Identify investing activities from the items given below. collection of notes receivable collection of notes receivable sale of property sale of property issuance of bonds issuance of bonds purchase of equipment purchase of equipment receipt of interest receipt of interest receipt of dividends receipt of dividends

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Answer 1

The investing activities from the given list are collection of notes receivable and sale of property.

1. Collection of notes receivable - This is an investing activity because it involves receiving money from an investment made earlier in the form of a loan.

2. Sale of property - This is an investing activity because it involves selling an investment (property) and receiving money from the sale.

3. Issuance of bonds, purchase of equipment, receipt of interest, and receipt of dividends are not considered investing activities. Issuance of bonds is a financing activity, purchase of equipment is a capital expenditure, and receipt of interest and dividends are operating activities.

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Related Questions

Fill in the blank. According to the World Bank, the 31 wealthiest countries in the world tended to have much lower rates of _____ and much higher rates of _____ when compared to the 40 poorest countries.

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According to the World Bank, the 31 wealthiest countries in the world tended to have much lower rates of poverty and much higher rates of education when compared to the 40 poorest countries.

Global poverty is one of the most pressing problems that the world faces today. The poorest in the world are often undernourished, without access to basic services such as electricity and safe drinking water; they have less access to education and suffer from much poorer health.

There is no single definition of poverty. Our understanding of the extent of poverty and how it is changing depends on which definition we have in mind.

In particular, richer and poorer countries set very different poverty lines in order to measure poverty in a way that is informative and relevant to the level of incomes of their citizens.

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1. Caroline Wu was an executive officer with responsibility for the U.S. operations of BellSouth Corporation, a company providing global telecommunications services. Under a covenant not to compete, Wu agreed that for a period of eighteen months after termination from employment, she would not "provide services ... in competition with Bell South ... to any person or entity which provides products or services identical or similar to products and services provided by BellSouth within the territory." Territory was defined to include the geographic area in which Wu provided services to BellSouth. The services included "management, strategic planning, business planning, administration, or other participation in or providing advice with respect to the communications services business, in any capacity." Wu announce her intent to resign and accept a position as chief executive officer of Sprint Corp., a competitor of BellSouth. BellSouth filed suit in Georgia state court againstWu, claiming in part that his acceptance of employment with Sprint would violate the covenant not to compete. Is the covenant legal? Should it be enforced? Why or why not?

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In this case, Caroline Wu agreed to a covenant not to compete with BellSouth for a period of eighteen months after termination from employment, Generally speaking, covenants not to compete are enforceable in most states if they meet certain requirements, such as being reasonable in duration and geographic scope, and being necessary to protect a legitimate business interest.

In this case, Caroline Wu agreed to a covenant not to compete with BellSouth for a period of eighteen months after termination from employment, which prohibited her from providing services in competition with BellSouth to any person or entity which provides products or services identical or similar to products and services provided by BellSouth within the territory where Wu provided services to BellSouth. The services covered under the covenant included management, strategic planning, business planning, administration, or other participation in or providing advice with respect to the communications services business, in any capacity.

Without further information, it is difficult to say definitively whether the covenant is legal and should be enforced. However, it is possible that a court could find the covenant to be overly broad and restrictive, particularly if it would prevent Wu from working in her chosen field. On the other hand, if BellSouth can demonstrate a legitimate business interest in enforcing the covenant, such as protecting its confidential information or customer relationships, a court may be more inclined to enforce it. Ultimately, the outcome would depend on the specific facts and circumstances of the case, as well as the applicable law in the jurisdiction where the case is being heard.

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Equal Justice Initiative proposed that slavery didn’t end in America, it evolved. Based on the materials this week, reflect on the question, Did slavery end in America or did it evolve into mass incarceration? Utilize course materials to support your position.

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While slavery may have legally ended, the structures and systems that supported it persisted and evolved over time. Mass incarceration can be seen as one of the most recent forms of this evolution, where Black Americans continue to be disproportionately impacted by a system that profits off their labor and denies them opportunities for advancement.

The Equal Justice Initiative's proposal that slavery didn't end in America, it evolved, can be supported by the materials presented this week. While slavery was legally abolished in 1865 with the passing of the 13th Amendment, the systems and structures that supported slavery persisted and evolved over time. One example of this is the convict leasing system, where prisoners, many of them Black, were leased out to private companies to work in conditions that were often worse than slavery.

Additionally, the Jim Crow laws that followed Reconstruction created a system of segregation and disenfranchisement that denied Black Americans their rights and opportunities for advancement. This led to economic and social disparities that continue to this day.

Mass incarceration can also be seen as an evolution of slavery. The War on Drugs and harsh sentencing laws disproportionately affect Black Americans, leading to an incarceration rate that is higher than any other country in the world. This system profits off the labor of prisoners, who are often paid pennies on the dollar for their work.

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Which of the following is the upper control limit for a c-chart (UCL c) with the average number of nonconformances per unit equal to 7?
A. More than 11 but less than or equal to 12 B. More than 12 but less than or equal to 13 C. More than 13 but less than or equal to 14 D. More than 14 but less than or equal to 15

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To answer this question, we need to use the formula for calculating the upper control limit (UCLc) for a c-chart, which is:

UCLc = c + 3√c

Where c is the average number of nonconformances per unit. In this case, c = 7.

So, we plug in 7 for c in the formula:

UCLc = 7 + 3√7

Using a calculator, we get:

UCLc = 11.35 (rounded to two decimal places)

Therefore, the answer is A. More than 11 but less than or equal to 12.

It's important to note that the UCLc is the point at which the process is considered out of control and corrective action is needed.

If the number of nonconformances per unit exceeds the UCLc, it indicates that there is a problem with the process and steps should be taken to identify and address the root cause of the issue.

In conclusion, the upper control limit for a c-chart with an average number of nonconformances per unit equal to 7 is more than 11 but less than or equal to 12.

It's crucial to monitor the number of nonconformances per unit and ensure they are within the control limits to maintain the quality of the process and the content loaded.

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universal forest's current stock price is $154.00 and it is likely to pay a $5.23 dividend next year. since analysts estimate universal forest will have a 13.0 percent growth rate, what is its required return?

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Universal Forest's required stock return is 3.90%.

To calculate the required stock return for Universal Forest, we can use the dividend discount model. This model assumes that the stock's price is the present value of all future dividends discounted at the required return.

The formula for the dividend discount model is:

Stock price = Dividend / (Required return - Growth rate)

We can rearrange the formula to solve for the required return:

Required return = Dividend / (Stock price - Growth  rate)

Plugging in the given values, we get:

Required return = 5.23 / (154.00 - 0.13 * 154.00)
Required return = 5.23 / (134.02)
Required return = 0.0390 or 3.90%

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During the coronavirus pandemic, Miguel’s small business began producing face masks. The business can produce 120 masks per day with 3 employees, 150 masks per day with 4 employees, and 170 masks per day with 5 employees. The marginal product of labor of the fourth worker is ________ face masks.

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The marginal product of labor refers to the additional output that is generated by adding one more unit of labor to the production process.

In Miguel's small business, the production of face masks increases as the number of employees increases. Specifically, the business can produce 120 masks per day with 3 employees, 150 masks per day with 4 employees, and 170 masks per day with 5 employees.

To determine the marginal product of labor of the fourth worker, we need to compare the production levels of having 3, 4, and 5 employees. From this comparison, we can see that the addition of the fourth worker increases production by 30 masks per day (from 120 to 150 masks per day). Therefore, the marginal product of labor of the fourth worker is 30 face masks.

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answer all the questions correctly for a like. Question 8 (1 point) Which one of the following is the computation of the risk premium for an individual security? E(R) is the expected return on the security, Rt is the risk-free rate, B is the security's beta, and E(RM) is the expected rate of return on the market. 1) E(R) - [E(RM) + RA 2) E(RM) - RF 3) BIE(RM) - RA O4) E(R) - E(RM) Question 9 (1 point) Which one of the following statements about the capital asset pricing model is correct? 1) The model shows that investors are compensated for systematic risk. 2) The model shows that investors are compensated for unsystematic risk. 3) The model assumes the market has a beta of zero. 4) The model can be used to determine portfolio returns, but it does not apply to individual security returns.

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Answer to Question 8: The computation of the risk premium for an individual security is (E(R) - Rt) = [E(RM) - Rt] x B, where E(R) is the expected return on the security.

Rt is the risk-free rate, B is the security's beta, and E(RM) is the expected rate of return on the market. Therefore, the correct option is 4) E(R) - E(RM).

Answer to Question 9: The correct statement about the capital asset pricing model (CAPM) is 1) The model shows that investors are compensated for systematic risk. The CAPM is a financial model that explains how the expected return on an asset is related to its systematic risk or beta. It suggests that the expected return on an asset is equal to the risk-free rate plus a premium for bearing systematic risk. Therefore, option 1 is the correct answer.

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Which of the following statements is FALSE?
A) To estimate a firm’s enterprise value, we compute the present value (PV) of the
free cash flows (FCF) that the firm has available to pay equity holders.
B) The net present value (NPV) of any individual project represents its contribution to the
firm’s enterprise value.
C) When using the total payout model, we discount total dividends and share
repurchases, and use the growth rate in earnings when forecasting the growth of the
firm’s payout.
D) In the total payout model, we first value the firm’s equity, rather than just a single
share

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The false statement is B) The net present value (NPV) of any individual project represents its contribution to the firm's enterprise value. While NPV can be used to evaluate the profitability of a project, it does not directly reflect the impact of the project on the enterprise value of the firm.

Enterprise value is determined by the present value of the cash flows available to all investors, not just those related to a specific project. Therefore, the correct approach to estimate the enterprise value would be to compute the present value of the free cash flows that the firm has available to pay all stakeholders, including debt and equity holders.
Cash flows are an essential component of enterprise valuation as they reflect the amount of cash that a firm generates, which is available to pay stakeholders. These cash flows can be used to determine the enterprise value of the firm, which represents the total value of the business. To determine the enterprise value, one must consider all stakeholders and not just the equity holders.
The total payout model is a method to estimate the value of a firm by considering the dividends and share repurchases paid out to shareholders. It involves discounting total dividends and share repurchases and forecasting the growth of the firm's payout using the growth rate in earnings. In this model, the value of the firm's equity is determined first, rather than just a single share. Therefore, option B is the right one.

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if a flighting strategy works, there will be a____, which means that consumers will remember the product across the gap until the next advertising period begins.

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if a fighting strategy works, there will be a carryover effect which means that consumers will remember the product across the gap until the next advertising period begins.

A carryover effect is when participants behave differently in subsequent situations after being tested in a previous condition. A carryover effect occurs when participants in future situations are affected by the outcomes of receiving one treatment.

An effect known as a "carryover" occurs when one experimental treatment "carries over" into another. Any clinical experiment in which individuals are tested multiple times may be biased due to the so-called carry-over effect.

As a result, the significance of the that consumers will remember the product across the gap until the next advertising period begins are the aforementioned.

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Your question is incomplete, but most probably the full question was.

if a fighting strategy works, there will be a____, which means that consumers will remember the product across the gap until the next advertising period begins.

A) carryover effectB) hiatusC) lead time effectD) pushE) pull

Mohammed is a Saudi national has submitted his zakat return including the following information for 1441H (amnounts in SR)
a) Owns a shopping complex building at a book value of 1,200,000 and with market value of 1,800,000 the investment building produced a monthly rental value of 60,000. actual total expenses incurred of getting the income is of 120,000.
b) Invested in a car showroom at a book value of 600,000 and with market value of 900,000. the car ishowroom produced annual revemues of 600,000. actual total expenses incurred of getting the inconie is of 90,000.
Required: Caleulate the receptacle of the zakat for each kind of zakat 1441 H (Please do not write by hand)

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The zakat payable for the shopping complex building is 45,000 SAR and the zakat payable for the car showroom is 912,750 SAR for the year 1441H.

To calculate the zakat for each investment, we need to determine the net income and the value of the investment.
For the shopping complex building:
Net income = monthly rental value - actual total expenses
Net income = 60,000 - 120,000
Net income = -60,000 (negative net income indicates a loss)
Value of the investment = market value
Value of the investment = 1,800,000
Zakat payable on the shopping complex building = 2.5% of market value
Zakat payable = 2.5% x 1,800,000
Zakat payable = 45,000 SAR
For the car showroom:
Net income = annual revenue - actual total expenses
Net income = 600,000 - 90,000
Net income = 510,000
Value of the investment = market value
Value of the investment = 900,000
Zakat payable on the car showroom = 2.5% of total net income + market value
Zakat payable = (2.5% x 510,000) + 900,000
Zakat payable = 12,750 + 900,000
Zakat payable = 912,750 SAR

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as a short-term creditor concerned with a company's ability to meet its financial obligation to you, which one of the following combinations of ratios would you most likely prefer? group of answer choices current ratio: 0.5 tie: 0.5 debt ratio: 0.33 current ratio: 1.0 tie: 1.0 debt ratio: 0.50 current ratio: 1.5 tie: 1.5 debt ratio: 0.50 current ratio: 2.0 tie: 1.0 debt ratio: 0.67 current ratio: 2.5 tie: 0.5 debt ratio: 0.71

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As a short-term creditor concerned with a company's ability to meet its financial obligations, a current ratio of 2.0, a quick ratio of 1.0, and a debt ratio of 0.50 would be the most preferable combination of ratios.

As a short-term creditor concerned with a company's ability to meet its financial obligation to you, you would most likely prefer a higher current ratio and a lower debt ratio, as these ratios indicate the company's ability to pay its current liabilities and the extent to which its assets are financed by debt.

A short-term creditor would most likely prefer a combination of ratios that indicates the company has strong liquidity and low levels of debt, as this would increase the likelihood of the company being able to meet its financial obligations.

Therefore, the combination of ratios that the short-term creditor would most likely prefer is:

- Current ratio: 2.5

- Quick ratio: 0.5

- Debt ratio: 0.71

Financial obligations refer to the legally binding promises or commitments made by an individual or organization to pay a sum of money, goods or services to another party in exchange for value received.

Examples of financial obligations include loans, bonds, accounts payable, rent, and taxes. It is important for individuals and organizations to fulfill their financial obligations in a timely manner to maintain good credit and avoid legal penalties or default.

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Which of the following is a characteristic of oligopoly? many firms easy entry and exit strategic dependence none of the above

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The characteristic of oligopoly is strategic dependence, which means that firms in an oligopolistic market are interdependent and their decisions are influenced by the actions of their competitors.

Oligopoly is a market structure in which a small number of firms dominate the market and have the ability to control prices and output. This control over the market is the result of high barriers to entry, which make it difficult for new firms to enter and compete. Therefore, oligopolies tend to have limited competition and can generate significant profits. While there may be some variations in the number of firms that constitute an oligopoly, the strategic dependence among them remains a defining characteristic. The market is characterized by barriers to entry, making it difficult for new firms to enter and compete with the established firms. Many firms and easy entry and exit are not characteristics of an oligopoly but rather of a competitive market structure.

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Most product managers work within a matrix organization. In this environment, how does an effective product manager accomplish goals and execute strategic tactics? *Check This!
Must accomplish goals and execute tactics through others. Occasionally, product managers report to engineering, product development or even product management. But most product managers report to a marketing function.
Decide what you want to accomplish:
1) Market Penetration: (Existing Products/Existing Markets) Use a promotional strategy to get more sales w/ existing customers.
Ex: Big Mac Super Bowl Multi Pack Promo
2) Product Development: (New Products/Existing Markets)
Ex: shamrock shake, mighty kids meals (for Tweens)
3) Market Development: (Existing Products/New Markets) Expand geographically.
Ex: McDonalds India
4) Diversification: (New Products/New Markets) New products for new markets.
Ex: Chicken in India, potato wedges in Israel

Answers

In a matrix organization, an effective product manager can accomplish goals and execute strategic tactics

By focusing on the following steps:
1. Clear communication: Ensure that everyone in the team understands the product vision, objectives, and priorities. Communicate effectively with stakeholders from different departments such as engineering, product development, and marketing.
2. Collaboration and teamwork: Build strong relationships with team members and work collaboratively to achieve the desired outcomes. Foster an environment that encourages cross-functional collaboration and problem-solving.
3. Define and prioritize goals: Based on the company's overall strategy, decide what you want to accomplish and prioritize your goals into categories such as market penetration, product development, market development, and diversification.
4. Delegate tasks: Assign responsibilities and tasks to team members based on their skills, expertise, and availability. Ensure that the team has the necessary resources and support to execute the assigned tasks.
5. Monitor progress: Regularly review and assess the progress of the team towards achieving the set objectives. Make any necessary adjustments to the plan and ensure that the team stays on track.
6. Foster a culture of continuous improvement: Encourage team members to actively seek opportunities for improvement, be open to feedback, and learn from both successes and failures.
By following these steps, a product manager in a matrix organization can effectively accomplish their goals and execute strategic tactics, regardless of their reporting structure. Examples of such tactics include promoting existing products for increased market penetration, developing new products for existing markets, expanding geographically for market development, and diversifying with new products for new markets.

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Communication and information technologies can plan an important role in bridging gaps and breaking down barriers between organizations. Firms can leverage ______________ and _____________ to facilitate automated communications and coordinated actions with suppliers, distributers, and other firm partners.

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Firms can leverage "Electronic Data Interchange (EDI)" and "Collaborative Planning, Forecasting, and Replenishment (CPFR)" to facilitate automated communications and coordinated actions with suppliers, distributors, and other firm partners.

Electronic Data Interchange (EDI) is a system that enables the exchange of business documents in a standardized electronic format between organizations. This technology helps streamline communication and reduce errors, leading to improved efficiency and coordination among partners.

Collaborative Planning, Forecasting, and Replenishment (CPFR) is a process where trading partners collaborate on forecasts, inventory planning, and replenishment strategies. By sharing information and working together, organizations can better align their efforts and optimize supply chain performance.

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Bill owns a large parcel of land on which there are many tall pine trees. Bill intends to use the land for grazing sheep and therefore wants to have it cleared. He discovers that a logging company is prepared to pay him $1,000 for every 100 metres of timber they can take from his land. Leaving aside any capital gains tax issues, advise Bill as to whether he would be assessed on the receipts from this arrangement. Would your answer be different if he was simply paid a lump sum of $50,000 for granting the logging company a right to remove as much timber as required from his land? [111.3]

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In both cases, it's crucial for Bill to consult a tax professional to determine the specific tax implications and assess the best course of action for his individual circumstances.

In the first scenario, Bill receives $1,000 for every 100 meters of timber the logging company removes from his land. This arrangement seems to be a form of income for Bill, as he is receiving payment based on the pine trees cleared by the logging company. Generally, income received from such transactions may be subject to tax assessment.

In the second scenario, if Bill receives a lump sum of $50,000 for granting the logging company a right to remove as much timber as required, the situation may be slightly different. This could potentially be considered a one-time payment for the sale of timber rights on his land, which might not be treated the same as regular income.

In both cases, it's crucial for Bill to consult a tax professional to determine the specific tax implications and assess the best course of action for his individual circumstances.

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apr versus ear the going rate on student loans is quoted as 8 percent apr. the terms of the loans call for monthly payments. what is the effective annual rate (ear) on such a student loan?

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When it comes to loans, there are two types of interest rates that are commonly used - APR and EAR. APR stands for Annual Percentage Rate and is the interest rate that is charged on an annual basis,

while EAR stands for Effective Annual Rate and is the actual rate that a borrower pays annually after accounting for compounding.



In this case, the going rate on student loans is quoted as 8 percent APR, which means that the lender charges an annual interest rate of 8 percent on the amount borrowed.

However, the terms of the loan call for monthly payments, which means that the interest is compounded monthly. To calculate the effective annual rate (EAR) on such a student loan, we need to take into account the effects of compounding.



To calculate the EAR, we can use the following formula: EAR = (1 + APR/n)^n - 1, where n is the number of compounding periods per year. In this case, since the loan terms call for monthly payments, there are 12 compounding periods per year.



Substituting the values into the formula, we get:

EAR = (1 + 0.08/12)^12 - 1


EAR = 0.0833 or 8.33%



Therefore, the effective annual rate (EAR) on a student loan with a quoted APR of 8 percent and monthly payments is 8.33%.

This means that the borrower will end up paying more than 8% annually due to the effects of compounding. It's important to consider both the APR and the EAR when comparing loan options to ensure that you are getting the best deal possible.

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early in 2021, the excalibur company began developing a new software package to be marketed. the project was completed in december 2021 at a cost of $102 million. of this amount, $68 million was spent before technological feasibility was established. excalibur expects a useful life of five years for the new product with total revenues of $170 million. during 2022, revenue of $51 million was recognized. required: 1. prepare a journal entry to record the 2021 development costs

Answers

The entry reflects the total cost of the project, which is $102 million, and shows that the company paid for it with cash.

To properly account for the 2021 development costs of the new software package, Excalibur would need to make a journal entry that would debit the Development Costs account and credit the Cash account. The entry would be as follows:

Development Costs         $102,000,000
   Cash                               $102,000,000

This entry reflects the total cost of the project, which is $102 million, and shows that the company paid for it with cash.

It's worth noting that $68 million of the development costs were incurred before technological feasibility was established. Under GAAP (Generally Accepted Accounting Principles), these costs should be expensed as they are incurred rather than capitalized.

This means that they would be recorded as an expense in the income statement, reducing the company's net income for the period in which they were incurred.

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Fast Cat Running Shoes reports the following: (Click the icon to view the transaction information.) Journalize all entries required for Fast Cat Running Shoes. (Record debits first, then credits. Select the explanation on the last line of the journal entry table.) Oct. 4, 2018: Recorded credit card sales of $120,000, net of processor fee of 2%. Ignore Cost of Goods Sold. (Prepare a single compound journal entry.)

Answers

We are recording the credit card sales of $120,000, but since there is a processor fee of 2%, we need to subtract that from the sales amount.

The processor fee would be $2,400 (2% of $120,000), which we are recording as a debit to the Credit Card Expense account. The net amount received from the credit card sales would be $117,600, which we are recording as a debit to the Cash account. Finally, we credit the Sales account for the total amount of the sales.

When a business accepts credit card payments from customers, the credit card processing company charges a fee for their services. In this case, the processor fee is 2% of the sales amount. To record this transaction, we need to create a compound journal entry that reflects the different aspects of the transaction.

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he internal revenue service reports that the mean federal income tax paid in the year was . assume that the standard deviation is . the irs plans to draw a sample of tax returns to study the effect of a new tax law.

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The probability that the sample mean tax is less than $8000 is 39.44%.

To find the probability that the sample mean tax is less than $8000, we will use mean, standard deviation, sample size, and the z-score formula.

1. Mean (µ) = $8040

2. Standard deviation (σ) = $4700

3. Sample size (n) = 1000

4. Calculate the standard error (SE) using the formula:

SE = σ / √n
SE = 4700 / √1000
SE ≈ 148.66

5. Calculate the z-score using the formula:

z = (X - µ) / SE
z = (8000 - 8040) / 148.66
z ≈ -0.2687

6. Look up the z-score in a standard normal distribution table or use a calculator to find the probability:

P(Z < -0.2687) ≈ 0.3944

Hence, the probability that the sample mean tax is less than $8000 is approximately 0.3944 or 39.44%.

Note: The question is incomplete. The complete question probably is: The Internal Revenue Service reports that the mean federal income tax paid in the year 2010 was $8040. Assume that the standard deviation is $4700. The IRS plans to draw a sample of 1000 tax returns to study the effect of a new tax law. What is the probability that the sample mean tax is less than $8000? Round the answer to at least four decimal places. The probability that the sample mean tax is less than $8000 is .

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Review the following statements and select the ones which accurately describe a Petty Cash fund. Select all answers which apply.
Multiple select question.
*It is established to pay for small payments like low-cost supplies and shipping fees, etc.
*It is an asset reported on the balance sheet.
*It is an account used to record small sales amounts.
*It is an expense reported on the income statement.

Answers

Based on the given statements, the ones that accurately describe a Petty Cash fund are: 1. It is established to pay for small payments like low-cost supplies and shipping fees, etc. 2. It is an asset reported on the balance sheet.

These two statements apply because a Petty Cash fund is typically used for minor expenses within a company, and it is considered a current asset that is reported on the balance sheet. The other two statements do not accurately describe a Petty Cash fund.

A petty cash fund is a small amount of company cash, often kept on hand (e.g., in a locked drawer or box), to pay for minor or incidental expenses, such as office supplies or employee reimbursements. A petty cash fund will undergo periodic reconciliations, with transactions also recorded on the financial statements.
In larger corporations, each department might have its own petty cash fund.

Therefore, the correct statements are: 1 and 2.

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Johnson and johnson estimates bad debt expense at 0.30% of credit sales. the company reported accounts receivable and allowance for uncollectible accounts of $481,000 and $1,490, respectively, at december 31, 2020. during 2021, johnson and johnson's credit sales and collections were $327,000 and $310,000, respectively, and $1,780 in accounts receivable were written off.
Johnson and johnson accounts receivable at December 31, 2016 are:

Answers

Johnson and Johnson's accounts receivable on December 31, 2021, can be calculated using the given information.

First, let's determine the bad debt expense for 2021:
Bad debt expense = Credit sales * 0.30%
Bad debt expense = $327,000 * 0.003
Bad debt expense = $981
Now, let's update the allowance for uncollectible accounts:
Beginning allowance = $1,490
Add: Bad debt expense = $981
Less: Write-offs = $1,780
Ending allowance = $1,490 + $981 - $1,780
Ending allowance = $691
Next, we need to find the ending accounts receivable:
Beginning accounts receivable = $481,000
Add: Credit sales = $327,000
Less: Collections = $310,000
Ending accounts receivable = $481,000 + $327,000 - $310,000
Ending accounts receivable = $498,000
Thus, Johnson and Johnson's accounts receivable on December 31, 2021, are $498,000.

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the graph below shows the market in which a monopoly operates. mg2 what is the deadweight loss associated with the monopoly's profit maximizing behavior?

Answers

The Deadweight loss is $3. The correct option is $3.00.

The deadweight loss associated with a monopoly's profit maximizing behavior can be determined by looking at the gap between the marginal cost (MC) and the demand curve.

In the graph provided, we can see that the marginal cost curve intersects the demand curve at point E, which represents the socially optimal level of output. However, the monopoly chooses to produce at point F, where marginal revenue (MR) equals marginal cost, in order to maximize their profits.

Deadweight loss = 1/2 × (12-8)(4-2.5)      

Deadweight loss = 1/2 × 4× 1.5    

Deadweight loss = 6/2 = 3

The area of the triangle between points E, F, and G represents the deadweight loss. This is the loss of consumer surplus that occurs when the monopoly restricts output to increase their profits. The deadweight loss occurs because the monopoly charges a price that is higher than the marginal cost of production, which reduces the quantity demanded and creates inefficiency in the market.

Hence, the correct option is $3.00.

The complete question is:

The graph below shows the market in which a monopoly operates.

What is the deadweight loss associated with the monopoly's profit maximizing behavior?

$1.00

$4.00

$3.00

$6.00

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Jack is a talented investor, but his earnings vary considerably from year to year. In the coming year he expects to earn either $250,000 with good luck or $90,000 with bad luck. Somewhat oddly, given his chosen profession, Jack is risk averse, so that his utility is equal to the square root of his income. The probability of Jack's having good luck is 0.5. A). What is Jack's expected utility for the coming year? B). What amount of certain income would yield the same level of utility for Jack as the expected utility in part (A)?

Answers

A) Jack's expected utility for the coming year is 400.

B). The amount of certain income that would yield the same level of utility for Jack as the expected utility in part (A) is $160,000.

A) To calculate Jack's expected utility for the coming year, we need to consider the probabilities of each outcome and the utility of each income.

Expected utility = (probability of good luck * utility of good luck income) + (probability of bad luck * utility of bad luck income)

Probability of good luck = 0.5

Probability of bad luck = 0.5

Utility of good luck income = square root of $250,000 = $500

Utility of bad luck income = square root of $90,000 = $300

Expected utility = (0.5 * 500) + (0.5 * 300)

Expected utility = 250 + 150

Expected utility = 400

So, Jack's expected utility is 400.

B) To find the amount of certain income that would yield the same level of utility for Jack as the expected utility in part (A), we need to find the income that would give a utility of 400.

Utility = square root of income

400 = square root of income

Income = 400^2

Income = 160,000

Therefore, a certain income of $160,000 would yield the same level of utility for Jack.

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According to the Solow model, an increase in the capital-labor ratio will:
a. always increase steady state consumption per worker.
b. reduce steady state consumption per worker if the capital-labor ratio is below the Golden rule capital stock.
c. always reduce steady state consumption per worker.
d. increase steady state consumption per worker if the capital-labor ratio is below the Golden rule capital stock.

Answers

An increase in the capital-labor ratio will:
d. increase steady state consumption per worker if the capital-labor ratio is below the Golden rule capital stock.


In the Solow model, when the capital-labor ratio is below the Golden rule capital stock, increasing the capital-labor ratio will lead to higher steady state consumption per worker.

This is because more capital per worker allows for increased production and consumption in the economy. However, if the capital-labor ratio is already at or above the Golden rule capital stock, further increases will not lead to higher steady state consumption per worker.

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20. in the event that a whole life insurance policy lapses due to nonpayment or it is intentionally cancelled, which of the following nonforfeiture options are available to the policyowner? reduced paid-up option, fixed-amount option and life income option life income option, interest-only option and fixed-period option cash surrender option, reduced paid-up option and extended term option extended term option, fixed-period option and reduced paid-up option

Answers

If a whole life insurance policy lapses due to nonpayment or is intentionally cancelled, the policyowner may have access to several nonforfeiture options.

These options typically include the reduced paid-up option, fixed-amount option, and life income option. The reduced paid-up option allows the policyowner to keep a smaller death benefit without paying additional premiums. The fixed-amount option provides a set amount of insurance coverage for a specified period of time, while the life income option provides a guaranteed stream of income for the policyowner's lifetime.

Other possible nonforfeiture options may include the interest-only option and fixed-period option, or the extended term option, fixed-period option, and reduced paid-up option. The specific nonforfeiture options available may vary depending on the policy and the insurance company.
In the event that a whole life insurance policy lapses due to nonpayment or it is intentionally cancelled, the nonforfeiture options available to the policyowner include the cash surrender option, reduced paid-up option, and extended term option.

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When a broker prepares to take a listing on a residential house, he will find it helpful to do all of the following EXCEPT:a. Consider the seller's religiouspreference.b. Obtain any relevant data from the available public records.c. Gather recent data on sales inthe area.d. Consider the availability ofmortgage funds

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When a broker prepares to take a listing on a residential house, he will find it helpful to do all of the following except consider the seller's religious preference.

While it is important for the broker to establish a good working relationship with the seller, their religious preference has no bearing on the listing process. Instead, the broker should focus on obtaining relevant data from public records, gathering recent data on sales in the area, and considering the availability of mortgage funds.

These steps will help the broker to price the property appropriately and market it effectively to potential buyers. By focusing on these key factors, the broker can help the seller to achieve their goals and sell their property quickly and efficiently.

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john is a young married man. he and his wife lead a very active lifestyle and have no ongoing medical expenses. his employer provides a health plan with a $750 deductible. how should john and his wife plan for their health care needs?

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John and his wife should consider setting aside some money to cover their deductible in case they need to use their health plan. They should also keep track of any medical expenses they do have throughout the year, as they may be able to deduct them on their taxes. It's important to remember that while they may not have ongoing medical expenses now, unforeseen accidents or illnesses can happen, so having a health plan with a deductible is still a valuable benefit provided by their employer.

John and his wife should plan for their healthcare needs by considering the following steps:

1. Understand their health plan: Since John's employer provides a health plan with a $750 deductible, they should familiarize themselves with the coverage, benefits, and any limitations of the plan.

2. Budget for the deductible: As their health plan has a $750 deductible, John and his wife should set aside funds to cover this amount. This is the amount they need to pay out-of-pocket before their insurance begins to cover expenses.

3. Estimate additional expenses: Although they lead an active lifestyle and have no ongoing medical expenses, they should still estimate potential costs for routine checkups, dental care, vision care, or any other anticipated healthcare needs that may not be covered by their insurance plan.

4. Maintain an emergency fund: In addition to the deductible, it is wise for John and his wife to have an emergency fund for unexpected healthcare expenses that might arise.

5. Stay healthy: By continuing to lead an active lifestyle and practicing preventive healthcare, they can minimize potential healthcare expenses and maximize the benefits of their employer-sponsored health plan.

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Suppose a corporation has the following shares outstanding:
1. $800,000 in 6% Preferred Stock ($100 par value)
2. $3,200,000 in Common Stock ($10 par value)
No dividends were declared for the years 2020 and 2021.
Two scenarios are presented below and each is independent of each other:
Bank A lent $50,000,000 to ABC. ABC is delinquent on the loan payment. The bank agreed to accept a piece of land with a market value of $40,000,000 in payment of the debt. This property had a UMC book value of $20,000,000. Answer:
On 12/31/21 ABC had a note payable with a book value of $150,000. On that same date, the bank agreed to change the terms of the loan: reduce the principal to $80,000, extend the maturity date from 12/31/21 to 12/31/24, and reduce the contractual interest rate from 12% to 9%. %. How much is the debt restructuring gain? Answer:
Bank A lent $50,000,000 to ABC. ABC is defaulting on the loan payment. The bank agreed to accept a piece of land with a market value of $40,000,000 in payment of the debt. This property had a UMC book value of $20,000,000. How much is the debt restructuring gain? Answer:
On 12/31/21 ABC had a note payable with a book value of $150,000. On that same date, the bank agreed to change the terms of the loan: reduce the principal to $80,000, extend the maturity date from 12/31/21 to 12/31/24, and reduce the contractual interest rate from 12% to 9%. %. How much is the debt restructuring gain? Answer:

Answers

Therefore, no dividends would be paid for the years 2020 and 2021. Therefore, the debt restructuring gain is $70,000 ($150,000 - $80,000). Therefore, the debt restructuring gain is $10,000,000 ($50,000,000 - $40,000,000).

For the first scenario:

The preferred stockholders have a priority claim on the company's earnings, and as no dividends were declared for the years 2020 and 2021, the corporation has no dividend obligation to them. The common stockholders have no priority claim on the earnings and only receive dividends if the corporation declares them. Therefore, no dividends would be paid for the years 2020 and 2021.

For the second scenario:

The debt restructuring gain is the difference between the book value of the old debt and the new debt. The book value of the old debt is $150,000. The book value of the new debt is the reduced principal of $80,000. Therefore, the debt restructuring gain is $70,000 ($150,000 - $80,000).

For the third scenario:

The debt restructuring gain is the difference between the book value of the old debt and the fair value of the land given in payment of the debt. The book value of the old debt is $50,000,000. The fair value of the land is $40,000,000. Therefore, the debt restructuring gain is $10,000,000 ($50,000,000 - $40,000,000).

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what is the four-firm concentration ratio of the hamburger industry in this town? percent b. what is the herfindahl index for the hamburger industry in this town? c. if the top three sellers combine to form a single firm, what would happen to the four-firm concentration ratio and to the herfindahl index? four-firm concentration ratio

Answers

If the top three sellers (Burger King, McDonald's, and Wendy's) combine to form a single firm, the four-firm concentration ratio would change to 75%.

To determine the four-firm concentration ratio of the hamburger industry in this town, you need to first identify the top four hamburger sellers and their market share percentages. Let's say the top four sellers are Burger King (30%), McDonald's (25%), Wendy's (20%), and Hardee's (15%). To calculate the four-firm concentration ratio, you add up their market share percentages, which equals 90%. Therefore, the four-firm concentration ratio for the hamburger industry in this town is 90%.

To calculate the Herfindahl index for the hamburger industry in this town, you need to square the market share percentages of each seller and add them up. Using the same top four sellers and market share percentages as before, the calculation would be (0.30^2 + 0.25^2 + 0.20^2 + 0.15^2) = 0.225. Therefore, the Herfindahl index for the hamburger industry in this town is 0.225.

If the top three sellers (Burger King, McDonald's, and Wendy's) combine to form a single firm, the four-firm concentration ratio would change to 75% (30% + 25% + 20%). The Herfindahl index would also change, but the new calculation would depend on the market share percentage of the new single firm. However, it is likely that the Herfindahl index would increase since there are now fewer firms in the market, leading to a higher concentration of market share.

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how do you draft good new messages?group of answer choicessubject, closing, body, opening.subject, opening, body, and closing.buffer, reasons, bad news, and closing.subject, closing, body, and opening.

Answers

Drafting a good news message requires a clear and concise communication approach. The correct answer is: subject, opening, body, and closing. The correct answer is option a.

The following steps can be used as a guide:

Subject: Choose an informative and engaging subject line that accurately represents the content of the message.

Opening: Start with a friendly greeting and a statement that sets the tone for the message. For instance, you can begin with a congratulatory note or express appreciation for the recipient's contributions.

Body: Provide the details of the good news using a positive tone. Be clear and specific, and focus on the benefits of the news. Use bullet points, subheadings, or paragraphs to organize the information and make it easy to read.

Closing: End the message with a summary of the main points, a positive statement, and any follow-up actions or next steps. For example, you can thank the recipient again or offer further assistance if needed.

A good news message should be clear, concise, and engaging. It should focus on the positive aspects of the news and provide a clear path forward for the recipient.

The correct answer is option a.

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Complete Question

how do you draft good new messages?group of answer choices

a. subject, closing, body, opening.

b. subject, opening, body, and closing.

c. buffer, reasons, bad news, and closing.

d. subject, closing, body, and opening.

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