Boston Beanery, a U.S.-based company, establishes a branch in Great Britain in January of Year 1, when the exchange rate is US$1.30 per British pound (£). During Year 1, the British branch generates £5,000,000 of pretax income. On October 15, Year 1, £2,000,000 is repatriated to Boston Beanery and converted into U.S. dollars. Assume the effective income tax rate in Great Britain is 19 percent. Taxes were paid in Great Britain on December 31, Year 1. Relevant exchange rates for Year 1 are provided here (US$ per £): January 1 1 .30 Average 1.40 October 15 1.45 December 31 1.50 Assume a U.S. tax rate of 21 percent. Required: Determine the amount of U.S. taxable income, U.S. foreign tax credit, and net U.S. tax liability related to the British branch (all in U.S. dollars).

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Answer 1

Related to the British branch the amount of

U.S. taxable income -  $5,575,000.

U.S. foreign tax credit - $1,425,000.

net U.S. tax liability -  (-) $254,250.

To determine the amount of U.S. taxable income, U.S. foreign tax credit, and net U.S. tax liability related to the British branch:

1. Calculate the pretax income in U.S. dollars:
£5,000,000 * 1.40 (average exchange rate) = $7,000,000

2. Calculate the British income tax:
£5,000,000 * 19% = £950,000

3. Convert the British income tax to U.S. dollars:
£950,000 * 1.50 (December 31 exchange rate) = $1,425,000

4. Calculate the U.S. taxable income:
$7,000,000 - $1,425,000 = $5,575,000

5. Calculate the U.S. tax liability:
$5,575,000 * 21% = $1,170,750

6. Calculate the U.S. foreign tax credit:
$1,425,000 (converted British tax)

7. Determine the net U.S. tax liability:
$1,170,750 (U.S. tax liability) - $1,425,000 (foreign tax credit) = -$254,250

The U.S. taxable income related to the British branch is $5,575,000. The U.S. foreign tax credit is $1,425,000, and the net U.S. tax liability is -$254,250 (meaning there's a surplus and no additional tax is owed).

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Related Questions

media budgeting methods include the following except a. goal-driven approach b. percentage-of-sales approach c. competitive-parity approach d. legacy approach e. distribution-intensity approach

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Media budgeting methods include the goal-driven approach, percentage-of-sales approach, competitive-parity approach, and distribution-intensity approach.

The exception is the legacy approach, which is not commonly used anymore. This approach involved simply continuing with the same budget as in previous years without any changes or adjustments based on current competitive or market conditions.


 Media budgeting methods include the following except e. distribution-intensity approach. The other methods mentioned, such as goal-driven approach, percentage-of-sales approach, competitive-parity approach, and legacy approach, are commonly used for media budgeting. Distribution-intensity approach is not directly related to media budgeting but refers to the intensity of product distribution in the market.

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In one week, Sami can knit 5 sweaters or bake 240 cookies. In one week, Leila can knit 15 sweaters or bake 480 cookies. Sami’s opportunity cost of baking one cookie is _____
A)equal to 1 sweater.
B)equal to 5 sweaters.
C)equal to 1/48 of a sweater.
D)equal to 48 sweaters

Answers

In one week, Sami can knit 5 sweaters or bake 240 cookies. To calculate Sami's opportunity cost of baking one cookie, we need to determine how many sweaters Sami gives up to bake one cookie.

Step 1: Find the ratio of sweaters to cookies for Sami.Sami can knit 5 sweaters or bake 240 cookies, so the ratio is 5 sweaters/240 cookies.

Step 2: Simplify the ratio to find the opportunity cost for one cookie.5 sweaters / 240 cookies = 1 sweater / 48 cookiesSami's opportunity cost of baking one cookie is equal to 1/48 of a sweater.

The correct answer: C) equal to 1/48 of a sweater.

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Customer retention is usually the result of great customer service from _____ .
every member on a company’s team
the person that the customer is interacting with
the last person that the customer interacted with
the first person that the customer interacted with

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Customer retention is usually the result of great customer service from every member on a company's team.

How the customer retention will be done?

Although the person that the customer is interacting with can have a significant impact on their experience, it is important for all employees to provide excellent service in order to maintain high levels of customer satisfaction and retention. The last and first person that the customer interacted with are also important, but it is the overall quality of service provided by the company that determines whether or not customers will return.

Customer feedback is one of the most valuable tools you have to increase customer retention. Give customers a voice by conducting more surveys. Customer satisfaction surveys can be as simple as asking for a “thumbs up or thumbs down” after you resolve a ticket.

Customer Retention Strategies: 4 Phases for Development

Research your customers to find out what they need most.

Develop the product, site, and offers based on existing customer feedback.

Evaluate whether a loyalty or rewards program will drive repeat business.

Make your retention strategy personal.

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quaker state wings has 315,000 shares outstanding and net income of $975,000. the company stock is currently selling for $64.10 per share. if the company repurchases $633,000 of its stock, what is the earnings per share after the repurchase?

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After the repurchase, the earnings per share will be $3.19. It's important to note that share repurchases can have an impact on a company's earnings per share, as the repurchase reduces the number of shares outstanding, which increases the earnings per share.

To calculate the earnings per share after the repurchase, we first need to calculate the total amount of shares outstanding after the repurchase.

Currently, Quaker State Wings has 315,000 shares outstanding. If they repurchase $633,000 worth of shares at $64.10 per share, they will be able to buy back approximately 9,872 shares (rounded to the nearest whole number).

Therefore, the total amount of shares outstanding after the repurchase will be 315,000 - 9,872 = 305,128.

To calculate the earnings per share after the repurchase, we divide the net income by the new total amount of shares outstanding:

$975,000 / 305,128 shares = $3.19 earnings per share.

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assuming a wacc of 9.0 nd ebitda in year 5 of $1,774.8, what is the present value of the terminal value assuming an exit multiple of 11.5x ebitda and end period convention?

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To calculate the present value of the terminal value, we need to use the formula:

Terminal Value = (EBITDA x Exit Multiple) / WACC - (1 + WACC)^-n

where:

EBITDA = $1,774.8 million (given)

Exit Multiple = 11.5x EBITDA (given)

WACC = 9.0% (given)

n = 5 years (since this is the end period convention)

Plugging in the values, we get:

Terminal Value = ($1,774.8 x 11.5) / 0.09 - (1 + 0.09)^-5

= $20,418.33 million - 0.5645 million

= $20,417.77 million

Therefore, the present value of the terminal value is $20,417.77 million, assuming an exit multiple of 11.5x EBITDA and end period convention.

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To calculate the present value of the terminal value, we need to use the formula:

Terminal Value = (EBITDA x Exit Multiple) / WACC - (1 + WACC)^-n

where:

EBITDA = $1,774.8 million (given)

Exit Multiple = 11.5x EBITDA (given)

WACC = 9.0% (given)

n = 5 years (since this is the end period convention)

Plugging in the values, we get:

Terminal Value = ($1,774.8 x 11.5) / 0.09 - (1 + 0.09)^-5

= $20,418.33 million - 0.5645 million

= $20,417.77 million

Therefore, the present value of the terminal value is $20,417.77 million, assuming an exit multiple of 11.5x EBITDA and end period convention.

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albert read gem city's ad in the local newspaper advertising a one-quarter carat diamond ring for $89. albert rushed to the store to buy the ring, only to be told by the salesperson that the ad was a misprint and the price should have been $289. albert gave the salesperson $89 plus sales tax and demanded the ring. in this case:

Answers

In this case, Albert attempted to buy the one-quarter-carat diamond ring for $89 as advertised in the local newspaper.

However, the salesperson informed him that there was a misprint in the ad and that the correct price should have been $289. Despite paying $89 plus sales tax, Albert may not be legally entitled to receive the ring at the advertised price, as the store may not be obligated to honour a misprint. The final decision would depend on the applicable consumer protection laws in the jurisdiction. In this case, Albert read an ad in the local newspaper for a one-quarter-carat diamond ring priced at $89. He went to Gem City to buy the ring but was informed by the salesperson that the advertised price was a misprint and the actual price was $289. However, Albert still insisted on buying the ring for the advertised price of $89 plus the sales tax. It is not clear whether or not Albert was able to purchase the ring for that price, as the outcome is not specified.

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Trade deficits always lead to future decreases in consumption if the trade deficits:
a. support current investment.
b. support current consumption.
c. support either current investment or consumption.
d. require borrowing from abroad.

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Trade deficits that support current investment or consumption may not necessarily lead to future decreases in consumption as long as they are managed responsibly and do not result in unsustainable levels of debt. The correct answer is d.

The correct answer is d. Trade deficits that require borrowing from abroad can lead to future decreases in consumption as it increases the amount of debt owed to foreign countries, which can negatively impact a country's economy and ability to consume in the future. However, trade deficits that support current investment or consumption may not necessarily lead to future decreases in consumption as long as they are managed responsibly and do not result in unsustainable levels of debt.

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ercentage in whole numbers). If gross domestic product is $350 and the interest rate is 7 percent, what amount of money will society want to hold? Multiple Choice 350. 192. 216. 175. 220.

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If gross domestic product is $350 and the interest rate is 7 percent, $5000 amount of money will society want to hold.

Determine the Money supply using GDP.

The demand for money in an economy—which depends on income and interest rates—determines the amount of money society wants to hold. In contrast to a rise in interest rates, which decreases demand for money, the demand for money rises as income rises. We must apply the equation for the demand for money, which is: to determine the amount of money that society wants to hold.

kPY = Md k is a constant, P is the price level, Y is the real GDP, and I is the interest rate, where Md is the demand for money and k is a constant.

We can solve for Md by using the given values, assuming that k is constant and that the price level is 1.

Md = kPY/i = k(350)/0.07 = $5,000

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What combination of quantitative factors and qualitative factors would you like your potential employer to use as a performance management system? Specify at least one performance measure for each of the four areas of the balanced scorecard. Explain your answer in detail.

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Quantitative factors and qualitative factors are both important when it comes to performance management.

What is management?

Management is a process of achieving organizational goals and objectives by utilizing resources and resources effectively and efficiently. It involves planning, organizing, leading and controlling the resources of an organization. It helps in organizing, coordinating and controlling the activities of the organization.

Quantitative factors focus on the measurable results of a job, while qualitative factors take into account the intangibles, such as the individual’s attitude, commitment, and interpersonal skills.
For a comprehensive performance management system, a combination of quantitative and qualitative factors should be used. This will help ensure that employees are evaluated holistically, rather than just based on the immediate results of their work.
For the balanced scorecard, at least one performance measure should be specified for each of the four areas: financial performance, customer satisfaction, operational excellence, and employee satisfaction.
For financial performance, a performance measure could be the rate of return on investments or the rate of growth in revenue.
For customer satisfaction, a performance measure could be customer loyalty or the rate of customer complaints.
For operational excellence, a performance measure could be the rate of process improvements or the rate of on-time delivery.
Finally, for employee satisfaction, a performance measure could be the rate of employee retention or the rate of employee engagement.
By using a combination of quantitative and qualitative factors and specifying performance measures for each of the four main areas of the balanced scorecard, employers will be able to accurately evaluate the performance of their employees and ensure that they are meeting their goals.

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Bond J has a coupon rate of 7 percent .
Bond K has a coupon rate of 13 percent.
Both bonds have 15 years to maturity, make semiannual payments, and have a YTM of 10 percent.
If interest rates suddenly rise by 2 percent, what is the percentage price change of these bonds?
Percentage change in Bond J =
Percentage change in Bond K=
What if rates suddenly fall by 2 percent instead?
Percentage change in Bond J=
Percentage change in Bond K=

Answers

Bond term and interest rate changes have an impact on the percentage price change of the bond. Bond prices often decline as interest rates rise and rise when interest rates decline.

The coupon rate of a bond is the fixed annual rate of interest that the bond issuer agrees to pay to the bondholder. A bond is a debt security in which the issuer borrows money from the bondholder and promises to pay back the principal and interest over a set period of time. The price of a bond is affected by changes in interest rates, as well as other factors such as credit risk and inflation expectations. To calculate the percentage price change of a bond, you can use the following formula: Percentage price change = - duration x change in yield where duration is a measure of the bond's sensitivity to changes in interest rates, and change in yield is the change in the bond's yield to maturity (YTM). For Bond J, the coupon rate is 7 percent, the YTM is 10 percent, and the maturity is 15 years with semiannual payments. The bond's price is currently $962.87. For Bond K, the coupon rate is 13 percent, the YTM is 10 percent, and the maturity is 15 years with semiannual payments. The bond's price is currently $1,352.02. If interest rates suddenly rise by 2 percent, the YTM for Bond J would increase to 12 percent, and the YTM for Bond K would increase to 12 percent. Using the formula above, the percentage price change for Bond J would be: Percentage price change = - duration x change in yield = - 7.11 x 0.02 = - 0.1422 or -14.22% The negative sign indicates that the bond's price would decrease by 14.22%. For Bond K, the percentage price change would be: Percentage price change = - duration x change in yield = - 6.94 x 0.02 = - 0.1388 or -13.88% Again, the negative sign indicates that the bond's price would decrease by 13.88%. If interest rates suddenly fall by 2 percent instead, the YTM for Bond J would decrease to 8 percent, and the YTM for Bond K would decrease to 8 percent. Using the same formula, the percentage price change for Bond J would be: Percentage price change = - duration x change in yield = - 7.11 x (-0.02) = 0.1422 or 14.22%
This time, the positive sign indicates that the bond's price would increase by 14.22%. For Bond K, the percentage price change would be: Percentage price change = - duration x change in yield = - 6.94 x (-0.02) = 0.1388 or 13.88% Again, the positive sign indicates that the bond's price would increase by 13.88%. In summary, the percentage price change of a bond is influenced by the bond's duration and the change in interest rates. When interest rates rise, bond prices generally fall, and when interest rates fall, bond prices generally rise.

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Bond term and interest rate changes have an impact on the percentage price change of the bond. Bond prices often decline as interest rates rise and rise when interest rates decline.

The coupon rate of a bond is the fixed annual rate of interest that the bond issuer agrees to pay to the bondholder. A bond is a debt security in which the issuer borrows money from the bondholder and promises to pay back the principal and interest over a set period of time. The price of a bond is affected by changes in interest rates, as well as other factors such as credit risk and inflation expectations. To calculate the percentage price change of a bond, you can use the following formula: Percentage price change = - duration x change in yield where duration is a measure of the bond's sensitivity to changes in interest rates, and change in yield is the change in the bond's yield to maturity (YTM). For Bond J, the coupon rate is 7 percent, the YTM is 10 percent, and the maturity is 15 years with semiannual payments. The bond's price is currently $962.87. For Bond K, the coupon rate is 13 percent, the YTM is 10 percent, and the maturity is 15 years with semiannual payments. The bond's price is currently $1,352.02. If interest rates suddenly rise by 2 percent, the YTM for Bond J would increase to 12 percent, and the YTM for Bond K would increase to 12 percent. Using the formula above, the percentage price change for Bond J would be: Percentage price change = - duration x change in yield = - 7.11 x 0.02 = - 0.1422 or -14.22% The negative sign indicates that the bond's price would decrease by 14.22%. For Bond K, the percentage price change would be: Percentage price change = - duration x change in yield = - 6.94 x 0.02 = - 0.1388 or -13.88% Again, the negative sign indicates that the bond's price would decrease by 13.88%. If interest rates suddenly fall by 2 percent instead, the YTM for Bond J would decrease to 8 percent, and the YTM for Bond K would decrease to 8 percent. Using the same formula, the percentage price change for Bond J would be: Percentage price change = - duration x change in yield = - 7.11 x (-0.02) = 0.1422 or 14.22%
This time, the positive sign indicates that the bond's price would increase by 14.22%. For Bond K, the percentage price change would be: Percentage price change = - duration x change in yield = - 6.94 x (-0.02) = 0.1388 or 13.88% Again, the positive sign indicates that the bond's price would increase by 13.88%. In summary, the percentage price change of a bond is influenced by the bond's duration and the change in interest rates. When interest rates rise, bond prices generally fall, and when interest rates fall, bond prices generally rise.

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Under the high-low method, the federal per diem amount is
a. The same in every city in the U.S.
b. Different for every city in the U.S.
c. The same for most cities but higher in certain locations
d. An average of the highest and lowest costs for that city
e. The boundary for expenses incurred in a city (never higher than the high amount but never lower than the low amount)

Answers

Answer: (C) The same for most cities but higher in certain locations

Explanation:

What is federal per diem amount? The federal per diem amount is the maximum amount that can be reimbursed to federal employees for lodging, meals, and incidental expenses incurred while on official travel. For allowance to be granted, the nature of employees' expenses must be professional. This amount varies depending on the location of travel, as the cost of living and expenses can differ between cities. Therefore, the federal per diem amount is different for every city in the U.S.

Under high-low per diem method, there is one per-diem rate for all the "high cost" areas within the continental US and another per-diem rate for all other areas. These per-dime rates, however cannot exceed IRS-approved maximums and employers need to adhere to guidelines mentioned by IRS (Internal Revenue Service).

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what is tarek’s total debt-to-income ratio? how is he doing compared to the recommended benchmark? what can he do to improve his situation?

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Tarek's total debt-to-income ratio is calculated by dividing his total monthly debt payments by his gross monthly income. The recommended benchmark for a healthy debt-to-income ratio is below 36%.

To evaluate how Tarek is doing compared to the benchmark, compare his calculated ratio to the recommended 36%. If his ratio is higher, it means he has a higher debt burden relative to his income, which may make it more difficult for him to obtain new credit or manage his existing debts.
To improve his situation, Tarek can consider strategies such as paying off high-interest debts, increasing his income, or adjusting his spending habits to reduce monthly expenses. This will help lower his debt-to-income ratio and improve his overall financial health.

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__________________ is stated in aggregate terms, such as dollar sales, aggregate units of production, or capacity (e.g. labor hours) on a monthly/quarterly basis.
A) Demand Management
B) Shop floor control
C) The Production Plan (SOP)
D) The MPS

Answers

The concept referring here  is "aggregate production," which is stated in terms like dollar sales, aggregate units of production, or capacity (e.g. labor hours) on a monthly or quarterly basis. Aggregate production represents the total output of goods and services in an economy during a specific time period.

It helps measure economic performance and provides insight into resource allocation, efficiency, and overall productivity.

In this context, a "unit" refers to a single item produced, while "production" denotes the process of creating goods and services. "Labor" is the workforce employed to carry out production tasks. All these elements are essential to calculate aggregate production and make informed decisions on economic planning and policy-making.

The MPS (Marginal Propensity to Save) is a related but different economic concept that measures the proportion of additional income that an individual or economy saves instead of consuming. Understanding MPS is vital for analyzing saving patterns and predicting the effects of fiscal policies on consumption and saving behaviours.

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. _____ is used to ensure that business transactions are processed efficiently and accurately and that the resulting information can be accessed by end users and managers in all business areas.

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Enterprise Resource Planning (ERP) is used to ensure that business transactions are processed efficiently and accurately, and that the resulting information can be accessed by end users and managers in all business areas.

Information systems are used to manage and process business transactions effectively and accurately, enabling information to be accessed and used by end-users and managers across all business areas. Information systems provide a range of tools and technologies to support various business functions such as accounting, finance, marketing, operations, and human resources. They help organizations to streamline processes, reduce errors, increase efficiency, and improve decision-making. Examples of information systems include enterprise resource planning (ERP), customer relationship management (CRM), supply chain management (SCM), and business intelligence (BI) systems, among others. By using information systems, businesses can gain a competitive advantage and improve their overall performance.

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If the cash flows of an annuity start at the end of year 4, the present value of an annuity formula will discount all of the annuity cash flows back to the end of year ___. A. 3 B. 4 C. 5 D. 6

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If the cash flows of an annuity start at the end of year 4, the present value of an annuity formula will discount all of the annuity cash flows back to the end of year 3. So, the correct answer is A. 3.

Cash flows refers to the net amount of cash flowing in and out of a company. There are two types of cash flows: inflows which represents cash being received and outflows which represents cash being spent. The cash flow statement is a financial statement that records the amount of cash being transferred from and to a company.

An annuity is a contract with an insurance company in which you make a payment of a lump-sum amount and receive regular disbursements in return, starting either immediately or some time in the future. The correct answer to the give question is option A: 3.

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operational excellence is an example of a company . multiple choice question. operating measure performance measure strategy balanced scorecard

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Operational excellence is an example of a company's strategy to achieve high performance and efficiency in its processes, products, and services.

This approach focuses on continuously improving business operations to deliver superior value to customers and stakeholders. A balanced scorecard, which includes key performance indicators (KPIs) related to financial, customer, internal processes, and learning and growth perspectives, is often used to measure and monitor the progress towards operational excellence.

Operating measures and performance measures are essential components of the balanced scorecard. Operating measures refer to the metrics that evaluate the efficiency and effectiveness of the company's day-to-day operations, such as cycle time, defect rate, or capacity utilization. Performance measures, on the other hand, are broader in scope and encompass various aspects of the company's performance, including financial results, customer satisfaction, and innovation.

By employing a balanced scorecard with relevant operating and performance measures, companies can align their strategy with their daily operations, track progress towards operational excellence, and make informed decisions to drive continuous improvement. This approach helps organizations remain competitive in the marketplace and consistently meet or exceed customer expectations.

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Use the starting balance sheet and statement of cash flows to answer the question. Siam Traders Balance Sheet As of December 31, 2017 (amounts in thousands) Cash 91,000 Accounts Payable 19,000 Accounts Receivable 44,000 Debt 24,000 Inventory 48,000 Other Liabilities 6,000 Property Plant & Equipment, Gross 234,000 Total Liabilities 49,000 Accumulated Depreciation 78,000 Paid-In Capital 69,000 Property Plant & Equipment, Net 156,000 Retained Earnings 247,000 Other Assets 26,000 Total Equity 316,000 Total Assets 365,000 Total Liabilities & Equity 365,000 Siam Traders Statement of Cash Flows January 1 to March 31, 2018 (amounts in thousands) Net Income 7,200 Depreciation 2,000 Decrease (Increase) in Accounts Receivable (100) Decrease (Increase) in Inventory 1,000 Increase (Decrease) in Accounts Payable 600 Other Adjustments 0 Net Cash Flow from Operating Activities 10,700 Purchase of Property, Plant, & Equipment (8,300) Other Adjustments 0 Net Cash Flow from Investing Activities (8,300) Increase (Decrease) in Debt (700) Dividends (500) Other Adjustments 0 Net Cash Flow from Financing Activities (1,200) Net Cash Flow 1,200 What is the value for Total Assets on March 31, 2018? Please specify your answer in the same units as the financial statements.

Answers

Answer:

Capital 69,000 Property Plant & Equipment, Net 156,000 Retained Earnings 247,000 Other Assets 26,000 Total Equity 316,000 Total Assets 365,000 Total Liabilities & Equity 365,000 Siam Traders Statement of Cash Flows January 1 to March 31, 2018 (amounts in thousands) Net Income 7,200 Depreciation 2,000 Decrease (Increase) in Accounts Receivable (100) Decrease (Increase) in Inventory 1,000 Increase (Decrease) in Accounts Payable 600 Other Adjustments 0 Net Cash Flow from Operating Activities 10,700 Purchase of Property, Plant, & Equipment (8,300) Other Adjustments 0 Net Cash Flow from Investing Activities (8,300) Increase (Decrease) in Debt (700) Dividends (500) Other Adjustments 0 Net Cash Flow from Financing Activities (1,200) Net Cash Flow 1,200 What is the value for Total Assets on March 31, 2018? Please specify your answer in the same units as the financial statements.

there is a fixed quantity of units of good x. part 4 what allocation of good x between john and jane maximizes social welfare?.

Answers

To determine the allocation of good x that maximizes social welfare between John and Jane, we need to know their individual utility functions and the social welfare function.

In economics, social welfare is often defined as the sum of individual utilities, which is a measure of the well-being of society as a whole. The allocation of goods among individuals affects their individual utility and thus their overall welfare.

To determine the allocation of good x that maximizes social welfare, we need to know the individual utility functions of John and Jane, which represent how much utility (or satisfaction) each person derives from consuming a given amount of good x. We also need to know the social welfare function, which is a mathematical expression that combines the utility functions of John and Jane to obtain the overall level of social welfare.

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There is a distinction between the long-run aggregate supply (LRAS) curve and the short-run aggregate supply (SRAS) curve. In the long run. O A. the price level is constant in the long run, but fluctuates in the short run. O B. the aggregate supply curve is horizontal, while in the short run it is upward sloping. O c. technology is fixed, but not in the short run. OD. all adjustments to changes in the price level have been made, but in the short run all changes in the price level do not occur.

Answers

B. the aggregate supply curve is horizontal, while in the short run it is upward sloping is the correct statement.

In the long run, the LRAS curve is vertical because the economy has fully adjusted to any changes in aggregate demand, while in the short run, the SRAS curve is upward sloping because input prices, particularly nominal wages, are sticky and do not immediately adjust to changes in the price level.

What is an aggregate supply curve?

An aggregate supply curve is a graphical representation that shows the relationship between the overall price level in the economy and the quantity of goods and services that firms are willing to produce and supply at that price level, holding all other factors constant. It is used to model the macroeconomic behavior of firms in response to changes in the price level and other factors such as production costs, technology, and government policies. There are two types of aggregate supply curves: short-run and long-run, each with their own unique characteristics and determinants.

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Complete question is: There is a distinction between the long-run aggregate supply (LRAS) curve and the short-run aggregate supply (SRAS) curve. In the long run, the aggregate supply curve is horizontal, while in the short run it is upward sloping.

what method of cost behavior estimation are managers using when they use their judgment to classify costs as variable, fixed, or mixed?

Answers

The method that managers are using when they use their judgment to classify costs as variable, fixed, or mixed is Account analysis. Therefore, the correct option is C.

Account analysis is a technique where managers examine individual accounts and use their expertise to determine the cost behavior. This method involves evaluating the historical data and patterns of costs to classify them as fixed, variable, or mixed. It involves analyzing each cost account individually and determining the relationship between the cost and its related activity.

It relies on managerial judgment and knowledge of the business, making it a more qualitative approach compared to other methods like the low-high method or regression analysis, which are more quantitative in nature. Managers use their experience and knowledge of the business to determine whether a cost is fixed, variable, or mixed based on this analysis.

The other methods listed, such as the low-high method and high-low method, involve mathematical calculations and statistical analysis to determine cost behavior, whereas account analysis relies more on managerial judgment and insight.

Note: The question is incomplete. The complete question probably is: Which method are managers using when they use their judgment to classify costs as variable, fixed, or mixed? a. Low-high method b. Regression analysis c. Account analysis d. High-low method.

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cross-border acquisitions of businesses are a politically sensitive issue,

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Cross-border acquisitions of businesses are a politically sensitive issue because they involve a variety of factors that can impact the economies, national security, and public sentiment of the countries involved.

Let's consider these separately:

1. Economic implications: Cross-border acquisitions can lead to shifts in economic power and control over strategic resources or industries. This may result in job losses or economic instability in the acquired company's home country, raising concerns among policymakers and the public.

2. National security concerns: Acquiring a business in a critical industry, such as defense or technology, may raise national security concerns. Governments may worry about the transfer of sensitive information or technology to foreign entities, potentially undermining the country's safety and strategic interests.

3. Public sentiment: Cross-border acquisitions may be met with resistance from the public, especially if the acquired company is considered a national icon or is vital to the country's identity. People may view foreign ownership as a threat to their culture or traditions, leading to public opposition and political pressure.

4. Political relationships: Cross-border acquisitions may strain diplomatic relationships between the countries involved, particularly if there is an imbalance of power or unresolved political disputes. The acquiring company's home country may be accused of exerting undue influence or seeking strategic advantages, which could create tension.

In conclusion, cross-border acquisitions of businesses are a politically sensitive issue due to their potential economic, national security, public sentiment, and political relationship implications.

Note: The question is incomplete. The complete question probably is: Cross-border acquisitions of businesses are a politically sensitive issue because:

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An object with a height of 2.58 cm is placed 36.2 mm to the left of a lens with a focal length of 33.3 mm.Where is the image located?

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The image of an object with height of 2.58cm which is placed 36.2mm left of the lens is located approximately 415.42 mm to the right of the lens.

To determine the image location of an object with a height of 2.58 cm placed 36.2 mm to the left of a lens with a focal length of 33.3 mm, we will use the lens formula:

1/f = 1/u + 1/v

where f is the focal length, u is the object distance, and v is the image distance.

In order to calculate the location of the image follow these steps:

Step 1: Convert all measurements to the same unit (millimeters).

Object height: 2.58 cm = 25.8 mm

Object distance (u): 36.2 mm

Focal length (f): 33.3 mm

Step 2: Plug the values into the lens formula.

1/33.3 = 1/36.2 + 1/v

Step 3: Solve for v (image distance).

1/v = 1/33.3 - 1/36.2

1/v ≈ 0.030030 - 0.027624

1/v ≈ 0.002406

Now, take the reciprocal to find v:

v ≈ 1 / 0.002406

v ≈ 415.42 mm

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a house that 15 years ago was worth $200,000 has increased in value by 3ach year because of inflation. what is its worth today? (round your answer to the nearest cent.)

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The house's worth today is approximately $312,000, rounded to the nearest cent.

Assuming an average inflation rate of 3% per year for the past 15 years, the house's value would have increased by a total of 45% (3% x 15 years). Therefore, the house would be worth $290,000 today ($200,000 + 45% increase = $290,000). To find the current worth of the house, we need to consider its initial value, the annual inflation rate, and the number of years that have passed. Here's the formula to calculate the future value (FV) of an investment or asset:
FV = PV * (1 + r)^n
where PV is the present value (initial value of the house), r is the annual inflation rate, and n is the number of years.
In this case, PV = $200,000, r = 3% (0.03), and n = 15 years. Plugging in the values:
FV = $200,000 * (1 + 0.03)^15
FV = $200,000 * (1.03)^15
FV ≈ $200,000 * 1.5599
FV ≈ $312,000

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Assuming an average inflation rate of 3% per year, the house would be worth $341,692.56 today.
Hi! I'd be happy to help you with your question. To find the current value of the house, we will use the formula for compound interest:

Current Value = Initial Value * (1 + Inflation Rate) ^ Number of Years

Here, the initial value is $200,000, the inflation rate is 3% per year (which we convert to 0.03 as a decimal), and the number of years is 15.

Current Value = $200,000 * (1 + 0.03) ^ 15

Current Value ≈ $200,000 * 1.5596

Current Value ≈ $311,920

So, the house's worth today is approximately $311,920, due to the 3% annual inflation rate over the past 15 years.

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Direct selling and direct marketing are similar in that ________.
both enable 24-hour per day ordering
mail and phone solicitations are used in both
both are forms of dual distribution
store locations and fixtures are not necessary

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Direct selling and direct marketing are similar in that they both enable 24-hour per day ordering. In both direct selling and direct marketing, customers can place orders at any time, often through online channels.

However, there are some differences between the two methods. Direct selling typically involves face-to-face interaction between a salesperson and a customer, while direct marketing can be conducted through various channels such as mail, phone, email, or online advertising.

Direct selling may also involve demonstrations or samples of the product, while direct marketing may rely on persuasive messaging and targeted promotions.

Additionally, direct selling is often associated with a specific sales force or distributor network, while direct marketing can be conducted by a company's internal marketing team or through outsourcing to specialized agencies.

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Which of the following statements is true of the salary-only approach?
a.
The salary-only approach is useful when an organization emphasizes serving and retaining existing accounts.
b.
The salary-only approach is useful when an organization emphasizes on generating new sales and accounts.
c.
The salary-only approach is useful only when an organization is compensating experienced sales executives.
d.
The salary-only approach is not useful in compensating sales representatives who are new to a job.

Answers

A. The salary-only approach is useful when an organization emphasizes serving and retaining existing accounts. The salary-only approach is a compensation model where an individual is paid a fixed salary regardless of how much they sell.

What is organization?

Organization is an entity of people working together to achieve a goal. It involves the establishment of a structure, processes, and procedures to ensure that the necessary tasks are completed in an efficient and effective manner. Organizations can be small or large, and can be comprised of employees, volunteers, and/or members.

This approach is most useful when an organization emphasizes serving and retaining existing accounts, as it removes the incentive to focus solely on sales and encourages customer service. It is also useful when an organization is compensating experienced sales executives, as the fixed salary allows them to take on a more strategic role. However, it is not as useful in compensating sales representatives who are new to a job, as they may need more incentive to perform.

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both the demand curve and the supply curve are straight lines. at equilibrium, total surplus is a. $44. b. $72. c. $56. d. $96.

Answers

The total surplus is $0.067. Given that both the demand curve and the supply curve are straight lines, we can assume that they are linear equations.

Let's say that the demand curve is represented by the equation P = 100 - 2Q, where P is the price and Q is the quantity demanded. Similarly, let's say that the supply curve is represented by the equation P = 20 + 4Q, where P is the price and Q is the quantity supplied.

To find the equilibrium price and quantity, we need to set the two equations equal to each other and solve for Q:

100 - 2Q = 20 + 4Q
80 = 6Q
Q = 13.33

P = 100 - 2Q
P = 100 - 2(13.33)
P = 73.33

So the equilibrium price is $73.33.

The base of the triangle is the equilibrium quantity (13.33), and the height is the difference between the equilibrium price and the supply curve at that quantity:

Height = P (equilibrium) - P (supply curve at Q = 13.33)
Height = 73.33 - (20 + 4(13.33))
Height = 73.33 - 73.32
Height = 0.01

Total surplus = (base x height) / 2
Total surplus = (13.33 x 0.01) / 2
Total surplus = $0.067

1. Demand: It refers to the quantity of a good or service that consumers are willing and able to purchase at various prices during a given period of time.
2. Surplus: It occurs when the quantity supplied exceeds the quantity demanded at a given price level.
3. Equilibrium: It is the point at which the demand for a good or service is equal to the supply, resulting in a stable market price.

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This Question: 2 pts 18 of 23 (12 complete) Jia borrows $50,000 at 10 percent annually compounded interest to be repaid in four equal annual installments. The actual end-of-year loan payment is O A. $14,340 B. $10,774 C. $15.773 D. $12,500

Answers

The correct answer is B. $10,774.  The actual end-of-year loan payment is O A. $14,340 B. $10,774 C. $15.773 D. $12,500 is $10,774.

To calculate the annual payment for the loan, we can use the formula for the present value of an annuity:

PMT = PV x (r / (1 - (1 + r)^-n))

Where:
PMT = the annual payment
PV = the present value of the loan ($50,000)
r = the annual interest rate (10%)
n = the number of payments (4)

Plugging in the numbers, we get:

PMT = 50000 x (0.1 / (1 - (1 + 0.1)^-4))
PMT = $16,228.78

However, since the payments are to be made at the end of each year, we need to calculate the future value of the payments using the same interest rate and number of periods. This gives us:

FV = PMT x ((1 + r)^n - 1) / r
FV = $67,197.91

Since the loan is to be repaid in four equal annual installments, each payment will be:

PMT = FV / n
PMT = $16,799.48

But we need to discount this amount back to its present value using the same interest rate and number of periods. This gives us:

PV = PMT / (1 + r)^n
PV = $10,774.04

Therefore, the actual end-of-year loan payment is B. $10,774.

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Under the SEC rules, a one year "cooling off" period applies to which of the following scenarios?A. A tax manager working on a client's tax engagement is offered a managerial position at the client.B. A client wants to hire its firm's lead audit partner to take over as CFO.C. A technology consulting senior manager in the firm is seeking an executive role with the client.D. A professional staff person on audit applies for a position as a senior accountant at the client.

Answers

Under the SEC rules, a one year "cooling off" period applies to the following scenario:

B. A client wants to hire its firm's lead audit partner to take over as CFO.This cooling off period is in place to maintain independence and to avoid conflicts of interest between the auditing firm and the client. The lead audit partner plays a significant role in the audit process, and the one year cooling off period ensures that they do not influence the audit results in their new role as CFO.

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an auditor obtains evidence of stockholders' equity transactions for a publicly traded company by reviewing the entity's:

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An auditor obtains evidence of stockholders' equity transactions for a publicly traded company by reviewing the entity's:

Stockholders' equity section of the balance sheet: The balance sheet provides information on the company's financial position at a specific point in time, including its assets, liabilities, and stockholders' equity.

Statement of changes in stockholders' equity: This statement shows the changes in the company's stockholders' equity over a period of time, including the issuance or repurchase of common or preferred stock, dividends declared, and other transactions related to stockholders' equity.

Minutes of meetings of the board of directors and stockholders: These minutes can provide information on decisions made by the board of directors or stockholders related to stockholders' equity transactions, such as the approval of stock issuances or dividend payments.

Stock option plans: The company's stock option plans can provide information on the issuance of stock options to employees or executives, as well as the exercise of those options and any resulting stock issuances.

Share register and dividend register: These registers provide information on the issuance of stock and payment of dividends to stockholders.

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Identify a USE of cash:(select only one alternative)(Group of answer choices)Equity is issuedAccounts Receivable goes downDividend is paidAccounts Payable goes upMachinery is sold

Answers

One use of cash is paying dividends to shareholders. Dividends is paid distributions of a company's profits to its shareholders and can be paid in cash, stock, or other assets. Option (C)

Paying dividends can be a way for companies to reward their shareholders for their investments and increase their attractiveness to new investors. However, paying dividends also reduces a company's cash reserves and may limit its ability to invest in future growth opportunities or pay off debt. Therefore, companies need to balance their dividend payouts with their long-term financial goals and obligations. Ultimately, paying dividends is one way for companies to deploy their cash resources and manage their relationships with shareholders.

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Full Question ;

Identify a USE of cash:

(select only one alternative)

(Group of answer choices)

Equity is issued

Accounts Receivable goes down

Dividend is paid

Accounts Payable goes up

Machinery is sold

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