a) The computation of the acquisition cost of each intangible asset for Bluestone Company is as follows:
Acquisition Costs:Patent = $3,200Trademark cost = $6,000Computer licensing rights purchased = $66,000b) The computation of the amortization of each intangible asset for Bluestone Company is as follows:
Amortization Expense for the current year
Patent = $400 ($3,200/8)Trademark cost = $0Computer licensing rights purchased = $11,000 ($66,000/6)c) The way that these intangible assets and their related expenses should be reported on the balance sheet and income statement for the current year ended December 31, for Bluestone Company, is as follows:
Bluestone Company
Balance SheetAs of the Current Year ended on December 31
Intangible Assets:Patent $3,200
Less Amortization Expense $400 $2,800
Trademark cost $6,000
Computer licensing rights $66,000
Less Amortization Expense $11,000 $55,000
Bluestone Company
Income StatementFor the Current Year ended on December 31
Amortization Expenses:Patent $400
Computer licensing rights $11,000
Data and Calculations:January 1 Purchase of Patent = $3,200
Estimated useful life = 8 years
Trademark cost = $6,000
Trademark value = $160,000
Estimated useful life = Indefinite
No amortization expense but an annual reassessment of its value
Computer licensing rights purchased = $66,000
Estimated useful life = 6 years
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Wickland Company installs a manufacturing machine in its production facility at the beginning of the year at a cost of $156,000. The machine's useful life is estimated to be 20 years, or 110,000 units of product, with a $1,000 salvage value. During its second year, the machine produces 4,400 units of product. Determine the machines' second-year depreciation under the straight-line method.
Multiple Choice
$7,800.
$6,240.
$6,200.
$7,850.
$7,750.
Answer:
Explanation:
Annual depreciation=(cost-salvage value)/useful life
Annual depreciation =(156,000-1000)/20
Annual depreciation =$7750/year
Hence Depreciation for second year=$7750.
A corporation makes an investment of $20,000 that will provide the following cash flows after the corresponding amounts of time: Year 1 - $10,000 Year 2 - $10,000 Year 3 - $2,000 a. Should the company make this investment? b. What is the net present value at a 7 percent discount rate? Round your answer to two decimal points.
A) The company should not invest in the provided project due to the negative NPV of the project.
B) The NPV of the project comes out to be (286).
What is NPV?NPV is an abbreviated form of Net present value and computed by deducting the cash outflows from cash inflows at the present value.
Given values:
Cash flow of year 1: $10,000
Cash flow of year 2: $10,000
Cash flow of year 3: $2,000
Cash outflow (cost of investment) =$20,000
Step-1 Computation of PV of cash inflows of every year:
PV of year 1 = Cash inflow of year 1 / (1+ interest rate)^ 1
= $10,000 / (1+0.07) ^ 1
= $10,000 X 0.934579
= $9,346
PV of year 2 = Cash inflow of year 1 / (1+ interest rate)^ 2
= $10,000 / (1+0.07) ^ 2
= $10,000 X 0.873438
= $8,735
PV of year 3= Cash inflow of year 1 / (1+ interest rate)^ 3
= $2,000 / (1+0.07) ^ 2
= $2,000 X 0.816297
=$1,633
Step-2 Computation of total amount of PV of cash inflows:
\(\rm\ PV \rm\ of \rm\ cash \rm\ inflows = \rm\ PV \rm\ of \rm\ year \rm\ 1 + \rm\ PV \rm\ of \rm\ year \rm\ 2 + \rm\ PV \rm\ of \rm\ year \rm\ 3\\\rm\ PV \rm\ of \rm\ cash \rm\ inflows =\$9,346 + \$8,735 + \$1,633\\\rm\ PV \rm\ of \rm\ cash \rm\ inflows =\$19,714\)
Step-3 Computation of NPV:
\(\rm\ NPV=\rm\ PV \rm\ of \rm\ cash \rm\ inflows- \rm\ Cost \rm\ of \rm\ investment\\\rm\ NPV=\$19,714-\$20,000\\\rm\ NPV=\$ (286)\)
Therefore, the NPV comes out to be a negative amount of 286, and hence, the company should not accept the project.
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The first interview in the hiring process is called a
Candra has compiled her rewritten notes, vocabulary lists, potential test questions and her previous tests. Which main component to a strong study guide is she missing? a. Class notes c. Graphic organizers b. Flashcards d. None of these
Answer:
the answer is C
Explanation:
i just took the test hope this helps
Graphic organizers is the main component to a strong study guide is she missing. Hence, option C is correct.
What is Graphic organizers?A visual and graphic display known as a graphic organizer shows the connections between vocabulary, concepts, and facts within a learning task. In addition to being known as graphic organizers, knowledge maps, concept maps, story maps, cognitive organizers, advance organizers, and concept diagrams are other names for them.
Students are supposed to use this graphic organizer from The Resourceful Teacher to arrange information by responding to the 5 Ws: who, what, when, where, and why.
In any topic area, graphic organizers are beneficial teaching resources. They serve as a pre-writing aid for essays, assist students in organizing their thoughts and ideas for answering questions, and present information visually.
Thus, option C is correct.
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Sam Tuckerton sells for Fair Designs, Inc. He is on a 4.5% straight commission with a $1,800 drawing account. If he is paid the draw at the beginning of the month and then sells $125,000 during the month, how much commission is owed to Sam?
Sam has made more commission than the amount of the drawing account, as seen by the negative amount owed. As a result, he is owed $5,625—the total amount of his commission.
What does commission cost in dollars?A commission is the quantity paid to an employee for accomplishing a task, which is typically selling a specific volume of goods or services, according to the U.S. Department of Labor. In addition to or in substitute of a standard pay, commission may be paid.
What does business commission mean?A sales commission is a payment made to an employee after they successfully complete a task, typically selling a predetermined volume of goods or services. Sales commissions are a common incentive used by employers to boost employee productivity.
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write a letter to the editor of daily graphic on why every school should have a library
Explanation:
your editor of daily Geography come on school should have a library and it is for your editor
If I were a salesmen, how could I sell 10 boxes of burritos?
The following information relates to the manufacturing operations of the Abbra Publishing Company for the year: Beginning Ending Raw materials inventory$547,000 $610,000 The raw materials used in manufacturing during the year totaled $1,018,000. Raw materials purchased during the year amount to: Multiple Choice $955,000. $892,000. $1,565,000. $408,000.
Answer:
Purchases= $408,000
Explanation:
Giving the following information:
Beginning Ending Raw materials inventory$547,000 $610,000
The raw materials used in manufacturing during the year totaled $1,018,000
To calculate the direct material purchased, we need to use the following formula:
Purchases= direct material used in production - ending inventory
Purchases= 1,018,000 - 610,000
Purchases= $408,000
Describe the characteristics of stocks and their expected behavior relative to the market.
Answer:
A bull market is a market that is on the rise and where the conditions of the economy are generally favorable. A bear market exists in an economy that is receding and where most stocks are declining in value. Because the financial markets are greatly influenced by investors' attitudes, these terms also denote how investors feel about the market and the ensuing economic trends.
A bull market is typified by a sustained increase in prices. In the case of equity markets, a bull market denotes a rise in the prices of companies' shares. In such times, investors often have faith that the uptrend will continue over the long term. In this scenario, the country's economy is typically strong and employment levels are high.
By contrast, a bear market is one that is in decline. A market is usually not considered a true "bear" market unless it has fallen 20% or more from recent highs. In a bear market, share prices are continuously dropping. This results in a downward trend that investors believe will continue; this belief, in turn, perpetuates the downward spiral. During a bear market, the economy slows down and unemployment rises as companies begin laying off workers
Describe the three different ways the argument section of a cover letter can be formatted?
Answer:
personal informal and formal
Explanation:
Answer:
You can write a cover letter argument in paragraph form, bullets, or as a T-letter. A paragraph is an easy way to summarize qualifications that fit the needs of employers. Using bullet points is a good way to highlight and bring focus to the qualifications you want to emphasize most. A T-letter is a creative way to compare your qualifications to the qualifications the employer is looking for. It is an attractive and reader friendly format.
Explanation
got it right on edg22
what is the financial definition for bond? write in your own words.
Answer:
Bond
Explanation:
It would be like a loan given to a place, government, company, etc. that pays the people (investors) pay a rate of return over a specific timeframe.
Which of the following is an example of a non-profit organization?
a. Home Depot
b. YMCA
c. Sports Authority
d. Kroger
Answer:
They, along with thousands of other nonprofits, receive regular donations of products from The Home Depot. Since 2008, The Home Depot and The Home Depot Foundation have worked with Good360 to distribute millions of dollars in product to nonprofit organizations that use the materials to help those in need.
A. Home Depot
Explanation:
Answer:
YMCA is a nonprofit organization
Jane is preparing a CMA for a seller’s property. She chooses three comparables and makes the adjustments to take into account each one’s differences with the seller’s property. Comparable 1 has an adjusted value of $289,500. Comparable 2 has an adjusted value of $295,700. Comparable 3 has an adjusted value of $291,300. How will Jane arrive at an estimate of the value of her seller’s property?
Answer:
Jane will arrive at an estimate of the value of her seller’s property by calculating the average for the 3 comparable adjusted values that she has obtained.
This means that the value of the property should be around $292,167.
Explanation:
a) Data and Calculations:
Adjusted values of:
Comparable 1 = $289,500
Comparable 2 295,700
Comparable 3 291,300
Total values = $876,500
Average value = $292,167 ($876,500)
b)A comparative market analysis (CMA) is a series of steps followed to estimate a property's value based on some recently sold and similar properties at same locations as the property being offered for sale or purchase. It is used by the real estate agents and brokers to create their CMA reports, which help the real estate sellers to set the best listing prices for their properties. It is also used by buyers to help them make competitive offers for homes on sale.
The formula for computing Ordering cost Error factor is represented by:
A: Estimated ordering cost / Actual ordering cost
B: Estimated demand / Actual ordering cost
C: Actual ordering cost / Estimated ordering cost
D: Actual ordering cost / Estimated demand
Answer:
A: Estimated ordering cost / Actual ordering cost
Explanation:
The above is the correct formular. This is because, inorder to determine the error factor, it is best if the person determine the estimated ordering cost. Later, the actual and exact cost would be taken inorder to for the both ordering cost to be divided. The ratio happens to be the ordering cost error.
When the number of competitors in a market is small, and competitors influence each other through production and pricing decisions, a situation known as ________ is created.
Question 1 options:
A)
monopolistic competition
B)
oligopoly
C)
duopoly
D)
pure competition
E)
monopoly
When there are fewer competitors so that market we called that oligopoly.
The information with respect to the oligopoly is as follows:
In this, there are a few firms that are independent for pricing.Due to this, they have sufficient some kind of market power.Also, the pricing and production decisions should be impacted.Therefore we can conclude that when there are fewer competitors so that market we called that oligopoly.
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Security needs Physiological needs Self-actualization needs Belongingness needs Use your knowledge of the motivational theories to classify the following statements or situations into the appropriate theory. Equity theory Two- factor theory Social Reinforcement learning theory theory Example One employee is dissatisfied by low pay and poor working condition, but when the employee receives a raise and better working conditions, he has neutral feelings about his job. It is not until he gets recognition for high achievements on the job that he is satisfied. per J. Assignment. Mouvating Behavior Use your knowledge of motivation theory to select the best actions to take in the following circumstances.
In this situation, the best action to take would be to implement Equity Theory, by providing fair rewards and recognition to the employee for their high achievements. This will motivate them to continue striving for success.
The Equity Theory states that employees will be motivated when they perceive that their rewards are proportional to their efforts. This can be represented mathematically by the equation below:
Motivation = (Input/Output) x (Input/Output of Comparison)
Input is the effort and output is the reward. The comparison is the comparison of the employee’s reward and effort to that of another employee.
If the ratio of the input and output of the employee is equal to the ratio of the input and output of the comparison, then the employee is motivated. If not, then the employee needs to be given more rewards or recognition in order to be motivated.
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Jordan took a business trip from New York to Denver. She spent two days in travel, conducted business for nine days, and visited friends for five days. She incurred the following expenses:
Airfare $540
Lodging $3400
Meals $850
Entertainment of clients $680
How much of these expenses can Jordan deduct?
Note: Do not round intermediate calculations. Round your final answer to the nearest whole dollar value.
Answer:
the picture is the answer
Many graduates choose to go to a community college or a trade school after graduation to save money on tuition. Typically, a trade school program takes two years to complete and ends with
an apprenticeship in the student's chosen trade to provide hands-on training.
How does the decision to go to a trade school rather than a university affect the long-term financial goals of an individual? IE.1.4
O It leads to less hands-on training and less difficulty finding a job.
O It creates less debt from tuition and the ability to enter the workforce sooner.
O It leads to more hands-on training and more difficulty finding a job.
O It creates more debt from tuition, and trade school takes longer to complete.
Going to a trade school rather than a university can positively affect the long-term financial goals of an individual by Option B. It creates less debt from tuition and the ability to enter the workforce sooner.
One of the primary advantages of choosing a trade school is the lower cost of tuition compared to a traditional university. Trade schools typically have lower tuition fees, making them more affordable for many students. This translates to less debt burden, allowing individuals to start their careers with a smaller financial obligation.
Additionally, trade school programs are typically shorter in duration, typically taking two years to complete. This means that students can enter the workforce and start earning sooner compared to the longer duration of university programs. By gaining early entry into the workforce, individuals have the opportunity to start earning and saving money earlier, contributing to their long-term financial goals.
Furthermore, trade school programs often emphasize hands-on training and practical skills development. This prepares students directly for their chosen trade and enhances their employability. They gain specific, job-related skills that are in demand, which can make it easier for them to find employment in their field upon completion of the program.
In contrast, attending a university often involves higher tuition costs, longer program durations, and a broader education rather than a focused trade-specific curriculum. While universities provide valuable knowledge and opportunities for certain careers, trade schools offer a more cost-effective and streamlined path for individuals seeking hands-on training and immediate entry into the workforce. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
Many graduates choose to go to a community college or a trade school after graduation to save money on tuition. Typically, a trade school program takes two years to complete and ends with an apprenticeship in the student's chosen trade to provide hands-on training. How does the decision to go to a trade school rather than a university affect the long-term financial goals of an individual? IE.1.4
A. It leads to less hands-on training and less difficulty finding a job.
B. It creates less debt from tuition and the ability to enter the workforce sooner.
C. It leads to more hands-on training and more difficulty finding a job.
D. It creates more debt from tuition, and trade school takes longer to complete.
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Goat Milk Ghee as a Healthy Alternative
Answer:
Im pretty sure it is
Explanation:
beacuse there both made of some kind of milk
You have 24 cups of milk.
You need 1.25 cups to make one serving of deep-fried chicken.
How many servings can you make? Whole servings only - round down
rather than using partial servings.
Answer:
to make a servings of roast beef gravy.
Answer:
19.2 serving
Explanation:
Because if you have 24 cups of milk and need 1.25 cups to make 1 serving we would have to divide.
24 cups of milk - 1.25 cups of milk per serving = 19.2
Medical profession is a very sensitive profession.Do U agree?Give 5 reason
Answer:
Medical profession is very sensitive and intellectual where human life is at risk. A successful effort of a doctor can save a life. Due to that, a doctor is known as 2nd God. When he attempts a major and long surgery, his endurance, hard work and mental ability spotlight his character.
Production is an example of a marketing activity.
Question 1 options:
True
False
Will shoprite manager makes informed decision
Answer:
Yes
Explanation:
Because of he really wants to sees his company growing up to another level
If a student chooses to study linguistics at college, what has that student chosen? 4 O A. A trade B. An academic major C. A school D. A career path
B. An academic major
What is a academic major?An academic major is a college or university student's main field of specialization during his or her associates or undergraduate studies.
A major explains the specific subjects that students specialize in before they get their degrees. When one completes a major, it means that the person has an understanding in the subject area.
Therefore, If a student chooses to study linguistics at college, the student has chosen an academic major.
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1.a) True or False: A firm is in the value destroying stage whenROIC < WACCb) True or False: ROIC and size are not correlated
If the ROIC is less than the WACC, it means that the company is not generating sufficient returns on its invested capital, and is effectively destroying value for its shareholders.
In some industries, such as manufacturing or retail, larger companies may benefit from economies of scale, which can lead to higher ROIC. In other industries, such as technology or biotech, smaller companies may have a competitive advantage due to greater flexibility and innovation, which can also lead to higher ROIC.
However, there is no clear or consistent relationship between ROIC and company size, and other factors such as industry structure and competitive position may play a more significant role in determining a company's ROIC.
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Yield to maturity: Serengeti Corp. has five-year bonds outstanding that pay a coupon of 8.8 percent. If these bonds are priced at $1,064.86, what is the yield to maturity on these bonds? Assume semiannual coupon payments. What is the effective annual yield?
The yield to maturity on the bonds is 3.939% and the effective annual yield is 17.01%.
What are bonds?Bonds are debt securities that are issued by corporations, governments, and other organizations to raise capital. Essentially, when an organization issues a bond, it is borrowing money from investors.
First, we need to calculate the present value of each cash flow. The bond pays a semiannual coupon of 8.8%/2 = 4.4%. It will pay this coupon for ten semiannual periods (5 years x 2 semiannual periods per year). At the end of the ten periods, it will also pay back the face value of the bond, which is $1,000.
The present value of each semiannual coupon payment can be calculated using the following formula:
PV = C / (1 + r/2)^n
Where C is the coupon payment, r is the semiannual yield to maturity, and n is the number of semiannual periods until the payment.
Using the given numbers, we get:
PV of each coupon payment = $44 / (1 + r/2)^n
The present value of the face value payment can be calculated as:
PV of face value payment = $1,000 / (1 + r/2)^10
Now we can calculate the present value of all the cash flows by adding up the present values of each coupon payment and the face value payment:
Bond price = PV of coupon payments + PV of face value payment
$1,064.86 = $44 / (1 + r/2)^1 + $44 / (1 + r/2)^2 + ... + $44 / (1 + r/2)^10 + $1,000 / (1 + r/2)^10
To solve for r, we can use a financial calculator or a spreadsheet program. Using a financial calculator, we get a semiannual yield to maturity of 3.939%.
To calculate the effective annual yield, we first calculate the semiannual effective yield:
Effective semiannual yield = (1 + 3.939%)² - 1 = 8.149%
Then we can calculate the effective annual yield by compounding the semiannual effective yield:
Effective annual yield = (1 + 8.149%)² - 1 = 17.01%
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Which of these loan options is strongly recommended for first-time buyers? Choose all that apply. Adjustable-rate Contract for deed Balloon Fixed-rate Interest-only
Answer:
Fixed-rate
Explanation:
Fixed-rate loans and mortages are those that have a specific interest rate, and a specific payment that will not ever change over the duration of the loan because both are fixed. In other words, a fixed-rate loan is simply a annuity payment over a particular period of time.
For first-time buyers this is the easiest option because it is simple, it can be easily projected over time, and helps with financial planning.
10
Paying only the minimum balance on your credit card
can lead to...
A) an increase in your credit score
B) paying more interest.
C)late fees
D)All of the above
Paying only the minimum balance on your credit card can lead to. paying more interest. Therefore option B is correct.
A credit card is a small, rectangular piece of plastic or metal that is issued by a bank or other financial institution and enables its holder to borrow money to pay for products and services at businesses that accept credit cards. Credit cards impose the need that cardholders repay the borrowed funds, plus any applicable interest and any other agreed-upon charges, in full or over time, either by the billing date or at a later date.
The credit card issuer may additionally provide cardholders with a separate cash line of credit (LOC) in addition to the usual credit limit, allowing them to borrow money in the form of cash advances that may be accessed through bank teller machines, ATMs, or credit card convenience checks. Compared to transactions that access the primary credit line, such cash advances often have different terms, such as no grace period and higher interest rates.
Borrowing caps are often set by issuers depending on a person's credit score. Credit cards continue to be one of the most widely used payment methods for purchasing goods and services for consumers today, and the great majority of companies allow customers to use them to make transactions.
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Yeager Company pays John Kerr a salary as an employee and also fees for work he does as an independent contractor. Does this violate IRS rules? Why or why not?
yes
its either / or
depends on whether the person is really a regular worker or a freelancer in the eyes of the company
regular worker's taxes from pay is responsibility of the employee AND employer
freelancer's taxes from pay is the responsibility of the employee ONLY
so the company has to decide whether the person is a regular worker OR an independent contractor
employee & contractor employment rights are different too
How can creating a customer profile help entrepreneurs identify their target market
Creating a customer profile helps identify markets because the information on it is too persuade the buyer, customer or Purchaser. I'm in 6th grade don't judge x