial investment to be recovered from the cash flows. In this case, the initial investment is -$5,300. We will accumulate the cash flows until the cumulative total becomes positive or zero, indicating the payback period.

The cumulative cash flows are as follows:

Year 0: -$5,300

Year 1: -$5,300 + $1,100 = -$4,200

Year 2: -$4,200 + $1,900 = -$2,300

Year 3: -$2,300 + $2,000 = -$300

Year 4: -$300 + $2,800 = $2,500

Based on the calculations, the payback period is three years. By the end of the third year, the cumulative cash flows have turned positive, indicating the recovery of the initial investment.

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Yield pricing practices are common in low-fixed-cost service businesses. T/F

Answers

True. Yield pricing practices are commonly used in low-fixed-cost service businesses such as airlines, hotels, and rental car companies. These businesses often have high variable costs but low fixed costs, meaning they can adjust prices based on demand to maximize revenue.

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1. What are safe harbor classes? Give at least three
examples.
2. What is the significance of the European eBay decisions? How
is it related to the Tiffany vs eBay case?
3. Distinguish between contrib

Answers

Safe harbor classes refer to specific categories or types of entities that are provided legal protections or immunity from certain liabilities under the law. Here are three examples of safe harbor classes:

Safe harbor classes, also known as safe harbor provisions, are legal protections or immunities granted to certain entities or individuals from liability for certain actions or behaviors. Here are three examples of safe harbor classes Digital Millennium Copyright Act (DMCA) Safe Harbor: Under this provision, online service providers are shielded from copyright infringement liability for user-generated content on their platforms, as long as they promptly respond to takedown notices and meet other specified requirements.Communications Decency Act (CDA) Safe Harbor: Section 230 of the CDA protects internet service providers and website operators from liability for content posted by their users. It allows platforms to moderate and filter user-generated content without being held legally responsible for the content's accuracy or legality.

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brokers must retain brokerage relationship disclosure documents for 5 years except when

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Brokers must retain brokerage relationship disclosure documents for 5 years except when transactions do not result in a written agreement.

Brokers must retain brokerage relationship disclosure documents for 5 years. However, the exception is when the broker is involved in a transaction that does not result in a written agreement, such as when a client chooses not to move forward with a transaction or when the broker is only providing information about a property without representing the client. In these cases, the broker is not required to keep the disclosure documents for the full 5-year period.

Hence, when there is no production of written agreement, the broker is not required to retain brokerage relationship disclosure documents for 5 years.

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there is a skating rink in your city that is open to anybody to use at any time. they even provide skates for people who don't own any. this is an example of a good that is

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The skating rink in your city that is open to anybody to use at any time and even provides skates for people who don't own any is an example of a good that is a public good.

Public goods are goods that are non-excludable, meaning that it is difficult or impossible to exclude someone from using the good, and non-rivalrous, meaning that one person's use of the good does not diminish another person's use of the good.

In the case of the skating rink, anyone can use it at any time and the use of the rink by one person does not diminish the ability of others to use the rink.

Additionally, the fact that the rink provides skates for people who don't own any makes it more accessible to a wider range of people, further contributing to its status as a public good.

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Answer:

the correct answer is nonrivalrous and nonexcludable

Explanation:

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wholesalers most likely discourage less-profitable customers by ________. A) increasing product promotions
B) carrying exclusive product lines
C) overseeing inventory control systems
D) adding service charges to small purchase orders
E) requiring smaller orders to lower transportation costs

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Wholesalers are typically focused on maximizing profits and minimizing costs. Therefore, it is likely that they discourage less-profitable customers by implementing strategies that reduce their expenses and increase their revenues.

One possible approach that wholesalers may use is carrying exclusive product lines that appeal to higher-end customers who are willing to pay premium prices. By doing so, they can avoid dealing with customers who are looking for cheaper alternatives and are less likely to generate significant profits. Another way that wholesalers may discourage less-profitable customers is by requiring smaller orders to lower transportation costs. By setting a minimum order quantity, wholesalers can ensure that their delivery expenses are covered and that they are not wasting resources on small and unprofitable orders. Additionally, wholesalers may add service charges to small purchase orders to offset the costs of handling and processing them.

Overall, wholesalers are likely to prioritize their most profitable customers and focus their resources on serving their needs. This means that less-profitable customers may not receive the same level of attention or service, and may be discouraged from doing business with the wholesaler.

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to encourage improvement in the process the container size should be

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The container should be optimized for the process in question.

To encourage improvement in a process, the container size should be optimized for the specific process requirements. This means that the container size should be designed to meet the needs of the process in terms of material handling, storage, and transportation, while minimizing waste, delays, and other inefficiencies.

The choice of container size can have a significant impact on the efficiency and effectiveness of a process, as it affects the flow of materials, the use of resources, and the overall productivity of the system. In some cases, a larger container size may be more appropriate, as it can reduce the frequency of material handling and transportation, and enable greater throughput.

However, in other cases, a smaller container size may be more efficient, as it can reduce inventory holding costs, minimize waste, and improve material flow and handling. To determine the optimal container size for a given process, it is important to consider a range of factors, such as the type and quantity of materials, the available storage space, the production rate, and the overall process flow. By selecting the right container size for the process, organizations can improve their operational performance, reduce costs, and enhance customer satisfaction.

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Which of the following represents potential ethical challenges associated with prediction markets?
a. Artificial inflation of product prices
b. Money-laundering
c. High-interest financing
d. Confiscation by government agencies
e. An insider trading information

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Potential ethical challenges:  Artificial inflation of product prices, Money-laundering and Insider trading information. The correct options re a, b and e.

Prediction markets, which involve forecasting the outcome of events through trading in virtual or real currency, can pose potential ethical challenges. Some of these challenges include:

a. Artificial inflation of product prices: Participants in prediction markets may attempt to manipulate the market by artificially inflating the perceived value of certain outcomes, leading to distorted forecasts and potentially causing harm to those relying on the predictions for decision-making purposes.

b. Money-laundering: Prediction markets may be susceptible to money-laundering schemes, as individuals can use them to transfer funds while disguising the origin of the money. This illegal activity can lead to an erosion of trust in prediction markets and compromise their integrity.

e. Insider trading information: Participants with access to non-public information can exploit prediction markets for personal gain. This undermines the fairness of the market and violates the principle of equal access to information for all participants.

While options c and d are not directly related to ethical challenges within prediction markets, they may still be relevant in the broader context of financial transactions and market regulations. It is essential for stakeholders in prediction markets to be aware of these ethical challenges and develop strategies to mitigate their impact on market integrity and participant trust. The correct options re a, b and e.

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Explain the differences between the NPV, payback period, BCB, and IRR. What factors have the largest impact on the rate of return of capital investments, and what variables are these factors subsequently determined by?

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The factors with the largest impact on the rate of return of capital investments are cash flows, discount rate, project duration, and initial investment cost, and these factors are determined by market conditions, risks, cost of capital, competition, and industry dynamics.

What factors have the largest impact on the rate of return of capital investments and what variables are these factors subsequently determined by?

The differences between NPV (Net Present Value), payback period, BCB (Benefit-Cost Ratio), and IRR (Internal Rate of Return) are as follows:

NPV: NPV is a measure that calculates the difference between the present value of cash inflows and outflows of a project. It considers the time value of money by discounting future cash flows to their present value. A positive NPV indicates a profitable investment.

Payback period: Payback period is the time required for an investment to generate enough cash flows to recover the initial investment cost. It does not consider the time value of money and focuses on the time it takes to recoup the investment.

BCB: Benefit-Cost Ratio is the ratio of the present value of cash inflows to the present value of cash outflows. It provides an indication of the overall profitability of an investment project. A BCB greater than 1 indicates that the project is financially viable.

IRR: IRR is the discount rate that makes the net present value of an investment equal to zero. It represents the rate of return at which the project breaks even. A higher IRR is generally preferred as it signifies a more attractive investment.

These factors are subsequently determined by various considerations such as market conditions, project-specific risks, cost of capital, competitive landscape, and industry dynamics.

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a disadvantage of the cash payback technique is that
A. it ignores the cost of an investment. B. ignores the time value of money. C. ignores obsolescence factors.
D. is complicated to use.

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According to the given question, the disadvantage of the cash payback technique is that it ignores the time value of money, which is correct (option B).

The cash payback technique is a common method used by businesses to evaluate the financial feasibility of an investment. However, one significant disadvantage of this technique is that it ignores the time value of money. This means that it fails to take into account the fact that money today is worth more than the same amount of money in the future due to inflation and other factors. Another disadvantage of the cash payback technique is that it ignores obsolescence factors. This means that it does not account for the fact that an investment may become outdated or obsolete over time, reducing its value.

Finally, while not directly related to financial calculations, some argue that the technique is complicated to use, requiring a significant amount of time and resources to calculate accurately. Therefore, it is essential to consider these limitations carefully when using the cash payback technique to make investment decisions.

A disadvantage of the cash payback technique is that it ignores the time value of money (option B). The cash payback technique calculates the period required to recover the initial investment through cash inflows generated by the project. However, this method does not take into account the time value of money, which considers that the value of money decreases over time due to factors like inflation and risk.

As a result, the cash payback technique may not provide an accurate assessment of an investment's profitability or viability. It is essential to consider the time value of money in investment analysis to make informed decisions.

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Which of the following is least likely to be disclosed in the financial statements of a bond issuer? a. The amount of debt that matures in each of the next five years. b. Collateral pledged as security in the event of a default. c. The market rate of interest at the balance sheet date

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The least likely information to be disclosed in the financial statements of a bond issuer is the market rate of interest at the balance sheet date.

Financial statements of a bond issuer typically provide comprehensive information about the issuer's financial position, performance, and obligations.

However, the market rate of interest at the balance sheet date is not typically disclosed in the financial statements. This is because the market rate of interest can fluctuate and may not be known with certainty at the balance sheet date.

The market rate at which the bonds were issued, known as the coupon rate, is usually provided in the financial statements. Additionally, the amount of debt that matures in each of the next five years and collateral pledged as security in the event of a default are commonly disclosed to provide transparency and insight into the bond issuer's future obligations and risk management.

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The data below shows the sugar content in grams of several brands of children's and adults' cereals. Create and interpret a 95% confidence interval for the difference in the mean sugar content, C - A. Be sure to check the necessary assumptions and conditions. (Note: Do not assume that the variances of the two data sets are equal.) Full data set Children's cereal: 44.6, 59.1, 47.1, 41.2, 54.7, 48.2, 51.7, 43.7, 43.5, 41.9, 49.4, 44.6, 38.5, 58.6, 49.7, 50.4, 36.5, 59.8, 40.7, 32 Adults' cereal: 21, 29.4, 1, 9.2, 3.8, 24, 17.1, 12.2, 21, 5.3, 9, 10.6, 15.2, 12.8, 4.9, 15.5, 0.9, 4.3, 0.3, 5.3, 14.3, 3.7, 0.7, 0.8, 8, 0.6, 16.4, 7.8, 19.4, 14 The confidence interval is (Round to two decimal places as needed.) find the power series representation for g centered at 0 by differentiating or integrating the power series for f. give the interval of convergence for the resulting series. g(x) , f(x) which of the following results in an increase in the entropy of the system? o c2h5oh() 3 02(8) -> 2 co2(g) 3 h20(1) o 4 no(g) 6 h20(g) -> 4 nh3(8) 5 02(8) o baci(ag) nazsoa(ag) -> basoa(s) 2 nacl(aq) o libr(s) -> lit (ag) br (ag) which term describes the watery membrane that surrounds the lungsA. Pleural membraneB. PericardiumC. PeritoneumD. 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