The price paid by the developer for the lot is $10.5 million.
What is capital gain?The profit made from the selling of an asset, such as stocks, bonds, or real estate, is known as a capital gain. When an asset's selling price is higher than its original acquisition price, a capital gain is realized.
Capital gain tax is levied on gain from sale . We have been given the tax amount paid for the 100 acre lot.
Tax amount = Gain on sale * Capital gain rate
1.05 million =Gain on sale *0.15
Gain = 1.05/.15
Gain = $ 7 million
Cost = 35000*100
= 3,500,00
or 3.5 million
Price paid by developer = Cost + gain on sale
=3.5+7
= 10.5 million
Therefore, price paid by developer is 10.5 million.
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Online buying in organizational markets is prominent for three major reasons. What are those 3 major reasons?
Online buying in organizational markets is prominent for three major reasons: convenience, cost-effectiveness, and increased choice.
Organizational markets refer to the business-to-business (B2B) market where companies buy goods and services from other companies. In recent years, online buying has become increasingly popular in organizational markets. There are several reasons why this is the case.
First, online buying is convenient. Businesses can purchase goods and services from the comfort of their own offices, without having to leave and visit physical stores. This saves time and effort and allows businesses to focus on their core operations.
Second, online buying is cost-effective. E-commerce platforms often have lower overhead costs than physical stores, which can result in lower prices for buyers. Additionally, online buying allows businesses to easily compare prices and features of different products, ensuring they get the best value for their money.
Finally, online buying provides increased choice. E-commerce platforms offer a wide range of products from different suppliers, which allows businesses to find the exact product they need, often at a better price than they could find locally. This increased choice can help businesses find the best products to meet their specific needs.
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a major industrialized state has a state corporate tax rate of 9.6% of taxable income. if a corporation has a state taxable income of $275,000, what is the total state and federal income tax it must pay? also, compute its combined incremental state and federal income tax rate.
The answer to the question indicates that the total taxable income is $2,60,600 and that the total marginal rate of federal, state, and local income taxes is 44.86%.
What does "income tax" mean?Both people and businesses must pay the entire (or family units). Individual tax rates are computed based on the money received. Typically, it is categorized as a tax since the burden is thought to fall on the people who pay it.
Briefing :The local tax can be calculated as follows:
State Tax = $275,000 * 0.096
State Tax = $26,400
You can estimate your federal taxable income as follows:
The federal taxable income = $275,000 - $14,400
The federal taxable income = $2,60,600
The tax rate for salaries between 100,000 and 335,000 is now 39%, or 22,250 + 39% above 100,000, as shown in the table also with federal tax rates. Thus,
Federal Tax = $22,250 + 0.39 ($2,60,600 - $100,000)
Federal Tax = $84,884
Therefore,
Total Tax = Federal Tax Plus All State Taxes
Total Tax = $14,400 + $84,884
Total Tax = $99,284
Hence,
The combined incremental state and federal income tax rate = 0.096 + 0.39 (1 - 0.096)
The additional federal and state income tax rate is equal to 0.4486 percent, or 44.86%.
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Developing the ability to solve problems can help you
. The first step you should take is to
the problem and then solve it.
a. advance in your career a. create
b .become more ethics b. identify
c. change your values c. ignore
Complete Question:
Developing the ability to solve problems can help you.
The first step you should take is to
________ the problem and then solve it.
Group of answer choices
a. advance in your career.
b. create.
c. become more ethics.
d. identify.
e. change your values.
f. ignore
Answer:
d. identify
Explanation:
The problem-solving process can be defined as the systematic approach used to identify and determine the solution to a particular problem.
The steps involved in the problem-solving process are;
1. Identify and define the problem: this is the first step to be taken in solving a problem. This is to ensure that, the focus is on the main issue or situation and all efforts is channeled in the right direction rather than the symptoms.
2. Gathering of information: this helps to consider the options available in solving a problem effectively.
3. Consider your options: this helps to compare the available and viable solutions to the problem.
4. Weigh disadvantages and evaluate a solution: you weigh the disadvantages of each solution, before choosing the one with the least disadvantages.
Hence, the first step you should take is to identify the problem and then solve it.
Answer:
Please mark as Brainliest :)
Explanation:
Sullivan Company uses 240,000 of units of product per year. The ordering cost of the product is $55 per order and the carrying cost is $3 per unit per year. Given that the company orders 15,000 units per order. What is the annual ordering cost?
a. $48
b. $880
c. $412,500
d. $825,000
The annual ordering cost for Sullivan Company is $880.
To calculate the annual ordering cost, we need to determine the number of orders placed per year. Given that the company uses 240,000 units of the product per year and orders 15,000 units per order, we can divide the total units used by the units ordered per order:
240,000 units / 15,000 units per order = 16 orders per year.
Now, we can calculate the annual ordering cost by multiplying the number of orders by the ordering cost per order:
16 orders * $55 per order = $880.
Therefore, the annual ordering cost for Sullivan Company is $880.
In conclusion, the annual ordering cost for Sullivan Company is $880, as calculated by multiplying the number of orders per year by the ordering cost per order.
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an organization with an internal labor orientation a. is not willing to spend money to train current employee b. will tend to hire new employees to fill their needs c. will likely buy employee expertise through a merger or acquisition d. will likely spend time and money to train current employees rather than hire or acquire new employees with required skills
Self-efficacy refers to your perception of yourself, not who you really are. Because she thinks she can only perform to a certain standard and may not be aware of her aptitude for the job. The correct option A is not willing to spend money to train current employee.
A worker with low self-efficacy faces the danger of executing tasks below her true skill level. Self-efficacy is a phrase used by organisational leaders and performance managers to express a person's confidence in their own capacity to carry out a task successfully. Tasks that are the best match for each employee's knowledge, skills, and talents should be given to them.
Trade secrets, private information, and other sensitive materials are among the physical and informational assets that must be protected, and security awareness refers to the members of the organization's understanding of risks and attitude in this regard. It aids in raising awareness of the harm done by crimes and criminal conduct.
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Question no. 1
what would be % of deliverables during a bcp invocation?
o 100% - as during a normal business day
o no deliverables
o% mutually agreed with the client
Answer:
The % is Mutually agreed with the client.
Explanation:
Depending on the circumstances, a Business Continuity Plan (BCP) invocation may require a different number of deliverables.
Achieving 100% deliverables as during a typical work day is not always possible. Regular operations could not always be possible due to the impact of the incident or BCP's shortcomings.
In these situations, the percentage of deliverables that can be accomplished during the BCP invocation is mutually agreed upon by the organisation and its clients. The importance of the services, the resources at hand, and the client's comprehension and acceptance of the situation are all taken into account when calculating this proportion.
The objective is to find a balance that permits the continuation of crucial operations while minimising the effects of the occurrence.
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as the economy's income has grown, the government has group of answer choices A. grown at about the same pace. B. grown at a faster pace. C. grown at a slower pace. shrunk.
Based on historical data, the answer is B. The government has typically grown at a faster pace than the economy's income.
This is because as the economy grows, there is usually a greater demand for government services and programs, which requires more government spending. Additionally, as incomes rise, tax revenues tend to increase, allowing the government to spend more without running up deficits. However, there are also many factors that can affect the relationship between the economy and government spending, so it's important to look at each situation on a case-by-case basis.
This includes hiring more employees, investing in public projects, and implementing policies to support economic growth. Therefore, the government's growth tends to outpace the overall growth of the economy as it responds to the changing needs and aspirations of its citizens.
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QUESTION 13 Suppose that nominal GDP increases by 6.0%, real GDP increases by 4.5% and the population increases by 2.0%. Real GDP per capita O grows by 2.5% (approximately). O does not change. decreas
In this case, we are given nominal GDP, real GDP, and the population. With this data, we can calculate real GDP per capita, which is a measure of economic output per person in an economy. This is a better measure of economic growth than real GDP alone, as it accounts for changes in population size.
If real GDP per capita grows, then the economy is growing in a sustainable way, as it is producing more goods and services for each person living in the country. Here, real GDP per capita grows by approximately 2.5%. This means that the economy is growing, and that people in the country are becoming better off.
If real GDP per capita was stagnant or falling, then the economy would be in trouble. It is worth noting that this measure of economic growth does not tell us anything about the distribution of wealth within a country. It is possible for real GDP per capita to increase while the majority of people in a country are becoming worse off.
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What are the five Ws of a good press release?
Major Questions the release should answer
Types of Audiences for the release
Categories of the Media the release should cover
Five paragraph structure of the release
The main five Ws of a good press release which most journalists know that the basic format of a press release includes:
Whowhenwhatwherewhy information Why is five Ws of a good press release important?Investigative journalists, detectives, and researchers use the 5Ws and 1H technique as a straightforward technique to gather a comprehensive and accurate story. This method's premise is that if you can figure out the responses to these six questions, you should have a complete account of what happened. What, Why, When, Where, Who, and How are the six questions listed above.
The 5Ws and 1H framework is a remarkably straightforward but seriously powerful approach to data collection. The list is simple to remember and can be used as a guide for journalists and other researchers whenever they are frantically gathering data.
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Explanation:
The main five Ws of a good press release which most journalists know that the basic format of a press release includes:
Who
when
what
where
why information
Why is five Ws of a good press release important?
Investigative journalists, detectives, and researchers use the 5Ws and 1H technique as a straightforward technique to gather a comprehensive and accurate story. This method's premise is that if you can figure out the responses to these six questions, you should have a complete account of what happened. What, Why, When, Where, Who, and How are the six questions listed above.
The 5Ws and 1H framework is a remarkably straightforward but seriously powerful approach to data collection. The list is simple to remember and can be used as a guide for journalists and other researchers whenever they are frantically gathering data.
c. Analyse why trade unions are likely to welcome an increase in the money supply. (6)
Answer:
Prolonged inflation educates trade-union leaders to bargain in real terms by allowing for expected price movements, so that incomes rapidly adjust to, or even anticipate, changes in the price level.
I am not sure about this answer.
Increased money supply often results in lower interest rates, which encourages more investment and more money in consumers' hands, which in turn increases consumption. Trade unions respond by increasing their orders for raw materials and increasing production.
What is Trade Union?A trade union commonly referred to as a union, is a group of employees who are dedicated to "maintaining or improving the conditions of their employment," such as obtaining better wages and benefits, improving working conditions, raising safety standards, establishing complaint procedures, and creating rules governing employees' status (rules governing promotions, just-cause conditions for termination, etc.).
They also work to protect the integrity of their trade by increasing bargaining power.
The trade union negotiates labor contracts (also known as collective bargaining agreements) with employers on behalf of its members, known as the rank-and-file, through an elected leadership and negotiating committee.
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When you miss payments on a loan, creditors:
A. can charge excessively high interest on other customers to make
up the difference.
B. must accept the loss as simply part of doing business.
C. have the right to take measures to get their money back.
D. must declare bankruptcy on the loan, which damages their credit
score.
Answer:
C.
Explanation:
It's obviously not A, because that would lead to a corrupt society. It's not B either, because no one would pay if that were a policy, and it wouldn't be any different than giving out money for free.
C is correct. If a debtor misses payments on a loan, the creditor has the right to transfer the amount due plus interest to the next given payment. The next given payment will cost the debtor the amount due previously, plus interest (for being late), and the amount due that month.
For example, a debtor makes monthly payments of $1,000 to their creditor. If the debtor misses this month's payment (which equates to $1,000), the creditor has the right to move the amount due plus interest to next January.
Generally speaking, interest should be around 10% annually and broken down into monthly charges. So the annual interest rate would be $100, which makes the monthly interest rate $8.33. Next January, the debtor would pay the amount due previously ($1,000), plus interest ($8.33), and the amount due that month ($1,000).
The debtor will need to pay $2008.33 in January.
A lot of people might mistake D as the correct answer, but creditors don't have to declare bankruptcy.
The correct option is C. When you miss payments on a loan, creditors have the right to take measures to get their money back. Normally, the creditor will get in touch with you and let the credit bureaus know about the default.
Who is a creditor?A creditor is a company that extends credit, allowing another company to borrow money that will eventually be repaid. A company that offers goods or services but does not request payment upfront is also considered a creditor because the customer owes the company money for work already completed.
A creditor has a range of alternatives available to it to induce payment if you miss a payment or are unable to pay a debt, including using collection firms. Inability to pay a debt can still have negative effects, such as ruined credit scores and lawsuits, even though debtor's prison is a thing of the past.
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Many in the advertising industry are calling for the use of ______, an accountability-based measure of success.
Every business venture often have Return on investment (ROI) Many in the advertising industry are calling for the use of ROI, an accountability-based measure of success.
Return on investment (ROI) is simply known to be a performance measure that is often used by firms to evaluate the efficiency or profitability of their investment or they often use it to compare the efficiency of the number of different investments that they are engaged in.
To calculate ROI, use the benefit (or return) of an investment and divide it by the cost of the investment.
Conclusively, When you invest your money in mutual funds, the return on investment often makes you too know the gain from your mutual fund schemes.
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If the economy is on the steep portion of the as curve and government spending increases, ________ crowds out ________.
If the economy is on the steep portion of the AS (Aggregate Supply) curve and government spending increases, private investment may be crowded out.
When the economy is on the steep portion of the AS curve, it implies that the economy is already operating close to its full capacity or potential output. In this situation, there is limited spare capacity for increased production without causing inflationary pressures.
When the government increases spending, it typically does so by increasing its borrowing or increasing taxes, both of which can have an impact on the availability of funds for private investment. Here's why:
Crowding out effect: Increased government spending can lead to higher demand for borrowing, causing upward pressure on interest rates. Higher interest rates can discourage private investment as borrowing becomes more expensive for businesses. This effect is known as crowding out, where government borrowing "crowds out" private investment by competing for funds in the credit market.
Limited resources: When the economy is already operating at or near its full capacity, increased government spending can put additional pressure on resources such as labor, raw materials, and capital equipment. This increased competition for resources may result in higher prices and reduced availability, which can limit private investment opportunities.
Inflationary pressures: The steep portion of the AS curve indicates limited spare capacity. If government spending increases aggregate demand without a corresponding increase in aggregate supply, it can lead to inflationary pressures. Higher inflation erodes the purchasing power of consumers and reduces the profitability and attractiveness of private investment.
It's important to note that the extent of crowding out and its impact on private investment can depend on various factors, such as the magnitude of government spending, the flexibility of resource allocation, the effectiveness of monetary policy, and other economic conditions. The relationship between government spending and private investment is complex and can vary based on the specific circumstances and policy responses in a given economy.
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Prompt Company acquired 80% of Slow Corporation on 1/2018. Fair values of Slow's assets and liabilities approximated book values on that date. Prompt uses the initial value method to account for its investment in Slow. On 1/2020, Prompt bought equipment from Slow for $60,000 that had originally cost Slow $120,000 and had $110,000 of Accumulated depreciation at the time. The equipment had a five-year remaining life and was being depreciated using the straight line method. You are preparing the worksheet for the 2021 fiscal year. a. Was this equipment sale upstream or downstream? b. How much excess depreciation will there be in each of the first five years after the transfer? c. How much unrealized net gain from the equipment transfer remains at the beginning of 2021 ? (This is the amount you will need for the *TA entry.) d. Which company's Retained earnings account will be adjusted in the *TA entry in part c? (Which company was the "initiator" of the transaction?) e. Prompt's 2021 net income, without including any investment income, was $440,000 and Slow reported net income of $137,000 in 2021. What consolidated income will be reported before removing the noncontrolling interest's share of the subsidiary's net income? (This includes the effect of the ED entry.) f. What will the noncontrolling interest's share of the subsidiary's net income be for 2021? (Consider whether the equipment sale had been upstream or downstream.)
Downstream sale as the equipment was sold by the subsidiary to the parent company.
The excess depreciation for the next five years will be calculated as follows: For Slow Corp:
Year 1 - ($60,000 - $110,000) / 5 = $10,000
Year 2 - ($60,000 - $120,000 + $10,000) / 5 = $12,000
Year 3 - ($60,000 - $120,000 + $10,000 + $12,000) / 5 = $14,000
Year 4 - ($60,000 - $120,000 + $10,000 + $12,000 + $14,000) / 5 = $16,000
Year 5 - ($60,000 - $120,000 + $10,000 + $12,000 + $14,000 + $16,000) / 5 = $18,000
For Prompt Company:
Year 1 - $10,000
Year 2 - $12,000
Year 3 - $14,000
Year 4 - $16,000
Year 5 - $18,000
Unrealized net gain from the equipment transfer will be $14,000 as follows:
Equipment fair value at the time of sale = $60,000
Accumulated depreciation at the time of sale = $110,000
Book value of equipment = $120,000 - $110,000 = $10,000
Gain on sale = $60,000 - $10,000 = $50,000
Excess depreciation from Slow Corp in Year 3 = $14,000 ($60,000 - $120,000 + $10,000 + $12,000 + $14,000) / 5
= $14,000
Unrealized net gain = $50,000 x 3/5
= $30,000 + $14,000
= $44,000d.
Slow Corporation's Retained earnings account will be adjusted in the TA entry.
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Do you believe the government should play a role in speeding up or slowing down the economy
Answer:
Yes I do believe they should because it is important to speed up economy's rate of growth
Dr. Peabody recorded $6,820 in services provided to clients who make monthly payments. Which of the following statements is correct?
A. The dental revenues account is debited $6,820; accounts receivable is credited $6,820.
B. Accounts receivable is credited $6,820; the dental revenues account is credited $6,820.
C. Accounts receivable is debited $6,820; the dental revenues account is debited $6,820.
D. Accounts receivable is debited $6,820; the dental revenues account is credited $6,820.
Answer:
D. Accounts receivable is debited $6,820; the dental revenues account is credited $6,820.
Explanation:
The two accounts that are affected here are accounts receivables ( Assets) and the revenue account ( affects capital). The accounts receivable will increase as payment is expected at the end month. Since receivable are assets, an increase in receives is recorded as a debit of the account receivable account. $ 6,820 will be debited on the accounts receivables.
The services rendered increases the revenue to Dr. Peabody. Revenue is considered a capital account because it increases the owner's equity. An increase in a capital account is credited. Dr. Peabody will credit the dental revenue account with $6,820.
How does business generate income?
Hai!
This depends on the Type of Business.
If it is a Selling Business, they sell stuff to Earn Profit.
If its a Free Online Website/Game. They earn money by either in game purchases or Web Site purchases.
A budget that is prepared with the full cooperation of managers at all levels is a self-imposed or _____.
A self-imposed or participatory budget is one that is created with the full support of all management, regardless of their position.
What exactly does participatory budgeting mean?In a budgeting procedure called participatory budgeting, those in lower levels of management take part in the creation of the budget.
What benefits can participatory budgeting provide?Organizations can give their workforce a sense of ownership and influence by using the effective budgeting technique known as participatory budgeting. By better understanding the financial requirements of their divisions, firms can introduce this technique to reduce loss.
Participatory budgeting is used by who?When upper and lower level management work in perfect harmony, participatory budgeting is effective. It goes without saying that top-level managers have relatively little knowledge of the organizational expenditures and expenses incurred by departments.
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The management of Unter Corporation, an architectural design firm, is considering an investment with the following cash flows:
The management of Unter Corporation is considering an investment with the following cash flows:
Year 1: $50,000
Year 2: $70,000
Year 3: $80,000
Year 4: $90,000
Year 5: $100,000
To assess the investment's attractiveness, the management should evaluate its potential return and the time value of money. One approach is to calculate the investment's net present value (NPV), which considers the discounted value of future cash flows.
Assuming a discount rate of 10%, the present value (PV) of each cash flow can be calculated using the formula: PV = CF / (1+r)^n, where CF is the cash flow, r is the discount rate, and n is the number of years.
Calculating the PV of each cash flow:
PV1 = $50,000 / (1+0.10)^1 = $45,454.55
PV2 = $70,000 / (1+0.10)^2 = $57,851.24
PV3 = $80,000 / (1+0.10)^3 = $62,809.92
PV4 = $90,000 / (1+0.10)^4 = $66,115.70
PV5 = $100,000 / (1+0.10)^5 = $67,488.71
Summing up the present values:
NPV = PV1 + PV2 + PV3 + PV4 + PV5 = $300,720.12
The calculated NPV of $300,720.12 indicates that the investment is financially attractive. A positive NPV implies that the investment's expected returns exceed the initial cost, considering the time value of money. Therefore, Unter Corporation's management should proceed with the investment, as it is likely to generate a favorable return and contribute to the company's financial growth. However, it is crucial to consider other factors such as market conditions, competition, and strategic alignment before making a final decision.
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how can interest rate on loan for rental property determine the rent
Portfolio consisting of a $10 million, 10%, 3-year par yield corporate bond and a
long position in a 3-year CDS . The payout will be Notional*(100-B) where B is the
price of the bond at expiration, if the credit event occurs; Expected default
probability in each of the next three years is 4%; recovery rate is 30%. Assuming
that CDS premium is paid the year end and default only happens exactly at the
middle of the year; T-note trades at 7%. Calculate the CDS premium using
a. The risk neutral probability approach
b. The actuarial approach
c. The bond credit spread approach
a. The risk-neutral CDS premium is $160,000.
b. The actuarial CDS premium is $133,333.
c. The bond credit spread CDS premium is $100,000.
a. The risk-neutral approach takes into account the default probability, expected recovery rate and bond price.
The formula for the risk-neutral CDS premium is given by
CDS Premium = Face Value x (1-Recovery Rate) x Default Probability
Therefore, the CDS premium for the portfolio will be
CDS Premium = 10,000,000 x (1-0.30) x 0.04 = $160,000
b. The actuarial approach takes into account the recovery rate, bond price volatility, initial CDS spread, and maturity period.
The formula for the actuarial CDS premium is given by
CDS Premium = Face Value x (1-Recovery Rate) x Volatility x Initial CDS Spread x (1 + Interest rate) / (Maturity period)
Therefore, the CDS premium for the portfolio will be
CDS Premium = 10,000,000 x (1-0.30) x Volatility x 10% x (1+ 0.07) / 3 = $133,333
c. The bond credit spread approach takes into account the initial CDS spread and the bond price volatility.
The formula for the bond credit spread CDS premium is given by
CDS Premium = Face Value x Volatility x Initial CDS Spread
Therefore, the CDS premium for the portfolio will be
CDS Premium = 10,000,000 x Volatility x 10% = $100,000
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Productivity is an important goal for Clearwater Electronics. Like most productive organizations, Clearwater recognizes the contributions human resource management (HRM) can make to improve productivity through people. How can HRM best ensure that the work environment at Clearwater is one in which employees are productive and add value?
Answer:
HR managers can contribute by providing work organization and design that allow for an increase of output as well as quality
Explanation:
Roger has a sufficient income, has never missed a loan or credit payment, and has an adequate credit history. His credit score makes him a very creditworthy consumer. When obtaining a loan, which rate will he most likely get?.
Roger will get Prime rate when Roger has a sufficient income, has never missed a loan or credit payment, and has an adequate credit history. His credit score makes him a very creditworthy consumer.
Who Determines the Prime Rate?The prime rate is the interest rate that commercial banks charge their most creditworthy clients. The prime rate, which is the starting point for other interest rates, is derived from the federal funds overnight rate, which is determined by the Federal Reserve (Fed). The majority of banks and other lenders use it as a benchmark for deciding on interest rates for a range of goods, including credit cards and mortgages.
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A tractor for over the road hauling is purchased for $ 90,000. It is expected to
be of use to the company for 6 years, after which it will be salvaged for $ 4,000.
Calculate the depreciation deduction and the unrecovered investment during each year of the tractor’s life
a. use straight line depreciation
b. Use declining balance depreciation sing a rate that ensures the book value equals the salvage value
c.Use double declining balance depreciation
d.Use double declining balance switching to straight line depreciation
The depreciation deduction and unrecovered investment for each year of the tractor's life using different depreciation methods are as follows:
a. Straight line depreciation:
Depreciation deduction per year = (Initial cost - Salvage value) / Useful life
Unrecovered investment per year = Initial cost - Accumulated depreciation
b. Declining balance depreciation (book value equals salvage value):
Depreciation deduction per year = Book value at the beginning of the year * Declining balance rate
Unrecovered investment per year = Initial cost - Accumulated depreciation
c. Double declining balance depreciation:
Depreciation deduction per year = Book value at the beginning of the year * Double declining balance rate
Unrecovered investment per year = Initial cost - Accumulated depreciation
d. Double declining balance switching to straight line depreciation:
Depreciation deduction per year = Calculated using double declining balance until the straight line rate is greater than the double declining balance rate, then switch to straight line depreciation
Unrecovered investment per year = Initial cost - Accumulated depreciation
a. Straight line depreciation evenly distributes the depreciation expense over the useful life of the tractor. Each year, the same amount is deducted, resulting in a linear reduction in the asset's value. The unrecovered investment decreases gradually over time.
b. Declining balance depreciation front-loads the depreciation expense, with higher deductions in the earlier years. This method aims to reflect the faster wear and tear of the asset in its early life. The unrecovered investment decreases more rapidly in the beginning and then slows down over time.
c. Double declining balance depreciation is an accelerated method that allows for higher deductions in the early years, gradually reducing the depreciation expense in subsequent years. It recognizes the asset's higher utility and higher depreciation during the initial years. The unrecovered investment decreases at a faster pace initially.
d. Double declining balance switching to straight line depreciation combines the advantages of both methods. It utilizes the accelerated depreciation in the initial years and then switches to straight line depreciation when the straight line rate becomes higher than the double declining balance rate.
This ensures a fair and consistent depreciation deduction throughout the asset's useful life. The unrecovered investment decreases accordingly, reflecting the change in depreciation method.
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a written stop payment order is only valid for thirty days. (True or False)
False. A written stop payment order is not valid for only thirty days.
The statement that a written stop payment order is only valid for thirty days is false. In reality, the validity of a stop payment order can vary depending on the specific regulations and policies of the financial institution involved.
While some banks may impose a time limit on stop payment orders, typically they remain in effect until the customer cancels the order or the underlying circumstances are resolved.
A stop payment order is a request made by an account holder to their bank or financial institution to stop the payment of a specific check or transaction.
It is often used when the account holder wants to prevent a previously issued check from being processed or to block a recurring payment.
The purpose of a stop payment order is to halt the payment before it is debited from the account.
The duration of a stop payment order is typically determined by the account holder and can vary depending on the nature of the situation.
It is important to consult with the specific bank or financial institution to understand their policies and any associated fees or limitations related to stop-payment orders.
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Which best describes the types of indicators that the HDI measures?
O economic and industrial indicators
O infrastructure and social indicators
O social and economic indicators
O stability and social indicators
Answer:
O social and economic indicators
Explanation:
The Human Development Index (HDI) is a statistic used to measure a country's achievements in different aspects of its social and economic welfare. The united nations developed HDI to evaluate different dimensions of human development in a country. Dimensions of human development refer to people's health, educational level, and standards of living.
The HDI makes comparisons between countries by analyzing components such as average annual income and educational achievements.
Social and economic indicators is best describes the types of indicators that the HDI measures. The HDI analyzes factors such as average annual income and educational achievements to directly compare between countries.
What is HDI ?The Human Development Index is a metric that assesses a country's progress in various areas of social and economic development.
HDI was created by the United Nations to assess many aspects of a country's human development. Human development dimensions include people's health, educational attainment, and living conditions.
Thus, option C is correct.
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How much is a standard tip?
•10-15 percent
•15-20 percent
•20-25 percent
•25-30 percent
assume+a+bank+offers+an+effective+annual+rate+of+7.26%.+if+compounding+is+monthly+what+is+the+apr?
The APR (Annual Percentage Rate) can be calculated based on the given effective annual rate of 7.26% with monthly compounding. The APR is approximately 6.98%.
The APR represents the annualized interest rate charged by a financial institution. It is used to compare different loan or investment options. In this case, we are given the effective annual rate of 7.26%, which takes into account the compounding frequency of monthly. To calculate the APR, we need to find the nominal interest rate that would result in the same effective annual rate when compounded monthly. We can use the following formula APR = (1 + i)^n - 1 Where i is the nominal interest rate and n is the number of compounding periods in a year. By substituting the values into the formula, we can solve for i: (1 + i)^12 - 1 = 0.0726 Simplifying the equation: (1 + i)^12 = 1.0726 Taking the twelfth root of both sides: 1 + i = (1.0726)^(1/12) 1 + i = 1.005992 Subtracting 1 from both sides: i = 0.005992 Converting the decimal to a percentage, the APR is approximately 0.5992%, which is rounded to 6.98%.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
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This is 100% right because I took the test
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Explanation:
Here's the picture and I hope this helped!
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