Assume that an equity investment that lacks significant influence is sold. Which of the following would be included in the two entries to record the sale? (Select all that apply.)A. An update of the Fair value adjustment account B. Removal of the related investment account balances C. The total amount of gain or loss that has occurred since the securities were purchased D. The amount of the unrealized holding gain or loss that has occurred since the end of the prior accounting period

Answers

Answer 1

Answer:

A. An update of the Fair value adjustment account

D. The amount of the unrealized holding gain or loss that has occurred since the end of the prior accounting period

Explanation:

The value of an equity investment that lacks significant influence is adjusted at the end of each accounting period against an unrealized gain/loss account.

When the equity investment is sold, the unrealized gain/loss account will become realized depending on the sales value. Before any final gain or loss is realized, an adjustment must be made to the investment's Fair value adjustment account.

E.g if the investment X's balance account was $510,000 and its fair market value was $550,000, we would first need to adjust the fair value:

Dr Fair value adjustment of investment X 40,000

    Cr Unrealized holding gain 40,000


Related Questions

43) An annuity is set up that will pay $1500 per year for ten years. What is the present value (PV) of this annuity given that the discount rate is 9%? A) $5776 B) $9626 C) $11,551 D) $13,476

Answers

Answer:

PV= $9,626.49

Explanation:

Giving the following information:

Cash flow= $1,500

Interest rate= 9%

Number of years= 10

First, we will determine the future value, using the following formulas:

FV= {A*[(1+i)^n-1]}/i

A= cash flow

FV= {1,500*[(1.09^10) - 1]} / 0.09

FV= $22,789.395

Now, the present value:

PV=FV/(1+i)^n

PV= 22,789.395/(1.09^10)

PV= $9,626.49

The real rate is 4.1 percent and the inflation rate is 5.7 percent. What rate would you expect to see on a Treasury bill

Answers

Answer:

10%

Explanation:

The rate on a treasury bill is usually the nominal rate.

1 + Nominal rate = (1 + real rate ) x (1 + inflation rate)

(1.041) x (1.057) = 1.10

1.10 - 1 = 0.10 = 10%

Nominal rate = 10%

I hope my answer helps you

Suppose the real risk-free rate is 2.50% and the future rate of inflation is expected to be constant at 4.10%. What rate of return would you expect on a 5-year Treasury security, assuming the pure expectations theory is valid? Disregard cross-product terms, i.e., if averaging is required, use the arithmetic average.

Answers

Answer: 6.6%

Explanation:

The Pure Expectations Theory believes that the future long term rate is a reflection of future short term rates.

In terms of a 5 Treasury Security then, the rate of return to be expected is the risk free rate adjusted for inflation.

The Treasury Security has no risk but for inflation risk hence this is all that should be catered for.

Rate of Return on 5 year Treasury Security = Real Risk Free Rate + Inflation Rate

= 2.5% + 4.1%

= 6.6%

In a​ department, 35 comma 000 units are completed and transferred out and 12 comma 400 remain in ending WIP at 85​% complete. If an equivalent unit costs $ 10.00 for direct​ materials, what is the value of materials transferred​ out?

Answers

Answer:

$350,000

Explanation:

The computation of the value of material transferred out is shown below:

= Completed and transferred units × equivalent cost for direct material per unit

= 35,000 units × $10

= $350,000

Therefore by multiplying the completed & transferred units with the  equivalent cost for direct material per unit  we can get the value of material transferred out

A corporation ran an ad which showed environmental experts praising its social initiatives. The ad encourage readers to visit its website to learn how they could help save the environment. Which copy style was used to describe the company's efforts to help preserve the environment

Answers

Answer:

institutional copy.

Explanation:

In the scenario described above, the institutional copy style was used, which can be defined as a type of advertisement whose objective is not to sell a product or service, but rather to promote the selling company through its policies, philosophies and objectives, with the objective of strengthening and creating its reputation so that customers are aware of their values ​​and reputation, generating recognition and prestige.

This is what the company analyzed in the above question did by running an ad that shows environmental experts praising its social practices and encouraging readers to access its website and learn about its positive environmental practices

Assume that Stillwater Designs produces two automotive subwoofers:
S12L7 S12L5.
First quarter 2014 800 1300
Second quarter 2014 2200 1400
Third quarter 2014 5600 5300
Fourth quarter 2014 4600 3900
First quarter 2015 900 1200
The vice president of sales believes that the projected sales are realistic and can be achieved by the company.
Required:
Prepare a sales budget for each quarter of 2014 and for the year in total. Show sales by product and in total for each time period. Do not include a multiplication symbol as part of your answer.

Answers

Answer:

Stillwater Designs

Sales Budget 2014

                                                                Year 2014

Product                      First          Second         Third        Fourth        Total

                                  quarter     quarter          quarter    quarter                

S12L7                         800           2,200            5,600      4,600        13,200

S12L5                         1,300         1,400             5,300      3,900        11,900

A sales budget gives us an estimate of how many units (and $) the company will sell in the following months, quarters or even years.

Bendel Inc. has an operating leverage of 4.3. If the company's sales increase by 15%, its net operating income should increase by about:

Answers

Answer:

64.5%

Explanation:

The requirements of this question is to calculate increase in net operating income.

Increase = 15 percent

Operating leverage = 4.3

increase in net operating income.

Operating leverage x sales increase

= 15 x 4.3

= 64.5%

I hope this answer is helpful.

Brett Thiesen wants to make a political case for regional economic integration to his electorate. Which valid statement can he make in his regard?A) Those seeking a united europe have always had a desire to make another way in europe imminentB) Linking neighboring economies increases the potential for violent conflictC) making neighboring economies increasingly dependent on each other fails to create incentives for political cooperationD) Countries can enhance their political weight in the world by grouping their economiesE) free trade stimulates economic growth, which creates dynamic gains from trade

Answers

Answer:

If Brett Thiesen wants to make a political case for regional economic integration to his electorate, the valid statement he can make in this regard is

E) free trade stimulates economic growth, which creates dynamic gains from trade.

Explanation:

Free trade among regional countries is the only sure way to "stimulate economic growth and create dynamic gains from trade."  According to wikipedia.com, "Free trade is a trade policy that does not restrict imports or exports.  It can also be understood as the free market idea applied to international trade."  It is free trade system that created the European economy, enabling them to replace their national currencies with the Euro.  Regional free trade also encourages the movement of not only goods, but also persons and services, and cultures.

Identify the account used by businesses to record the transfer of assets from a business to its stockholders: Multiple Choice The Common stock account. An expense account. A liability account. A revenue account. The Dividends account.

Answers

Answer:

Common stock

Explanation:

The common stock has the credit balance which is shown in the liabilities side of the balance sheet

While transferring the assets from business to it stockholders we used the common stock account as it includes the capital of the company, preferred stock, common stock, etc

Therefore the first option is correct

Cellar Wines has a debt-equity ratio of 0.54, sales of $728,700, net income of $94,900, and total debt of $382,000. What is the return on equity

Answers

Answer:

13.42%

Explanation:

Here is an solution to the question below.

Debt equity ratio = 0.54

Sales = $728700

Net income = $94900

Total debt = $382000

Total equity ratio = net income / (total debt/ debt equity ratio)

total debt/ debt equity ratio = 382000/0.54 = 707,407.4

Total equity ratio = 94900/707,407.4

= 0.1342 x 100

= 13.42%

This is the return on equity.

Strategic business units that have a relatively low market share but have the potential to grow are best categorized under _____ in the Boston Consulting Group (BCG) growth-share matrix.

Answers

Answer:

The answer is question marks

Explanation:

Boston Consulting Group (BCG) growth-share matrix are grouped into four:

Star

Question mark

Cash cows

Dogs.

Question mark, which is of interest to us in this question requires much closer consideration. They are growing rapidly and as a result consume large amounts of money.They have low market shares but have potential to gain market share and become stars and eventually cash cows when market growth slows At that stage(question marks), they do not generate much cash.

They are a starting point for most businesses.

Turner Inc. produces two products P1 and P2. The company has provided you with the following information. Assume that the current sales volume of P1 and P2 reflects the long run sales mix of the firm.
P1 P2
Selling price per unit $30 $60
Variable cost per unit $10 $30
Numberof units sold 9,000 6,000
Total fixed costs $240,000
Select ALL statements that are true. All numbers in the answer choices are rounded off to 2 decimals. Breakeven volume in units is rounded off to the next higher integer.
A. 40% of Turner's revenue comes from P2
B. The operating leverage for Turner now is 0.47
C. Turner makes a contribution of $0. 57 per dollar of revenue, on the average.
D. Turner will breakeven when it reaches a revenue of $420,000.
E. The breakeven volume for Turner is 9,334 units

Answers

Answer:

B. The operating leverage for Turner now is 0.47  ⇒ TRUE

operating leverage = fixed costs / total costs = $240,000 / $510,000 = 0.47

C. Turner makes a contribution of $0. 57 per dollar of revenue, on the average.  ⇒ TRUE

total contribution margin = ($20 x 9,000) + ($30 x 6,000) = $180,000 + $180,000 = $360,000

total revenue = $630,000

contribution margin per $ of revenue = $360,000 / $630,000 = $0.57

D. Turner will break even when it reaches a revenue of $420,000.  ⇒ TRUE

break even point in $ = (6,000 x $30) + (4,000 x $60) = $180,000 + $240,000 = $420,000

Explanation:

A. 40% of Turner's revenue comes from P2  ⇒ FALSE

total revenue = $270,000 + $360,000 = $630,000

revenue from P2 = $360,000, which represents 57.14% of total revenue

E. The breakeven volume for Turner is 9,334 units ⇒ FALSE

in order to calculate break even point, we can prepare a bundle of products = 3P1 + 2P2

contribution margin per bundle = $120

break even point = $240,000 / $120 = 2,000 bundles

6,000 P1 and 4,000 P2

Pauline's Pecan Pies collected the following production information relating to November​'s baking​ operations:

Physical Unit Direct Material Conversion Cost
Beginning work in process. 209,000
Ending work in process 159,000 65% 80%
Units started during the month 10.25000


Requirements:
Complete the first two steps in the process costing​ procedure:
a. Summarize the flow of physical units.
b. Compute output in terms of equivalent units.

Answers

Answer:

Pecan Pies

Pauline

a. Summary of the flow of physical units:

Beginning Work in process = 209,000

Started during month =        1,025,000

less ending work in process  159,000

Units completed in month = 1,075,000

b. Computation of output in terms of equivalent units:

Units completed:

                                                       Physical      Direct      Conversion

                                                            Unit        Material        Cost

Determination of equivalent units:

less ending work in process  159,000    103,350 (65%)   127,200 (80%)

Units produced                     1,075,000   1,075,000 (100%)  1,075,000 (100%)

Explanation:

Data:

                                                         Physical      Direct      Conversion

                                                            Unit        Material        Cost

Beginning work in process            209,000

Ending work in process                  159,000      65%          80%

Units started during the month  1,025,000

Total units in production             1,234,000        103,350      127,200

Determination of equivalent units:

less ending work in process         159,000      103,350      127,200

Units produced                           1,075,000   1,075,000   1,075,000

a) The equivalent unit is the product of the class of unit in production multiplied by the percentage of completion.  This forms the basis for allocating cost between a product's costs and the ending work in process.  Calculating the equivalent units helps to determine accurate costs of units completed.                

During which phase do you feel it is more useful to consider making trade-offs in terms of labor and equipment costs to reduce the duration of a construction project

Answers

Answer:

estimation phase

Explanation:

The Estimation process is more useful to allow trade offs in terms of labor and cost of equipment to reduce the building project period.

That's because it's good to manage the period of operations and during time estimation cycle and preparation of critical path and network, but if they try to do it at the time of construction, there are several factors that make it complicated and can affect prepared network failure.

Therefore it is the case of estimation phase

Ferkil Corporation manufacturers a single product that has a selling price of $100 per unit. Fixed expenses total $225,000 per year, and the company must sell 5,000 units to break even. If the company has a target profit of $67,500, sales in units must be:

Answers

Answer:

Break-even point in units= 6,500 units

Explanation:

Giving the following information:

Selling price per unit= $100

Fixed expenses total $225,000 per year

Break-even point= 5,000

Desired profit= $67,500

First, we need to calculate the contribution margin per unit:

Break-even point in units= fixed costs/ contribution margin per unit

5,000= 225,000 / contribution margin per unit

contribution margin per unit= 225,000/5,000

contribution margin per unit= $45

Now, we can determine the number of units to be sold:

Break-even point in units= (fixed costs + desired profit) / contribution margin per unit

Break-even point in units= (225,000 + 67,500) / 45

Break-even point in units= 6,500 units

Indicate whether the scenarios would result in an increase, a decrease, or no change in the long-run aggregate supply (LRAS) curve for a hypothetical economy. Each label may be used more than once.
The mandatory retirement age is abolished.
The economy's main export is candy.
Candy from this country increases in popularity around the world.
Since candy has become an international sensation, factories double the number of candy-making machines.
The top candy companies choose to relocate their means of production to other countries around the world.

Answers

Answer:

The mandatory retirement age is abolished.

This will result in an Increase in the long-run aggregate supply (LRAS) curve because it means that companies in the economy now have a larger workforce to choose from. This will reduce the cost of labor and lead to more goods being supplied.

The economy's main export is candy.  Candy from this country increases in popularity around the world.

No effect on long-run aggregate supply (LRAS) curve because this deals with demand.

Since candy has become an international sensation, factories double the number of candy-making machines.

Factories are now producing more candy due to having more candy-making machines. This will result in an Increase in the long-run aggregate supply (LRAS) curve.

The top candy companies choose to relocate their means of production to other countries around the world.

The companies are still supplying candy to the world, however they are doing it from other countries. This supply coming from the hypothetical economy will therefore reduce. This will result in a Decrease in the long-run aggregate supply (LRAS) curve.

The Wet Dog Surf Company borrows $22,000 for 5 months and will pay $825.00 interest . Calculate Wet Dog's Annual Percentage Interest Rate (APR) (rounded to two decimal places).

Answers

Answer:

The answer is 9%

Explanation:

Solution

Given that:

Wet Dog Surf Company borrows= $22,000 for 5 months

Interest  =$825.000

Now we have to find Wet Dog's Annual Percentage Interest Rate (APR)

Thus

The interest rate for 5 months is given by:

$825.00/$22,000

=0.0375% or 3.75%

So, APR becomes:

3.75% * 12/5

= 45/5

= 9%

Therefore the Annual Percentage Interest Rate (APR) for We Dog's is 9%

For apparel manufacturer Abercrombie & Fitch, Inc., classify each of the following costs as either a product cost or a period cost:

Item Classification
a. Research and development costs _____
b. Depreciation on sewing machines _____
c. Fabric used during production _____
d. Depreciation on office equipment _____
e. Advertising expenses _____
f. Repairs and maintenance costs for sewing machines _____
g. Salary of production quality control supervisor _____
h. Utility costs for office building _____
i. Sales commissions _____
j. Salaries of distribution center personnel _____
k. Wages of sewing machine operators _____
l. Factory janitorial supplies _____
m. Chief financial officer's salary _____
n. Travel costs of media relations employees _____
o. Factory supervisors' salaries _____
p. Oil used to lubricate sewing machines _____
q. Property taxes on factory building and equipment _____

Answers

Answer:

a. Research and development costs: Period cost because it is an administrative expenses.

b. Depreciation on sewing machines: Product cost because it is a manufacturing overhead.

c. Fabric used during production: Product cost because it is a direct raw material.

d. Depreciation on office equipment Period cost because it is an administrative expense.

e. Advertising expenses: Period cost because it is a sales expenses.

f. Repairs and maintenance costs for sewing machines: Product cost because it is a manufacturing overhead.

g. Salary of production quality control supervisor: Product cost because it is a manufacturing overhead.

h. Utility costs for office building: Period cost because it is an administrative expenses.

i. Sales commissions: Period cost because it is a sales expenses.

j. Salaries of distribution center personnel: Period cost because it is a sales expenses.

k. Wages of sewing machine operators: Product cost because it is a direct labor.

l. Factory janitorial supplies: Product cost because it is a manufacturing overhead.

m. Chief financial officer's salary: Period cost because it is an administrative expenses.

n. Travel costs of media relations employees: Period cost because it is a sales expenses.

o. Factory supervisors' salaries: Product cost because it is a manufacturing overhead.

p. Oil used to lubricate sewing machines: Product cost because it is a manufacturing overhead.

q. Property taxes on factory building and equipment: Product cost because it is a manufacturing overhead.

Explanation:

In Business management, cost can be defined as the amount of money paid in acquiring goods and services as well as the amount spent by the manufacturer in order to produce the goods or provide the service to the consumers. In production, these cost incurred by the manufacturer can be classified into two (2) categories and these are;

1. Product cost: is defined as all the cost incurred during the production or manufacturing of a company's product. Examples of these costs are direct labor cost, direct materials cost, and manufacturing overhead cost.

2. Period cost: is defined as all indirect costs associated with the smooth operation of a business. Examples of these costs are utility bills, rent, office supplies and depreciation, advertising costs etc.

Project A has cash flows of $4000, $3000,&0 and $3000 for years 1 to 4 and project B has cash flows $2000,$3000,2000,$3000 for years 1 to 4

Answers

Answer:

Project X has both a higher present and a higher future value than Project Y.

Explanation:

Hope this helps :)

MR. JONES DECIDES TO PURCHASE A CAR FOR $10,000. THE DEALER OFFERS TO FINANCE THE CAR AT 8% INTEREST. THE LOAN WILL WILL BE PAID OVER 4 YEARS WITH PAYMENTS MADE MONTHLY. WHAT IS THE PAYMENT AMOUNT THAT MR. JONES WOULD BE EXPECTED TO PAY

Answers

Answer:

Expected monthly payment is $244.13

Explanation:

We proceed as follows;

The amount financed is the PV of the 48. monthly installments to be paid

against it, when discounted at the rate of 8%/12.

Hence, using the formula for finding PV of an annuity [monthly installments

constitute an annuity], we have the equality:

10000 = PMT*((1+0.08/12)^48-1)/((0.08/12)*(1+0.08/2)^48),

where PMT is the monthly payment to be made.

So, PMT = 10000*(0.08/12) * (1+0.08/12)^48/((1+0.08/12)^48-1) = $244.13

Pharoah Company purchased equipment in 2020 for $104,000 and estimated an $8,000 salvage value at the end of the equipment's 10-year useful life. At December 31, 2021, there was $67,200 in the Accumulated Depreciation account for this equipment using the straight-line method of depreciation. On March 31, 2022, the equipment was sold for $21,000.
Prepare the appropriate journal entries to remove the equipment from the books of Pharoah Company on March 31, 2022. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.)

Answers

Answer:

Pharoah Company

General Journal

Debit Sale of Equipment $104,000

Credit Equipment account $104,000

To close the equipment account.

Debit Accumulated Depreciation $69,600

Credit Sale of Equipment $69,600

To close the accumulated depreciation account.

Debit Cash Account $21,000

Credit Sale of Equipment $21,000

To record the cash receipts from the sale.

Explanation:

a) Calculations:

Purchase price = $104,000

Salvage value = $8,000

Depreciable amount = $96,000

Depreciation per year = $9,600 ($96,000/10)

Accumulated Depreciation at Dec. 31, 2021 = $67,200

This shows that the equipment was bought 7 years ago (not clear from the question), because $9,600 x 7 = $67,200

b) Depreciation expense for 2022 = $2,400 ($9,600 x 3/12)

c) Total accumulated depreciation = $69,600 ($67,200 + 2,400)

d) The difference in the Sale of Equipment account is the loss on sale = $13,400 ($104,000 - 69,600 - 21,000).  This shows that the equipment was sold at a loss of $13,400.

You deposit $500 in an account earning 5% interest compounded annually. How much will you have in the account in 10 years?

Answers

Answer:

Future Value= $814.45

Explanation:

Giving the following information:

Initial investment= $500

Interest rate= 5% interest compounded annually.

Number of years= 10

To calculate the future value, we need to use the following formula:

FV= PV*(1+i)^n

FV= 500*(1.05^10)

Future Value= $814.45

At Mattel, a marketing information system stores data on regional sales activities, promotional costs, and international inventory levels. These data are examples of external sources.

Answers

Answer:

It is false.

Explanation:

At Mattel, a marketing information system stores data on regional sales activities, promotional costs, and international inventory levels. These data are not examples of external sources but are internal sources.

Internal sources of market information are informations that are gotten from within the company such as regional sales activities, promotional costs, and international inventory.

However, the external sources of information are informations that are gotten outside of the company such as survey from customers, competitors etc.

One of the fastest way to acquire knowledge is to hire individuals or purchase entire companies that have valued knowledge.
A. True
B. False

Answers

Answer:

True

Explanation:

Knowledge is something that cannot just be acquired within a day. It requires lots of reading, studying different books, rigorous amount of trainings and carrying out various research to learn something new. All this takes some period of time, maybe months or years because there is a need to perfectly master the field of study.

Therefore one of the fastest ways to acquire knowledge at a fast rate is to hire an individual who is an expert in that field or purchase an entire company that has already gained the knowledge because trying to achieve that on your own is time consuming.

This is an added advantage to the organisation as it helps to increase its growth rate and face any form of competition in the market.

Hence the statement above is true.

Suppose the Fed doubles the growth rate of the quantity of money in the economy. In the long run, the increase in money growth will change which of the following?a. The price levelb. The inflation ratec. The quantity of physical capitald. The size of the labor force

Answers

Answer:

a. The price levelb. The inflation rate

Explanation:

If the Fed doubles the growth rate of the quantity of money in the economy, the supply of money in the economy would rise. The rise in money supply would increase the price level and inflation level.

Inflation is a persistent rise in the general price levels

I hope my answer helps you

The quantity theory of money provides an easy answer to this question. The rate of inflation will fluctuate in the long run as money growth accelerates.

So, Option B is correct.

The other Options are incorrect as:

Option A is incorrect as The average of current prices over the complete spectrum of goods and services produced in an economy is referred to as the price level.

Option C is incorrect as Physical capital refers to an organization's owned and used assets, such as buildings, machinery, and cars.

Option D is incorrect as The labor force is made up of the number of people who are employed and those who are jobless.

Thus increase in money growth will change the inflation rate.

For more information about the inflation rate refer to the link:

https://brainly.com/question/3473705

7. A fast-food chain plans to expand by opening several new restaurants. The chain operates two types of
restaurants, drive-through and full-service. A drive-through restaurant costs RM 100.000 to construct,
requires 5 employees, and has an expected annual revenue of RM 200.000. A full service restaurant
costs RM 150.000 to construct, requires 15 employees, and has an expected annual revenue of RM
500,000. The chain has RM 2,400,000 in capital available for expansion. Labor contracts require that
they hire no more than 210 employees, and licensing restrictions require that they open no more than
20 new restaurants.
(a) How many restaurants of each type should the chain open in order to maximize the expected
revenue? [1 point)

Answers

Explanation:

                               Drive through                Full Service

Annual revenue          200,000                       500,000

Cost                               100,000                        150,000

Income                           100,000                        350,000

Employee                            5                                   15

Income / employee         20,000                        23,333.33

Using simultaneous equation ,

Let X represent the drive through service  ,and Y represent the full service restaurant

Budget = 100,000x + 150,000y ≤ 2,400,000  (equation 1)

Employer = 5x + 15y ≤ 210   (equation 2)

(Divide equation 1 by 10 ,000)

                     10x+ 15y ≤ 240 (equation 3)

Using elimination method, multiply equation 2 by -2

                      10x +15y ≤240

                      -10x - 30y ≤-420

                        -15y ≤ -180

                             y≤ -180/-15

y = 12

substitute y = 12 in equation 3

10x + 15y≤240

10x +180 ≤240

10x≤240-180

10x≤60

x≤6

                   

12         1,800,000      180

6           600,000         30

6 drive through services and 12 full services should be opened.

                           6 Drive through                12 full service            20

Cost                             600,000                      1,800,000           2,400,000

Employees                      30                                 180

Net income                     600,000                    4,200,000

The risk-free rate of return is 5 percent and the market risk premium is 12 percent. What is the expected rate of return on a stock with a beta of 1.4

Answers

Answer:

Expected rate of return= 21.8 %

Explanation:

The capital asset pricing model is a risk-based model for estimating the return on a stock.. Here, the return on equity is dependent on the level of reaction of the the equity to changes in the return on a market portfolio. These changes are captured as systematic risk. Systematic risks are those which affect all economic actors in the market, they include factors like changes in interest rate, inflation, etc. The magnitude by which a stock is affected by systematic risk is measured by beta.

Under CAPM,

E(r)= Rf + β×(Rm-Rf)

E(r)- expected return- ?

Rf-risk-free rate- 5%

β= Beta - 1.4

(Rm-Rf) - 12

E(r) = 5% + 1.4× (12%)= 21.8 %

Expected rate of return= 21.8 %

A customer buys 100 shares of ABC at $30 as the initial transaction in a new margin account. Subsequently, ABC rises to $40 per share in the market. What is the account's equity after the change in market value

Answers

Answer:

Account's Equity:

Investment in ABC = $4,000 ($40 x 100)

This is made up of initial investment of $3,000 and Unrealized Gain of $1,000 ($10 x 100) for the appreciation in market value.

Explanation:

The account's equity is the share in ownership rights of the customer in the margin account.  According to investopedia.com, "A margin account is a brokerage account in which the broker lends the customer cash to purchase stocks or other financial products.  The loan in the account is collateralized by the securities purchased and cash, and comes with a periodic interest rate."

A company bought a piece of equipment for $45,200 and expects to use it for eight years. The company then plans to sell it for $5,000. The company has already recorded depreciation of $39,166.53. Using the double-declining-balance method, what is the company's annual depreciation expense for the upcoming year

Answers

Answer:

$1,033,47

Explanation:

Calculation for the company's annual depreciation expense for the upcoming year using the double-declining-balance method

Using this formula

Depreciation expense = Beginning book value − Accumulated depreciation − Residual value

Let plug in the formula

Depreciation expense = 45,200 - $39,166.53-5,000

Depreciation expense =$1,033.47

Therefore the Depreciation expense will be $1,033.47

A share of BAC common stock has just paid a dividend of $1.00. The market return is 12% and the beta is 1.5. The three month T-bill rate is 4%. The expected long-run growth rate for this stock is 8%. What is the required return for the stock? What is the stock price?

Answers

Answer:

Required rate of return= 16%

Stock price= $13.50

Explanation:

A share of BAC common stock just made a dividend payment of $1

Market return is 12%

Beta is 1.5

Risk-free rate is 4%

Growth rate is 8%

The required rate of return for the stock can be calculated as follows

Required rate of return= Risk-free rate+beta×(market rate-risk-free rate)

= 4%+1.5(12%-4%)

= 4%+1.5×8%

= 4%+12

= 16%

The stock price can be calculated as follows

Stock price= dividend for the year/(rate of return-growth rate)

= (1×1.08)/(16/100-8/100)

= 1.08/0.16-0.08

= 1.08/0.08

= $13.50

Hence the required rate of return and the stock price is 16% and $13.50 respectively.

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