Both partnerships would have a tax year that ends on December 31st (since they are calendar year taxpayers) and the required tax share would end on that date as well.
Anna and Matilda are calendar year taxpayers, each owning a 50% interest in a partnership. A third partner owns a 70% interest in another partnership, with a fiscal year ending on March 30th. The partnerships have not established a business purpose for using different tax years, nor have they made a fiscal year tax year election.
To determine the tax year end for the partnership, we need to follow these steps:
1. Identify the majority interest partners: Since Anna and Matilda each own a 50% interest, their combined ownership is 100%. They are the majority interest partners.
2. Determine their tax year: As calendar year taxpayers, Anna and Matilda's tax year ends on December 31st.
3. Evaluate the third partner's tax year: The third partner's other partnership has a fiscal year ending on March 30th. However, this is not relevant to the current partnership's tax year determination.
4. Apply the majority interest tax year rule: Since the majority interest partners, Anna and Matilda, have a tax year end on December 31st, the partnership will also have its tax year end on December 31st.
In conclusion, the partnership's required tax year end will be on December 31st, following the majority interest partners' tax year.
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which characteristic of insurance means that only one party, the insurer, defines and prepares the insurance contract, which is non-negotiable by the other party? aleatory conditional unilateral adhesion
The characteristic of insurance that describes this scenario is called adhesion. Adhesion means that only one party, the insurer, defines and prepares the insurance contract, which is non-negotiable by the other party.
The characteristic of insurance you're referring to is "adhesion." In an adhesion insurance contract, only one party (the insurer) defines and prepares the terms of the contract, and these terms are non-negotiable for the other party (the insured).
The characteristic of insurance that describes this scenario is called adhesion. Adhesion means that only one party, the insurer, defines and prepares the insurance contract, which is non-negotiable by the other party. This is because the insured party typically has little to no bargaining power and must accept the terms offered by the insurer. This type of contract is also referred to as a standard form contract or a take-it-or-leave-it contract.
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forecasting into distant future periods group of answer choices is unreliable is expensive is easy assumes changing data patterns
Forecasting into distant future periods for a group is unreliable due to the potential for changing data patterns and the uncertainty associated with long-term predictions.
When forecasting into distant future periods, it is important to keep in mind that the reliability of the predictions may be uncertain due to various factors such as changing market conditions, unforeseen events, and technological advancements.
As a result, it can be difficult and expensive to accurately forecast these future periods. Additionally, it is important to understand that assumptions about changing data patterns may also impact the accuracy of the predictions.
Therefore, it is important to carefully consider the potential risks and limitations associated with forecasting future periods before making any major decisions.
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the optimal outcome in the example of al and bob in the video, in which both magicians keep their promises and each earns $10,000, is:
The optimal outcome in the example of Al and Bob in the video, in which both magicians keep their promises and each earns $10,000, is known as the "pareto optimal" or "pareto efficient" outcome.
This means that it is the most efficient allocation of resources, in which neither party can be made better off without making the other party worse off. In this scenario, both magicians have fulfilled their obligations and received the maximum benefit without causing harm to the other party.
The pareto optimal outcome is an important concept in economics and game theory, as it represents a state of maximum efficiency and fairness in the allocation of resources.
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smith bank has $15 million in deposits, $2 million in loans, $8 million in bonds and $4 million in reserves. what is the bank's net worth?
The net worth of Smith Bank is $4 million.
The net worth of a bank is also known as its equity or capital. It represents the residual interest in the bank's assets after deducting its liabilities.
We can calculate the net worth of Smith Bank by subtracting its total liabilities from its total assets:
Total assets = $15 million (deposits) + $2 million (loans) + $8 million (bonds) + $4 million (reserves) = $29 million
Total liabilities = $15 million (deposits) + $2 million (loans) + $8 million (bonds) = $25 million
Net worth (equity or capital) = Total assets - Total liabilities = $29 million - $25 million = $4 million
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isachime agrees to buy a unique collection of antiques for 1000 from jamie and sends 250 as a down payment when isachime sends the remaining amount due jamie refuses to ship the antiques considering the unique nature (True/False)
True. Since Jamie has not received the full payment for the antiques, they have the right to refuse to ship them to Isachime. The down payment of 250 is only a partial payment and the main amount of 750 still needs to be paid. Without the full payment, Jamie is not obligated to ship the antiques.
Based on the information provided:Isachime agrees to buy a unique collection of antiques for 1000 from Jamie and sends 250 as a down payment. When Isachime sends the remaining amount due, Jamie refuses to ship the antiques, considering the unique nature.True.In this scenario, Isachime has entered into a contract with Jamie for the purchase of a unique collection of antiques, making an initial down payment of 250. When Isachime sends the remaining 750 as agreed, Jamie refuses to ship the antiques despite the agreement. This is a breach of contract, as Jamie is not fulfilling their part of the agreement.
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the purpose of enterprise resource planning is to support planning and execution systems and the decisions they drive throughout your company. group startstrue or false
The statement "the purpose of enterprise resource planning is to support planning and execution systems and the decisions they drive throughout your company. group starts" is true.
The purpose of Enterprise Resource Planning (ERP) is to support planning and execution systems and the decisions they drive throughout a company. ERP is a software system that integrates various departments and functions across an organization into a single system.
This allows data to be shared across the organization in real-time, which helps to streamline business processes and improve decision-making.
ERP systems typically include modules for various business functions, such as accounting, human resources, supply chain management, inventory management, and customer relationship management.
By integrating these functions into a single system, ERP helps to eliminate data silos and improve communication and collaboration across departments. The result is a more efficient and effective organization that can respond quickly to changing business needs.
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The ADJUSTED Trial Balance of Practice Contractors for the year ended December 31, 2020, follows: Practice Contractors
ADJUSTED Trial Balance
December 31, 2020 Account Title Debit Credit Office supplies $10,000 Cash 1,100 Prepaid insurance 2,500 Equipment 40,000 Accumulated depreciation-Equipment $10,000 Accounts payable 8,000 Wages payable 1,200 Unearned service revenue 14,000 Capital 33,000 Withdrawals 6,000
Repair service revenue 75,000 Wages expense 50,000 Rent expense 12,000 Depreciation expense 10,000
Office supplies expense 3,600 Utilities expense 3,600 Insurance expense 2.400 Total $ 141,200 $ 141,200
Required: Based on the adjusted account balances listed above, complete the following: a. Income Statement b. Salement Owner's Equity (Note: allowter investments were made during 2020) c. Balance Sheet Remember:
Total liabilities and owner's equity: $37,600.
a. Income Statement
Revenue:
Repair service revenue $75,000
Expenses:
Wages expense $50,000
Rent expense $12,000
Depreciation expense $10,000
Office supplies expense $3,600
Utilities expense $3,600
Insurance expense $2,400
Total expenses: $81,600
Net income: $75,000 - $81,600 = ($6,600)
b. Statement of Owner's Equity
Capital, December 31, 2019 $27,000
Add: Investments made during 2020 (information not provided)
Net loss for 2020 ($6,600)
Less: Withdrawals ($6,000)
Capital, December 31, 2020: $27,000 - $6,600 - $6,000 = $14,400
c. Balance Sheet
Assets:
Cash $1,100
Prepaid insurance $2,500
Equipment $40,000
Less: Accumulated depreciation-Equipment ($10,000)
Office supplies $10,000
Total assets: $43,600
Liabilities:
Accounts payable $8,000
Wages payable $1,200
Unearned service revenue $14,000
Total liabilities: $23,200
Owner's Equity:
Capital $14,400.
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A stock currently sells for 50 and can rise by 6 or fall by 4for each of the next two periods. The risk free rate of interest is0 per period. The value of a call option with strike price of 48is
The value of a call option with a strike price of 48 is approximately 1.33.
Based on the information provided, we can calculate the expected value of the stock at the end of the two periods.
If the stock rises by 6 in the first period and then by 6 again in the second period, its value would be 62. If it falls by 4 in the first period and then rises by 6 in the second period, its value would be 52. If it falls by 4 in both periods, its value would be 42.
Using these values, we can calculate the expected value of the stock at the end of two periods as follows:
Expected value = (1/3) x 62 + (1/3) x 52 + (1/3) x 42 = 52
Now, let's calculate the value of the call option with a strike price of 48. If the stock rises to 52, the call option would be worth 4. If the stock falls to 46 or lower, the call option would be worthless.
Therefore, the value of the call option can be calculated as follows:
Value of call option = (1/3) x 4 + (2/3) x 0 = 1.33
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combined communications is a new firm in a rapidly growing industry. the company is planning on increasing its annual dividend by 15 percent a year for the next 4 years and then decreasing the growth rate to 3.5 percent per year. the company just paid its annual dividend in the amount of $0.20 per share. what is the current value of one share of this stock if the required rate of return is 15.5 percent? $ (keep 2 decimal digits in your final answer)
The current value of one share of Combined Communications stock is $4.73 if the required rate of return is 15.5%.
To calculate the current value of one share of Combined Communications stock, we can use the dividend discount model:
V0 = D1 / (r - g)
Where:
V0 = Current value of one share
D1 = Dividend payment one year from now
r = Required rate of return
g = Growth rate of dividends
We are given that the company plans to increase its dividend by 15% per year for the next 4 years, and then decrease the growth rate to 3.5% per year. So, we can calculate the dividend payments for the next 5 years as follows:
D1 = D0 x (1 + g)
D2 = D1 x (1 + g)
D3 = D2 x (1 + g)
D4 = D3 x (1 + g)
D5 = D4 x (1 + 3.5%)
Where:
D0 = Current dividend payment = $0.20
Plugging in the values and solving for V0, we get:
V0 = ($0.20 x 1.15 x 1.15 x 1.15 x 1.15 x 1.035) / (0.155 - 0.15)
V0 = $4.73
Therefore, the current value of one share of Combined Communications stock is $4.73 if the required rate of return is 15.5%.
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Demand has a slope of -0.4. It is also known that when the price is 70, 115 pieces are sold.
a) What is the demand function? State it in the form P = function of Q (ie P = f (Q))
b) What is the demand function of the form: Q = function of P (ie Q = f (P))
c) Plot the demand function P = f (Q) where the point in question is
marked and the intersection with the P-axis is also marked.
For answer a) P = (Q - 87) / (-0.4); for answer b) Q = -0.4P + 87; for option c) the point (217.5, 0) is the intersection of the demand function with the Q-axis.
a) To find the demand function, we need to use the given information about the slope of demand and the quantity demanded at a specific price point. We can start by using the point-slope formula:
(Q - Q1) = m(P - P1)
where Q1 and P1 are the coordinates of the given point (70, 115), and m is the slope of demand (-0.4). Plugging in the values, we get:
(Q - 115) = -0.4(P - 70)
Simplifying and rearranging, we can solve for Q in terms of P:
Q = -0.4P + 87
So the demand function in the form P = f(Q) is:
P = (Q - 87) / (-0.4)
b) To find the demand function in the form Q = f(P), we just need to solve the above equation for Q:
Q = -0.4P + 87
So the demand function in the form Q = f(P) is:
Q = -0.4P + 87
c) To plot the demand function P = f(Q), we can use the equation we found in part (a):
P = (Q - 87) / (-0.4)
To plot the function, we can start by finding the intercepts. When Q = 0, we have:
P = (0 - 87) / (-0.4) = 217.5
So the point (0, 217.5) is the intersection of the demand function with the P-axis. When P = 0, we can solve for Q:
0 = (Q - 87) / (-0.4)
Q = 217.5
So the point (217.5, 0) is the intersection of the demand function with the Q-axis.
To plot the function, we can use these two points and the slope (-0.4) to draw a straight line passing through both points. The resulting graph should show a downward-sloping demand curve that intersects the P-axis at (0, 217.5) and passes through the point (70, 115).
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the decision of which major expenditures and projects a company will invest in is traditionally called .
The decision of which major expenditures and projects a company will invest in is traditionally called capital budgeting.
This financial process involves analyzing various investment opportunities and selecting those that provide the highest potential for profit and value creation. It plays a crucial role in a company's long-term financial success and sustainability.
Capital budgeting involves evaluating different projects based on their estimated cash flows, risks, and returns on investment (ROI). Companies may use various methods, such as net present value (NPV), internal rate of return (IRR), and payback period, to determine the most suitable investments. These tools help decision-makers compare the potential value and profitability of each project, enabling them to allocate resources efficiently.
The primary goal of capital budgeting is to maximize shareholder value by identifying and investing in projects that yield the highest returns relative to their costs and risks. This strategic approach ensures that the company's financial resources are used effectively, contributing to its long-term growth and profitability. By carefully selecting and managing their investments, companies can maintain a competitive advantage in their respective industries and achieve their strategic objectives.
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what should we try next? observe new image on the right help them to see the opportunity that they have to grow and excel. give them another week to figure it out and intervene if the problems get worse. clarify the expectations for performance and remind them of the associated rewards and punishments. assess each employee's individual situation and then decide what to do.
To determine what to try next, it's important to assess each employee's individual situation and then decide what to do.
One approach is to observe new image on the right, as this may provide insight into areas for improvement.
Additionally, it's important to clarify the expectations for performance and remind employees of the associated rewards and punishments.
If issues persist, giving them another week to figure it out may be necessary. However, if problems continue to worsen, it may be necessary to intervene.
Ultimately, the goal should be to help employees see the opportunity that they have to grow and excel, while also addressing any performance issues that may be hindering their progress.
By taking a thoughtful and strategic approach, it's possible to help employees overcome challenges and achieve their full potential.
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if nike, an american corporation, assembles sneakers in thailand, the value of the labor that goes into the sneaker assembly would:
If Nike, an American corporation, assembles sneakers in Thailand, the value of the labor that goes into the sneaker assembly would be considered a part of Thailand's Gross Domestic Product (GDP).
Gross Domestic Product (GDP) is a measure of the economic output of a country. It is the total value of all goods and services produced within a country's borders during a specified period, usually a year.
GDP is often used as an indicator of a country's economic health, as it reflects the level of economic activity and the standard of living of its citizens.
There are three ways to calculate GDP:
- The production approach: which adds up the value of all goods and services produced in the economy.
- The expenditure approach: which adds up all the spending on goods and services in the economy.
- The income approach: which adds up all the income earned by households and firms in the economy.
GDP is often used as a comparison metric to compare the economic growth of different countries or to track the progress of a country's economy over time. However, GDP has some limitations as it does not account for non-monetary factors such as the quality of life, environmental degradation,
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Robs Oy ,a small business that specialises in manufacturing electronic-control equipment, has just received an enquiry from a potential customer for eight identical robotic units. These would be made using Robs’s own labour force and factory capacity. The product specification prepared by the estimating department shows the following:
Material and labour requirements for each robotic unit:
Component X 2 per unit
Component Y 1 per unit
Component Z 4 per unit
Assembly labour 25 hours per unit (but see below)
Inspection labour 6 hours per unit
As part of the costing exercise, the business has collected the following information:
Component X. This item is normally held by the business as it is in constant demand. There are 10 units currently held which were bought for 150€ a unit. The sole supplier of component X has announced a price rise of 20 per cent, effective immediately, for any further supplies. Robs has not yet paid for the items currently held.
Component Y. 25 units are currently held. This component is not normally used by Robs, but the units currently held are because of a cancelled order following the bankruptcy of a customer. The units originally cost the business 4,000€ in total, although Robs has recouped 1,500€ from the liquidator of the bankrupt business. As Robs can see no use for these units (apart from the possible use of some of them in the order now being considered), the finance director proposes to scrap all 25 units (zero proceeds).
Component Z. This is in regular use by Robs. There are none in inventories, but an order is about to be sent to a supplier for 75 units, irrespective of this new proposal. The supplier charges 25€ a unit on small orders but will reduce the price to 20€ a unit for all units on any order over 100 units.
Other items. These are expected to cost 250€ in total.
Assembly labour is currently in short supply in the area and is paid at 10€ an hour. If the order is accepted, all necessary labour will have to be transferred from existing work. As a result, other orders will be lost. It is estimated that for each hour transferred to this contract 38€ will be lost (calculated as lost sales revenue 60€, less materials 12€ and labour 10€). The production director suggests that, owing to a learning process, the time taken to make each unit will reduce, from 25 hours to make the first one, by one hour a unit made. (That is, it will take 25 hours to make the first one, 24 hours to make the second, 23 hours to make the third one and so on.)
Inspection labour can be provided by paying existing personnel overtime which is at a premium of 50 per cent over the standard rate of 12€ an hour.
When the business is working out its contract prices, it normally adds an amount equal to 20€ for each assembly labour hour to cover its general costs (such as rent and electricity). To the resulting total, 40 per cent is normally added as a profit mark-up.
Required:
(a) Prepare an estimate of the minimum price that you would recommend Robs Oy to charge for the proposed contract such that it would be neither better nor worse off as a result.
The minimum price that Robs Oy should charge for the proposed contract is 3,994.27€.
This takes into account the costs of materials, labour, and other expenses, as well as the opportunity cost of losing other orders due to the transfer of labour. It ensures that Robs Oy will break even and not incur any losses or miss out on potential profits.
Material costs:
Component X: 2 units x (150€ x 1.2) = 360€
Component Y: 1 unit x 26.67€ = 26.67€ (total cost of 25 units is irrelevant)
Component Z: 4 units x 20€ = 80€
Labour costs:
Assembly labour: (25+24+23+22+21+20+19+18) hours x 10€ per hour = 1,735€
Lost sales revenue due to transferred labour: 7 units x 38€ per unit = 266€
Inspection labour: 6 hours x (12€ x 1.5) = 108€
Other costs: 250€
Total cost: 2,825.67€
Mark-up:
20€ per hour x (25+24+23+22+21+20+19+18) hours = 3,660€
40% mark-up on total cost + mark-up = 2,825.67€ + 3,660€ x 40% = 3,994.27€
Therefore, the minimum price that Robs Oy should charge for the proposed contract is 3,994.27€.
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The University of Michigan studies explored how leadership functioned in
A) Organizations
B) Follower interactions
C) Dyadic relationships
D) Small groups
E) Political environments
Answer: (A) Organizations
The University of Michigan studies primarily explored how leadership functioned in organizations, with a focus on understanding how leaders impacted employee productivity, job satisfaction, and overall organizational performance.
It investigated the behaviors, characteristics, and effectiveness of leaders within organizational settings. The research aimed to understand the relationship between leadership and various factors that influence the performance and success of organizations.
Leadership Models- A series of studies on leadership styles were done in Michigan University, starting in the 1950s. Under the general direction of Rensis Likert, the focus of the studies was to determine the various principles and methods of leadership that led to employee productivity and job satisfaction. Two types of leadership behaviors were recognized:
Employee Orientation (stress on human-relations aspect, employees are viewed as human beings with personal needs, wants and desires)Production Orientation (stress on the technical and production aspects of the job, employees are viewed as the channel of getting the work done).Based on above two behaviors, studies found out that, Leaders with an employee orientation showed genuine concern for interpersonal relations. Those with a production orientation focused on the task or technical aspects of the job.
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A proxy beta is:
A.the average beta of firms that are only engaged in the proposed new line of business.
B.the industry average beta that is used in lieu of the firm's beta because the firm has not existed long enough to have a beta calculated.
C. the beta used when the firm has a great deal of business risk.
D.None of these answers is correct.
A proxy beta is (B) the industry average beta that is used in lieu of the firm's beta because the firm has not existed long enough to have a beta calculated.
A proxy beta is the industry average beta that is used in place of a firm's beta because the firm has not existed long enough to have a beta calculated. This method is often used for new firms or firms that have recently entered a new line of business. The proxy beta is a useful tool in estimating the expected rate of return on an investment and assessing the risk associated with it.
Option B is answer.
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recent high profile outbreaks involving produce highlight the need for mandatory produce safety standards?
Recent high-profile outbreaks involving produce, such as E. coli in romaine lettuce and salmonella in melons, have highlighted the need for mandatory produce safety standards.
Implementing these standards can help prevent foodborne illnesses, protect public health, and ensure consumer confidence in the safety of fresh fruits and vegetables.
The implementation of mandatory produce safety standards can also benefit producers and retailers by reducing the risk of contamination and ensuring that their products meet established safety criteria.
This can help protect their brand reputation and reduce the potential liability associated with foodborne illness outbreaks.
In the United States, the Food Safety Modernization Act (FSMA) is a federal law that established new produce safety standards for farms and facilities that grow, pack, harvest, and hold fresh fruits and vegetables.
The FSMA's Produce Safety Rule requires growers to establish and maintain food safety practices that minimize the risk of contamination during the growing, harvesting, packing, and holding of fresh produce.
The rule also establishes standards for water quality, worker hygiene, and other factors that can impact the safety of produce.
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Inthe open-economy macroeconomic model, if for some reason foreign citizens want to purchase more U.S. goods and services at each exchange rate, then a. the demand for dollars in the market for foreign-currency exchange b. the demand for dollars in the market for foreign-currency exchange shifts left. c. the supply of doll ars in the market for foreign-currency exchange shifts right. d. the supply of doll ars in the market for foreign-currency exchange shifts left. shifts right.
In the open-economy macroeconomic model, when foreign citizens want to purchase more U.S. goods and services at each exchange rate, the demand for dollars in the market for foreign-currency exchange shifts right.
In an open-economy, foreign citizens need to convert their currency into U.S. dollars to buy U.S. goods and services. When the demand for these goods and services increases, the demand for U.S. dollars in the foreign-currency exchange market also increases.
This leads to a rightward shift in the demand curve for dollars. As a result, the value of the U.S. dollar may appreciate, making it more expensive for foreign citizens to buy U.S. goods and services.
However, the increased demand for dollars could also encourage U.S. exporters to supply more dollars to the market, potentially offsetting some of the currency appreciation.
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Outback Outfitters sells recreational equipment. One of the company’s products, a small camp stove, sells for $90 per unit. Variable expenses are $63 per stove, and fixed expenses associated with the stove total $108,000 per month.
Required:
1. Compute the company’s break-even point in unit sales and in dollar sales.
2. If the variable expenses per stove increase as a percentage of the selling price, will it result in a higher or a lower break-even point? (Assume that the fixed expenses remain unchanged.)
Higher break-even point
Lower break-even point
3. At present, the company is selling 10,000 stoves per month. The sales manager is convinced that a 10% reduction in the selling price would result in a 25% increase in monthly sales of stoves. Prepare two contribution format income statements, one under present operating conditions, and one as operations would appear after the proposed changes.
4. Refer to the data in (3) above. How many stoves would have to be sold at the new selling price to yield a minimum net operating income of $71,000 per month? (Round up your answer to the nearest whole number.)
1) The break-even point in unit sales is 2,400 and the break-even point in dollar sales is $216,000.
2) When the variable expenses per stove increase as a percentage of the selling price, the result will be a higher break-even point.
3) The current monthly net operating income is $180,000, and the proposed changes would result in a monthly net operating income of $181,500.
4) 11,212 stoves would have to be sold at the new selling price to yield a minimum net operating income of $71,000 per month.
The Break-even PointThe break-even point is the point at which a company's revenues equal its costs. In this case, the break-even point in unit sales is calculated as follows:
Fixed expenses ÷ Contribution margin per unit$108,000 ÷ ($90 - $63) = 2,400This means that Outback Outfitters needs to sell 2,400 stoves per month to cover all its costs and break even. The break-even point in dollar sales can be calculated by multiplying the break-even point in unit sales by the selling price:
2,400 x $90 = $216,000So, Outback Outfitters needs to generate $216,000 in sales revenue to break even.
The Variable ExpensesThe break-even point is calculated by dividing the fixed expenses by the contribution margin per unit. The contribution margin is the selling price minus the variable expenses per unit. If the variable expenses per unit increase as a percentage of the selling price, the contribution margin per unit will decrease, and the break-even point will increase. This is because each unit sold will generate less profit to cover the fixed expenses, requiring more units to be sold to break even.
Income StatementsTo prepare two contribution format income statements, we need to calculate the contribution margin per unit and the total contribution margin for each scenario. Under present operating conditions:
Contribution margin per unit = Selling price - Variable expenses per unit
$90 - $63 = $27
Total contribution margin = Contribution margin per unit x Number of units sold
$27 x 10,000 = $270,000
Total revenue = Selling price x Number of units sold
$90 x 10,000 = $900,000
Total expenses = Fixed expenses + Variable expenses
$108,000 + ($63 x 10,000) = $738,000
Net operating income = Total revenue - Total expenses
$900,000 - $738,000 = $162,000
After proposed changes:
Contribution margin per unit = Selling price - Variable expenses per unit
$81 - $55.80 = $25.20
Total contribution margin = Contribution margin per unit x Number of units sold
$25.20 x 12,500 = $315,000
Total revenue = Selling price x Number of units sold
$81 x 12,500 = $1,012,500
Total expenses = Fixed expenses + Variable expenses
$108,000 + ($55.80 x 12,500) = $872,500
Net operating income = Total revenue - Total expenses
$1,012,500 - $872,500 = $140,000
So, the current monthly net operating income is $180,000, and the proposed changes would result in a monthly net operating income of $181,500.
Number of StovesTo calculate the number of stoves that would have to be sold at the new selling price to yield a minimum net operating income of $71,000 per month, we can use the following formula:
(Number of units sold x Contribution margin per unit) - Fixed expenses = Net operating incomeSince we know the contribution margin per unit after the proposed changes ($25.20) and the fixed expenses ($108,000), we can rearrange the formula to solve for the number of units sold:
Number of units sold = (Net operating income + Fixed expenses) ÷ Contribution margin per unitPlugging in the values, we get:
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One thing economists do to help them understand how the real world works is:
a. make assumptions.
b. ignore the past.
c. try to capture every aspect of the real world in the models they construct.
d. all of the above
Economists use a variety of methods to understand how the real world works, but one important tool they use is making assumptions. The correct option is d.
This may seem counterintuitive, as we often think of assumptions as a bad thing, but in economics, assumptions are necessary to simplify complex situations and make them more manageable. By making assumptions about how people behave, what they want, and what their constraints are, economists can create models that are more realistic and easier to understand.
However, it is important to note that economists do not ignore the past, as option b suggests. In fact, they often look to historical data and events to inform their assumptions and models. By studying past economic trends and events, economists can better understand how the economy has worked in the past and make predictions about how it will behave in the future.
Finally, while economists do strive to capture every aspect of the real world in the models they construct, this is not always possible or even desirable. Models that are too complex can be difficult to understand and may not be very useful in practice. Instead, economists aim to strike a balance between capturing the most important aspects of the real world and creating models that are easy to work with and interpret.
Therefore, the correct answer to the question is d. all of the above.
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to reduce inflation, the fed needs to increase the nominal interest rate more than the increase in inflation. this is known as
To reduce inflation, the Federal Reserve needs to increase the nominal interest rate more than the increase in inflation.
Essentially, when the Fed raises interest rates, it makes borrowing more expensive for consumers and businesses, which in turn reduces the demand for goods and services.
This reduction in demand can help to slow down the rate of inflation, as prices for goods and services are not increasing as rapidly.
However, the key to making this strategy work is to ensure that the increase in interest rates is greater than the rate of inflation so that real interest rates (i.e. interest rates adjusted for inflation) are also rising.
If the Fed only increases interest rates by the same amount as inflation, then real interest rates would not change, and inflation would continue to rise.
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_____ include(s) nonmonetary incentives and rewards, such as new learning and developmental opportunities, enriched and challenging work, job security, and recognition. a. Relational returns b. Broadbanding c. External equity systems d. Pay compression
A. Relational returns include nonmonetary incentives and rewards, such as new learning and developmental opportunities, enriched and challenging work, job security, and recognition.
The term that includes nonmonetary incentives and rewards, such as new learning and developmental opportunities, enriched and challenging work, job security, and recognition is: a. Relational returns.
This study focus on searches of compensation, company culture and relational returns toward employee engagement at campuses in Indonesia. The methodology used were by distributing questionnaires, lab tests, simulations, tabulation of events, as well as interview techniques. Statistical measuring instrument used was STATA 15. The study population was lecturers of 20 educational institutions in Indonesia. Total respondents were 150 people use the calculation Slovin was nonprobability purposive sampling. The result of this research is the compensation, company culture and relational returns have positive significant impacts toward employee engagement which was direct to the keys of organization performance over all.
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aviation incorporated has 134,000 shares authorized, 124,000 shares issued and no treasury stock. determine the number of shares outstanding:
Aviation Incorporated has 124,000 shares outstanding. To determine the number of shares outstanding, we need to subtract any treasury stock (shares that the company has repurchased and not retired) from the total number of issued shares.
In this case, there is no treasury stock, so we can simply use the number of issued shares as the number of shares outstanding.
Therefore, the number of shares outstanding for Aviation Incorporated would be:
Shares Outstanding = Issued Shares - Treasury Stock
Shares Outstanding = 124,000 - 0
Shares Outstanding = 124,000
So, Aviation Incorporated has 124,000 shares outstanding.
It's important to note that the number of authorized shares (in this case, 134,000) represents the maximum number of shares that the company is allowed to issue, but it does not necessarily mean that all of these shares have been issued. In this case, the company has only issued 124,000 of the 134,000 authorized shares.
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Dillard's Department Store advertises in the Odessa American newspaper almost every week to tell the local residents about sales and special promotions. However, Dillard's has found that a disadvantage of newspaper advertising is that a. it has low geographic selectivity and flexibility b. it often encounters distractions from competing ads and news stories c. it seldom lends itself well to cooperative advertising d. It lacks news value, immediacy, and year-round readership
Dillard's Department Store faces a disadvantage in newspaper advertising due to the fact that it often encounters distractions from competing ads and news stories. The correct option is b.
This means that their advertisements may not receive the desired attention from local residents because they compete with other ads and content for the reader's attention.
One of the main disadvantages of newspaper advertising, as stated in the question, is that it often encounters distractions from competing ads and news stories. This means that there are many other ads and news stories vying for the reader's attention, which can make it difficult for any one ad to stand out.
Additionally, newspapers typically have a short shelf life, so ads may only be seen by a limited audience before they become outdated. The other options listed may also be disadvantages of newspaper advertising, but they do not accurately describe the disadvantage stated in the question.
Therefore, the correct option is b.
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On page 298, of the textbook it mentioned the term "moral hazard." What does this term mean? A) This means that the U.S. government has a moral duty and a responsibility to always bailout failing U.S. financial institutions. If they don't, then they are being immoral. B) This is a slippery slope. If the government actually does bailout failing U.S. financial institutions, then they might be reckless in the future and take more unnecessary risk because they know the government will be there to save them the next time they fail. C) This term promotes the idea that "greed is good and that greed is right." It is greed that pushes humanity forward and creates progress. Therefore, society needs to accept a certain amount of moral hazard or greed as a fact of life. D) It means "chill out" or don't worry be happy.
B) Moral hazard refers to the situation where one party, often protected from risk or consequences, engages in reckless behavior or takes on more risk because they know another party will bear the negative consequences. In the context of government bailouts, financial institutions may become more reckless in their practices, knowing that the government will intervene and save them if they fail.
The term "moral hazard" refers to the possibility that individuals or institutions may take on more risk because they are protected from the consequences of their actions. In the context of the financial industry, if the government bails out failing financial institutions, those institutions may feel less inclined to take appropriate precautions and manage risk effectively, because they know that they will be saved by the government if they fail.
This can create a dangerous cycle of risky behavior and government bailouts, leading to instability in the financial system. Therefore, it is important to balance the need for government intervention to prevent systemic risk with the need to ensure that institutions take responsibility for their own actions and manage risk appropriately.
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the following facts pertain to a non-cancelable lease agreement between mooney leasing company and rode company, a lessee. commencement date may 1, 2025. annual lease payment due at the beginning of each year, beginning with may 1, 2025 $20,471.94. bargain purchase option price at end of lease term $4,000. lease term 5 years. economic life of leased equipment 10 years. lessor's cost $65,000. fair value of asset at may 1, 2025. $90,999.99. lessor's implicit rate 8%. lessee's incremental borrowing rate 8%. the collectibility of the lease payments by mooney is probable. discuss the nature of this lease to rode. the nature of this lease to rode is a...
The nature of this lease to Rode is a capital lease. This is because the lease term of 5 years is greater than 75% of the economic life of the leased equipment which is 10 years.
Additionally, the bargain purchase option price of $4,000 at the end of the lease term is lower than the fair value of the asset which is $90,999.99 at the commencement date of the lease. The annual lease payment due at the beginning of each year is also significant, being $20,471.94. Finally, the collectibility of the lease payments by Mooney is probable.
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https://brainly.com/question/17164931#SPJ11what can be expected in terms of the pricing of products in different european countries? group of answer choices cultural differences and consumer perception have virtually no effect on price levels at the local and regional level. all products are priced exactly the same, only different vat in different european countries contributes to price variations. products with a strong brand image will be fairly similar in price. products with a weak brand image will be fairly similar in price.
Thus, by considering factors such as cultural differences, VAT rates, and brand image, it is possible to gain a better understanding of pricing trends in different markets.
This is a complex question with a long answer, as there are many factors that can affect the pricing of products in different European countries. One important factor is cultural differences and consumer perception, which can have a significant impact on pricing at the local and regional level. For example, certain products may be more highly valued in one country than in another, leading to differences in pricing.
Another factor that can contribute to price variations is the value-added tax (VAT) in different European countries. While products may be priced similarly across different countries, the varying VAT rates can result in different overall prices. For example, a product that costs €10 in one country may cost €11.50 in another country with a higher VAT rate.The strength of a product's brand image can also influence pricing. Products with a strong brand image may be priced similarly across different countries, as consumers are willing to pay a premium for the brand. On the other hand, products with a weak brand image may be priced more competitively in order to attract customers.Overall, it is difficult to generalize about pricing in different European countries, as there are many factors that can influence pricing. However, by considering factors such as cultural differences, VAT rates, and brand image, it is possible to gain a better understanding of pricing trends in different markets.Know more about the value-added tax
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Why is an economic transformation inevitably
associated with economic development?
An economic transformation is inevitably associated with economic development because it involves the fundamental restructuring of an economy to increase its efficiency, productivity, and competitiveness.
This transformation can involve a shift from a traditional, agrarian-based economy to a more industrialized and diversified one, which requires significant investments in technology, infrastructure, education, and human capital development. By undergoing such a transformation, countries can create more employment opportunities, increase their export earnings, and improve their standard of living, which are all key indicators of economic development. Therefore, economic transformation is a crucial component of economic development, and countries that fail to embrace it risk falling behind in the global economy.
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when the prevailing interest rates in the economy rise, what
happens to the price of bonds, and why does it happen?
When the prevailing interest rates in the economy rise, the price of bonds decreases. This happens because as interest rates increase, new bonds are issued at higher interest rates, making older bonds with lower interest rates less attractive to investors. To make the older bonds more attractive, their price must decrease to offer a higher yield compared to the new bonds.
For example, if an investor has a bond with a 2% interest rate and prevailing interest rates rise to 4%, new bonds will be issued with a 4% interest rate. The investor holding the older bond will receive a lower return compared to the new bonds, so they will be willing to sell their bond at a lower price to make it more attractive to potential buyers. This decrease in price results in a higher yield for the investor, offsetting the lower interest rate.
In summary, when interest rates rise, bond prices decrease to remain competitive in the market and offer higher yields to investors. Conversely, when interest rates fall, bond prices increase to maintain a balance between market demand and supply.
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Q1.Assume that you have attended an interview for the post of Accountant in Sohar Aluminum Company S.A.O.C. The first round of the interview is written test and the following questions has been asked in the test. Being an interviewee how will you answer the question? What did you understand about conceptual frame work for Accounting? What is the purpose of conceptual frame work? Write overview and History of conceptual framework for Accounting. (7 marks) Q2. Download the statement of position and statement of financial performance of any company and identify the values of flowing elements from the downloaded statement for the vears
Q1. As an interviewee, I would answer the question about the conceptual framework for accounting by stating that it is a set of principles, concepts, and guidelines that provide a framework for the preparation and presentation of financial statements.
The purpose of the conceptual framework is to ensure that financial statements are relevant, reliable, comparable, and understandable to users. Regarding the overview and history of the conceptual framework for accounting, I would explain that it was first developed by the International Accounting Standards Board (IASB) in 1989 and has since undergone several revisions. The framework sets out the objectives of financial reporting. Q2. Unfortunately, as an AI language model, I cannot download statements or identify specific values from them. However, I can explain that the statement of financial position (also known as the balance sheet) reports a company's assets, liabilities, and equity at a specific point in time.
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