On January 1, 2012, Long - Lived issued $200,000, 9% 5-years bonds at 96. The bonds paid semiannual interest on June 30 and December 31. The company uses the straight-line method of amortization and year-end Dec 31. Required: a) Record the issuance of bonds on January 1, 2012. b) Record the payment of interest on June 30

Answers

Answer 1

The company records the issuance of the bond at $200,000 at 96, which means the company receives $192,000 cash.

(a)Recording the issuance of bonds on January 1, 2012

Journal entries

Debit CreditCash $192,000

Bonds Payable $8,000

Bonds Payable $200,000 (To record the issuance of 9%, 5-year bonds at 96)

(b)Recording the payment of interest on June 30

Journal entries

Debit Credit Interest Expense $9,000

Discount on Bonds Payable $417 ($8,000 ÷ 40 periods)

Cash $8,583 (To record the payment of interest on 9%, 5-year bonds)

(a)The issuance of bonds on January 1, 2012:

Journal entries

Debit CreditCash $192,000

Discount on Bonds Payable $8,000

Bonds Payable $200,000 (To record the issuance of 9%, 5-year bonds at 96)

The company records the issuance of the bond at $200,000 at 96, which means the company receives $192,000 cash. The remaining $8,000 discount on the bond is amortized over the term of the bond and recorded as interest expense.

(b)Record the payment of interest on June 30:

Journal entries

Debit CreditInterest Expense $9,000

Discount on Bonds Payable $417 ($8,000 ÷ 40 periods)

Cash $8,583 (To record the payment of interest on 9%, 5-year bonds)

Interest payment on the bond is semiannual, which means that the bond's annual coupon rate of 9% is divided by two and paid semi-annually. To record the payment of interest on June 30, $8,583 cash is paid, and an interest expense of $9,000 is recorded, which represents the coupon rate of 9% divided by two for six months or $9,000 (6/12) for the period.

On January 1, 2012, Long-Lived issued $200,000, 9% 5-year bonds at 96. The bonds paid semiannual interest on June 30 and December 31. The company uses the straight-line method of amortization and year-end Dec 31.

The company records the issuance of the bond at $200,000 at 96, which means the company receives $192,000 cash.

The remaining $8,000 discount on the bond is amortized over the term of the bond and recorded as interest expense. Interest payment on the bond is semiannual, which means that the bond's annual coupon rate of 9% is divided by two and paid semi-annually.

To record the payment of interest on June 30, $8,583 cash is paid, and an interest expense of $9,000 is recorded, which represents the coupon rate of 9% divided by two for six months or $9,000 (6/12) for the period.

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Related Questions

Which of the following is a basic type of process structure? Work center Process flow diagram
Product matrix Process matrix

Answers

The basic types of process structures are work center, process flow diagram, product matrix, and process matrix. The correct answer is E) all of these.

In the work center process structure, a single piece of equipment or work center is utilized to perform a single process or operation for several products. It is a popular option for job shop settings that specialize in low volume, customized products. It is also used in industries such as construction, where different types of workers and equipment are required for each task.

A process flow diagram describes the sequence in which tasks or activities are performed. This structure is ideal for high-volume, standardized processes where the product flow is consistent. It is commonly used in manufacturing environments where a product goes through different stages before completion.

A product matrix process structure is used when there are multiple products that require different processes or operations. In this structure, similar products are grouped together based on the type of process required. It is an ideal option for industries such as printing and publishing, where different types of products require unique processes or operations.

A process matrix structure is used when multiple products require multiple processes or operations. This structure is ideal for complex manufacturing processes, where products undergo several stages before completion. It is commonly used in the aerospace and automotive industries, where different parts require multiple processes before final assembly.

Therefore, The correct answer is E) all of these

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Which of the following is a basic type of process structure? A) Work center B) Process flow diagram

C) Product matrix D) Process matrix E) All of these.

dan bought a hotel for $2,600,000 in january 2018. in may 2022 he died and left the hotel to ed. while dan owned the hotel, he deducted $289,000 of cost recovery. the fair market value in may 2022 was $2,800,000. what is the basis of the property to ed?$2,600,000$2,800,000$2,321,000$289,000

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Dan bought a hotel for $2,600,000 in January 2018. He died in May 2022 and left the hotel to Ed. While Dan owned the hotel, he deducted $289,000 of cost recovery. The fair market value in May 2022 was $2,800,000. In this case, the basis of the property to Ed can be calculated as follows:

We need to determine the adjusted basis of the hotel when Dan passed away. The adjusted basis of the hotel is calculated by taking the original purchase price and adjusting it for any deductions or improvements made to the property. The cost recovery of $289,000 that Dan deducted should be added back to the basis. Dan bought the hotel for $2,600,000, and he deducted $289,000 of cost recovery.

Therefore, the adjusted basis would be $2,889,000 ($2,600,000 + $289,000).Next, we need to determine the value of the property when Dan passed away. The fair market value of the property is $2,800,000. This value is used to determine the basis for the new owner, Ed. The basis of the property to Ed would be the value of the property at the time of Dan's death or the fair market value of the property, whichever is higher.

In this case, the fair market value of the property is higher than the adjusted basis. Therefore, the basis of the property to Ed would be $2,800,000. Answer: $2,800,000.

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now that patricia has received her doctorate and been hired to teach at a university, she has become professor plum, a __________ leader with __________ power.

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Now that Patricia has received her doctorate and been hired to teach at a university, she has become Professor Plum, an informational leader with expert power.

What is an informational leader?

An informational leader is one who has a lot of knowledge or expertise in a particular subject or field and can provide guidance to others based on that expertise. Such people are regarded as being trustworthy because of their expertise and are frequently asked for advice or to lead discussions and activities.

Expert power is the ability of an individual to influence others based on their knowledge, skills, or expertise in a particular area. Because of their abilities and experience, individuals with expert power are frequently consulted and respected in their areas of competence. Expert power can be used to persuade others to do something or to avoid doing something.

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What is the expected standard deviation of stock A's returns based on the information presented in the table? Outcome Probability of outcome TStock A return in outcome Good TON 2010 Medium TO 1300 low 21.27% (plus or minus 0.10 percentage points) b. 40.00w (plus or minus 0.10 percentage points) c.25.61 (plus or minus 0.10 percentage points) d. 32.66 plus or minus 0.10 percentage points) The expected standard deviation cannot be estimated because the probability of the bad outcome is not given or the standard deviation can be computed from the given information, but none of the above is within 0.10 percentage points of the correct answer

Answers

The correct option is b. 208.45 (plus or minus 0.10 percentage points). It measures the average difference between each value in the dataset and the mean value.

Given: Outcome Probability of outcome T, Stock A return in outcome Good TON 2010 Medium TO 1300 low 21.27% (plus or minus 0.10 percentage points), The expected standard deviation of Stock A's returns can be computed from the given information. In probability theory and statistics, the standard deviation is a measure of the amount of variation or dispersion of a set of values or a probability distribution. It measures the average difference between each value in the dataset and the mean value.

Where N is the number of observations, x¯ is the sample mean and xi is the i-th observation.

So, the expected standard deviation of Stock A's returns based on the information presented in the table can be computed as follows:

Expected return = (0.2127 x 2010) + (0.4 x 1300) + (0.3873 x 800)

Expected return = 426.57 + 520 + 310.184

Expected return = 1256.75

Now, calculate the variance:

Variance = (0.2127 x (2010-1256.75)²) + (0.4 x (1300-1256.75)²) + (0.3873 x (800-1256.75)²)

Variance = 43454.29

Finally, compute the standard deviation as follows:

Standard deviation = √43454.29

≈ 208.45

Thus, the expected standard deviation of Stock A's returns is 208.45.

Therefore, the correct option is b. 208.45 (plus or minus 0.10 percentage points).

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Which of the following is a major function of the Board of Directors of a company?
a. Approving decisions made by divisional managers
b. Monitoring line managers
c. Aligning corporate strategy with stockholder interests
d. Creating contracts with suppliers
e. Designing marketing strategies for the company

Answers

Aligning corporate strategy with stockholder interests is a major function of the Board of Directors of a company. Option C is the correct answer.

A board of directors is responsible for supervising the administration of the firm and making strategic selections on its behalf. The board is also in charge of establishing the rules that govern the business and making sure that they are adhered to. Option C is the correct answer.

In addition, the board of directors chooses the company's executives and grants significant financial decisions. In order for a firm to succeed, the board of directors is essential. The organization's management must be effective and efficient in order for it to function. The board also sets the company's policy and approves crucial financial choices in addition to making other significant decisions on the company's behalf. High-level corporate executives and outside subject matter specialists often make up the board of directors.

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An investor is considering the relative risks associated with two projects. The first project has a mean expected profit of £5000 with a standard deviation of £707.11. The second project has a mean expected profit of £500 with a standard deviation of £212.13. Use the coefficient of variation to establish which project has the lower degree of risk.

Answers

Based on the coefficient of variation (CV), the first project with a CV of 14.14 has a lower degree of risk compared to the second project with a CV of 42.43.

To establish which project has the lower degree of risk, we can utilize the coefficient of variation (CV), which measures the relative risk of an investment by comparing the standard deviation to the mean. The formula for a CV is:

CV = (Standard Deviation / Mean) * 100

Let's calculate the CV for both projects:

For the first project:

Mean = £5000

Standard Deviation = £707.11

CV1 = (707.11 / 5000) * 100 = 14.14

For the second project:

Mean = £500

Standard Deviation = £212.13

CV2 = (212.13 / 500) * 100 = 42.43

Comparing the CVs of both projects, we find that CV1 (14.14) is significantly lower than CV2 (42.43). The coefficient of variation reflects the risk per unit of return. A lower CV indicates a lower degree of risk relative to the expected return. Therefore, the first project has a lower degree of risk compared to the second project.

Investors typically prefer investments with lower risk, as it provides a more predictable outcome and reduces the likelihood of significant losses. However, risk preferences may vary depending on the investor's risk tolerance and investment objectives.

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cA bond has an 8 percent annual coupon and a yield to maturity equal to 7.5 percent. Which of the following statements is most correct?
Select one:
a. The bond sells at a price below par.
b. The bond has a current yield greater than 8 percent.
c. The bond price will increase when there is an increase in required discount rate.
d. If the yield to maturity remains constant, the price of the bond is expected to increase over time.
e. If the bond is callable, the YTC is a better estimate of this bond’s expected return.

Answers

The correct answer is: d. If the yield to maturity remains constant, the price of the bond is expected to increase over time.

When the yield to maturity remains constant, the price of a bond is inversely related to its coupon rate. Since the bond has an 8 percent coupon rate, which is higher than the yield to maturity of 7.5 percent, the bond is expected to sell at a premium above its par value. Over time, as the bond approaches maturity, its price is expected to increase and converge towards its par value.

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Alternative Dividend Policies Boehm Corporation has had stable earnings growth of 7% a year for the past 10 years, and in 2019 Boehm paid dividends of $8 million on net income of $20 million. However, net income is expected to grow by 32% in 2020, and Boehm plans to invest $14.5 million in a plant expansion. This one-time unusual earnings growth won't be maintained, though, and after 2020 Boehm will return to its previous 7% earnings growth rate. Its target debt ratio is 35%. Boehm has 1 million shares of stock. a. Calculate Boehm's dividend per share for 2020 under each of the following policies: 1. Its 2020 dividend payment is set to force dividends per share to grow at the long-run growth rate in earnings. Round your answer to the nearest cent. $ ____
2. It continues the 2019 dividend payout ratio. Round your answer to the nearest cent. $ _____
3. It uses a pure residual policy with all distributions in the form of dividends (35% of the $14.5 million investment is financed with debt). Round your answer to the nearest cent. $ _____
4. It employs a regular-dividend-plus-extras policy, with the regular dividend being based on the long-run growth rate and the extra dividend being set according to the residual policy. What will the extra dividend be? Round your answer to the nearest cent. $ ___ b. Which of the preceding policies would you recommend?

Answers

a. Boehm's dividend per share for 2020 under each of the following policies are

1. Its 2020 dividend payment is set to force dividends per share to grow at the long-run growth rate in earnings. $8.56.

2. It continues the 2019 dividend payout ratio. $8.

3. It uses a pure residual policy with all distributions in the form of dividends (35% of the $14.5 million investment is financed with debt). $6.7.

4. It employs a regular-dividend-plus-extras policy, with the regular dividend being based on the long-run growth rate and the extra dividend being set according to the residual policy. The extra dividend be $10.08.

b. Of the preceding policies the recommended policy would be the regular-dividend-plus-extras policy.

a. The following shows the calculation of Boehm Corporation’s dividend per share for 2020 under each of the four policies:

Policy 1: Dividends Per Share = Dividends Paid in 2019 × (1 + Long-Run Earnings Growth Rate) = $8,000,000 × (1 + 7%) = $8,560,000

Dividend Per Share = $8,560,000 ÷ 1,000,000 = $8.56

Policy 2: Dividend Payout Ratio = Dividends Paid ÷ Net Income

Dividends Paid in 2020 = Dividend Payout Ratio × Net Income = $8,000,000 ÷ $20,000,000 = 0.4

Dividends Per Share = Dividends Paid in 2020 ÷ Number of Shares = $8,000,000 ÷ 1,000,000 = $8

Policy 3: Investment in Plant Expansion = $14.5 million

Debt Ratio = 35%

Debt Financing = Debt Ratio × Investment = 35% × $14.5 million = $5.075 million

Equity Financing = $14.5 million – $5.075 million = $9.425 million

Dividend = Net Income – Investment = $20 million × (1 – 35%) – $14.5 million = $6.7 million

Dividends Per Share = Dividend ÷ Number of Shares = $6,700,000 ÷ 1,000,000 = $6.7

Policy 4: Regular Dividend = Dividends Paid in 2019 × (1 + Long-Run Earnings Growth Rate) = $8,000,000 × (1 + 7%) = $8,560,000

Residual Dividend = Net Income – (Target Equity Ratio × Total Investment) = $20 million – (65% × $14.5 million) = $10.075 million

Extra Dividend Per Share = Residual Dividend ÷ Number of Shares = $10,075,000 ÷ 1,000,000 = $10.08

b. The policy that I would recommend to Boehm Corporation would be the regular-dividend-plus-extras policy because it is the most flexible. It allows Boehm to have a regular dividend that is in line with its long-term earnings growth, while also giving it the option to distribute the excess earnings as an extra dividend. This policy can help maintain investor confidence by providing a steady dividend income, and also enable Boehm to distribute the excess earnings to shareholders when the earnings growth rate is unusually high.

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Given the following data for the Grouper Company:
Current liabilities $616
Long-term debt 600
Common stock 744
Retained earnings 1140
Total liabilities & stockholders’ equity $3100

How would common stock appear on a common size balance sheet?
26%

68%

14%

24%

Answers

Common stock on a common size balance sheet would appear as 24%.

On a common size balance sheet, the common stock represents the portion of ownership in a company held by shareholders. It is expressed as a percentage of the total liabilities and stockholders' equity. In this case, the common stock value is $744, while the total liabilities and stockholders' equity amount to $3100.

To calculate the common size, we divide the common stock value by the total liabilities and stockholders' equity, which gives us 0.24. Multiplying this by 100, we find that common stock represents 24% of the total liabilities and stockholders' equity on the common size balance sheet.

To calculate the common size of common stock on the balance sheet, divide the common stock value by the total liabilities & stockholders' equity and multiply by 100.

Common stock percentage = (Common stock / Total liabilities & stockholders' equity) * 100

In this case, the calculation would be:

Common stock percentage = (744 / 3100) * 100 = 24%

Therefore, the common stock would appear as 24% on the common size balance sheet.

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What are the economic measures proposed by the Malaysian government
to mitigate future shocks caused by Covid-19 pandemic?
Explain in terms of macroeconomics and microeconomics.

Answers

In response to the Covid-19 pandemic, the Malaysian government has introduced various economic measures to mitigate the impacts of the pandemic on the economy. These measures are designed to stimulate the economy, support businesses and households, and ensure the financial stability of the country.

These measures can be classified into two categories: macroeconomic and microeconomic measures.Macroeconomic measures:Macroeconomic measures are aimed at stabilizing the overall economy. These measures include:Expansionary fiscal policy: The Malaysian government has introduced an expansionary fiscal policy to boost economic growth. The government has allocated RM20 billion to implement various initiatives to stimulate the economy. These initiatives include wage subsidies, tax exemptions, and grants to support small and medium-sized enterprises (SMEs).Monetary policy: The Malaysian government has also introduced monetary measures to stimulate the economy.

The government has lowered the overnight policy rate (OPR) to 1.75% to provide liquidity to the financial system and lower borrowing costs for businesses. The government has also introduced measures to ensure the stability of the financial system, such as reducing statutory reserve requirements for banks.Microeconomic measures:Microeconomic measures are aimed at supporting businesses and households. These measures include:Wage subsidies: The Malaysian government has introduced wage subsidies to support businesses affected by the pandemic.

The government will provide wage subsidies of RM600 per employee per month for three months to eligible SMEs.Tax exemptions: The Malaysian government has also introduced tax exemptions to support businesses. The government has waived the tourism tax and service tax for the hotel industry, and the Real Property Gains Tax for property transactions.Grant for SMEs: The Malaysian government has also introduced grants to support SMEs. The government has allocated RM2.

1 billion to provide grants to SMEs to help them recover from the pandemic.In conclusion, the Malaysian government has introduced various macroeconomic and microeconomic measures to mitigate the impacts of the Covid-19 pandemic. These measures are aimed at stimulating the economy, supporting businesses and households, and ensuring the financial stability of the country.

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Trade Policy: Export Subsidy Home exports guitars. Home's demand for guitars is Q^d = 1400 - P. Home's supply of guitars is Q^s = 3P - 600. (a) Determine the export supply function of guitars for the Home country. What is the autarky price of a guitar at Home? (b) If the Foreign import demand function is Q^MD* = 1000 - P^* find the free-trade price of a guitar, P_W and the volume of Exports from Home to Foreign, Q_W. What is the increase to World Surplus as a result of the move from Autarky to Free trade?

Answers

The export supply function for Home is Q^X = -2P + 1000. The autarky price of a guitar at Home is $350.

The free-trade price of a guitar is P_W = P^* (foreign price), and the volume of exports from Home to Foreign is Q^W = -2P_W + 1000. The increase in World Surplus due to the move from Autarky to Free trade can be determined by comparing the total surplus between the two scenarios.

(a) The export supply function of guitars for the Home country is obtained by subtracting the domestic demand for guitars (Q^d) from the domestic supply of guitars (Q^s). So, the export supply function is Q^X = Q^s - Q^d, which simplifies to Q^X = (3P - 600) - (1400 - P), resulting in Q^X = -2P + 1000.

The autarky price of a guitar at Home is the price at which the domestic supply equals the domestic demand, so we set Q^s equal to Q^d and solve for P. This gives us 3P - 600 = 1400 - P, which implies P = $350. Therefore, the autarky price of a guitar at Home is $350.

(b) To determine the free-trade price of a guitar (P_W), we set the export supply equal to the foreign import demand (Q^X = Q^MD*) and solve for P. Substituting the given import demand function, we have -2P + 1000 = 1000 - P^. Rearranging the equation, we get P = P^.

The volume of exports from Home to Foreign (Q^W) is given by substituting the free-trade price back into the export supply function: Q^W = -2P_W + 1000.

The increase in World Surplus as a result of the move from Autarky to Free trade can be calculated by comparing the consumer surplus, producer surplus, and trade gains under free trade compared to autarky. The exact calculation would require additional information on the foreign price (P^*) and the respective quantities traded at the autarky and free-trade prices.

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Demand for walnut fudge ice cream at the Sweet Cream Dairy can be approximated by a normal distribution with a mean of 21 gallons per week and a standard deviation of 3.5 gallons per week. The new manager desires a service level of 90 percent. Lead time is two days, and the dairy is open seven days a week.

a. If an ROP model is used, what ROP would be consistent with the desired service level? How many days of supply are on hand at the ROP, assuming average demand?

Answers

The ROP (Reorder Point) consistent with the desired service level of 90 percent is approximately 25.08 gallons. Assuming average demand, there are approximately 12 days of supply on hand at the ROP.

To calculate the ROP, we need to consider the lead time and desired service level. The lead time in this case is two days, and the dairy is open seven days a week. Therefore, the total demand during the lead time is 2 days multiplied by the average demand per day.

Given that the demand for walnut fudge ice cream follows a normal distribution with a mean of 21 gallons per week and a standard deviation of 3.5 gallons per week, we can calculate the average demand per day by dividing the mean by the number of days the dairy is open in a week, which is 7. So, the average demand per day is 21 gallons per week divided by 7 days, which is approximately 3 gallons per day.

Multiplying the average demand per day (3 gallons) by the lead time (2 days), we get a total demand of 6 gallons during the lead time.

To determine the ROP, we need to consider the desired service level. In this case, the new manager desires a service level of 90 percent, which means there is a 10 percent chance of stockout.

Using a standard normal distribution table or a statistical software, we can find the z-score corresponding to a 10 percent chance. The z-score for a 90 percent service level is approximately 1.28.

Next, we calculate the safety stock by multiplying the standard deviation (3.5 gallons) by the z-score (1.28). The safety stock is approximately 4.48 gallons.

Finally, we calculate the ROP by adding the safety stock (4.48 gallons) to the total demand during the lead time (6 gallons). The ROP is approximately 10.48 gallons, which we can round up to 11 gallons.

Assuming average demand, we can subtract the ROP (11 gallons) from the average demand per day (3 gallons) multiplied by the number of days the dairy is open in a week (7 days) to calculate the number of days of supply on hand at the ROP. This is approximately 12 days.

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Using aggregate supply and aggregate demand curves to illustrate, describe the effects of the following events on the price level (P) and on equilibrium real GDP (y) in the long run assuming that input prices fully adjust to output prices after some lag: a. An increase occurs in the money supply above potential GDP b. A decrease in government spending and in the money supply with GDP above potential GDP occurs c. Starting with the economy at potential GDP, a war in the Middle East pushes up energy prices temporarily. The Fed expands the money supply to accommodate the inflation.

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Aggregate demand and aggregate supply curves can be used to explain the impacts of various events on the price level (P) and equilibrium real GDP (y). The following are the effects of the following events on the price level and equilibrium real GDP in the long run, given that input prices fully adjust to output prices after some lag

a) In the case of an increase in the money supply above potential GDP, the short-run aggregate supply curve (SRAS) shifts rightward from SRAS to SRAS1, as shown in the graph below. When this happens, the equilibrium moves from E to E1, with a rise in both the price level (P) and equilibrium real GDP (y) (Y1). In the long run, input prices increase proportionally to output prices, resulting in a new equilibrium at E2, which has the same output level as potential GDP and a higher price level (P2).

The increase in the money supply has two effects. In the short run, the interest rate falls, resulting in an increase in spending, raising both the price level and output level. However, in the long run, input prices rise proportionally to output prices, resulting in higher prices but no change in output level.b) A decrease in government spending and the money supply with GDP above potential GDP occurs, causing the SRAS to shift leftward from SRAS to SRAS1. This results in a movement from E to E1, with both price level and equilibrium real GDP decreasing. In the long run, input prices fall proportionally to output prices, resulting in a new equilibrium at E2, which has the same output level as potential GDP and a lower price level (P2).The reduction in government spending and the money supply has two effects. In the short run, the interest rate increases, causing a decrease in spending, resulting in lower prices and output. However, in the long run, input prices fall proportionally to output prices, resulting in lower prices but no change in output level.c) Starting with the economy at potential GDP, a war in the Middle East pushes up energy prices temporarily. The Fed expands the money supply to accommodate inflation. The SRAS shifts leftward, causing the equilibrium to move from E to E1, with both price level and equilibrium real GDP rising. The Fed accommodates inflation by raising the money supply, which lowers the interest rate and raises spending, resulting in higher prices and output. In the long run, input prices rise proportionally to output prices, resulting in a new equilibrium at E2, which has the same output level as potential GDP and a higher price level (P2).The Fed's expansion of the money supply has two effects. In the short run, it lowers the interest rate and raises spending, resulting in higher prices and output. However, in the long run, input prices rise proportionally to output prices, resulting in higher prices but no change in output level.

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Which statement is most correct concerning the aggregate planning strategies of Level, Chase, and Mixed?
Statement A. A Chase Demand aggregate planning strategy has the most control over Labor.
Statement B. A Level Capacity aggregate planning strategy has the most control over Inventory.
Statement C. A Mixed aggregate planning strategy does not have most control over Inventory or Labor.
Statement D. All of the above
Statements E. None of the above.

Answers

A Mixed aggregate planning strategy does not have most control over Inventory or Labor.Aggregate planning strategies involve making decisions to balance demand and supply for a company’s products or services. The correct statement concerning the aggregate planning strategies of Level, Chase, and Mixed is Statement C

The three most common strategies are level, chase, and mixed.Level strategy attempts to maintain a consistent level of production or workforce over time regardless of fluctuating demand. Chase strategy adjusts production and workforce levels to match changes in demand.

Mixed strategy combines elements of both level and chase strategies.In terms of control over inventory and labor, the level strategy has the most control over inventory since it maintains a consistent level of production. The chase strategy has the most control over labor since it adjusts workforce levels to match demand.

Therefore, Statement C is the most correct concerning the aggregate planning strategies of Level, Chase, and Mixed.

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Which of the following types of alliances can be formed between a company and a foreign government?
A) international joint venture
B) equity strategic alliance
C) non-equity strategic alliance
D) global strategic alliance

Answers

International joint ventures can be formed between a company and a foreign government. The correct option is A.

For the purpose of creating a new company that serves a particular market or industry both parties in this kind of alliance contribute resources, knowledge and money. The foreign government might have a personal stake in encouraging technological exchange, job creation or economic growth within its borders.

The business and the foreign government can pool their resources, use their individual strengths and share risks and benefits in pursuing common business goals by establishing an international joint venture. A deeper level of integration and collaboration between the company and the foreign government is made possible by this kind of alliance allowing both parties to more closely cooperate in the pursuit of common objectives. The correct option is A.

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thanks to much publicity, the marketing concept is now practiced by all firms. true or false

Answers

Thanks to much publicity, the marketing concept is now practiced by all firms - false.

The marketing concept is a business philosophy that emphasizes the satisfaction of customers as a path to profitability. The marketing concept is a fundamental aspect of the modern business approach. The business focuses on the demands and needs of the clients while developing and delivering items or services. Profitability becomes possible if consumers are pleased with the firm's offering, pricing, and promotional methods.

The statement thanks to much publicity, the marketing concept is now practiced by all firms is not true because even though many firms have implemented the marketing concept in their operations, it is not practiced by all firms. Some firms may choose to focus on their products or production processes, while others may prioritize other aspects of their business strategy rather than customer satisfaction.

Also, the implementation of the marketing concept depends on various factors like the size and nature of the business, type of market, available resources, etc. Not all firms may be able to implement it due to limitations or other considerations. Therefore, the statement is incorrect.

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Indicate in each independent case whether the is to be debited (DR) or to be credited (CR). Write your answer on your activity notebook. 1. Increase in accounts Payable 2. Decrease in Owner's Equity 3. Increase in Service Revenue 4. Increase in Cash 5. Decrease in Accounts Receivable B. Direction: Journalize the following transactions of ABC Consultancy Services for the month of June 2020.

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Indicating whether there is an increase or decrease in the account of a company is one of the things that must be done to ensure that the company's finances are in check. In this question, we are tasked to indicate whether an account is to be debited or credited as follows:

1. Increase in accounts Payable When there is an increase in accounts payable, it means that the company owes more money. To record this, we would need to increase the accounts payable account. This means that we will need to credit the account of accounts payable. Therefore, the account is to be credited.

2. Decrease in Owner's EquityA decrease in owner's equity would mean that the company owes less money. Since this is a decrease, we would need to decrease the owner's equity account. The owner's equity is in the credit side of the account. Therefore, the account is to be debited.

3. Increase in Service RevenueAn increase in service revenue means that the company has earned more money. Since the revenue account is in the credit side, we would need to credit the account to indicate that we have an increase in the account. Therefore, the account is to be credited.

4. Increase in CashAn increase in cash means that the company has more cash. Since the cash account is on the debit side, we would need to debit the account to indicate that there is an increase in cash. Therefore, the account is to be debited.

5. Decrease in Accounts ReceivableA decrease in accounts receivable means that the company is owed less money. Since the accounts receivable account is on the debit side, we would need to credit the account to indicate that there is a decrease in accounts receivable.

Therefore, the account is to be credited.B. Direction: Journalize the following transactions of ABC Consultancy Services for the month of June 2020.

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TRUE / FALSE. If a Monopoly has the following demand function P = 100-2Q Then the MR = 100-4Q a. True b. False

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The statement "If a Monopoly has the following demand function P = 100-2Q Then the MR = 100-4Q" is True.

What is a monopoly?

A monopoly is a market structure in which a single company or entity controls all of the market's supply and demand. In a monopoly, a single business dominates the entire market, allowing it to set prices and exert significant power over its customers and competitors. Monopolies typically arise when there are barriers to entry that prevent other companies from competing in the market, such as high start-up costs, limited access to resources, or government regulations.

What is Marginal Revenue (MR)?

Marginal revenue is the additional revenue that a business receives when it sells one additional unit of a product. It is calculated by dividing the change in total revenue by the change in quantity sold. Marginal revenue can help a business determine the optimal level of production and pricing for its products. When a business knows how much additional revenue it will earn from each additional unit sold, it can make more informed decisions about pricing and production levels based on its costs and expected profits.

Thus, the given statement "If a Monopoly has the following demand function P = 100-2Q Then the MR = 100-4Q" is true.

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In 1/1/2022 the Gulf bank started it's businesses in Bahrain with the capital of 10000000 BD. 5000000 BD is deposited on the central bank, 2000000 BD deposited on Arab Bank, and 1000000 BD deposited on National of Bahrain bank, and the rest of the capital kept on the bank cash. The following transaction happened on the first week 2- Withdrawing 1500000 BD from Arab Bank and deposit the money in the central bank 3- 200000 BD paid cash to payment fund on the bank 4- The bank paid from the payment fund 50000BD, rent of the bank offices and 7500 BD Stationary 5- The bank purchased furniture cost of 75000BD, paid by check to be paid from Arab Bank account 6- The bank purchased computers cost of cost of 30000BD, cars cost of 50000, paid by check to be paid from National bank of Bahrain 7- The amounts that the bank received by the receipt account was 220000 as follows. 102000 BD Current accounts 28000 BD saving accounts 80000 BD debit accounts 8- The amounts that the bank accounts have withdrawals cash from bank as follows. • 55000 BD Current accounts • 30000 BD saving accounts 9- the service fees that the bank deducted from the accounts as follows 1000BD from current accounts 500BD from saving accounts Requirements: Record the financial transactions on Gulf bank books

Answers

The Gulf bank started its businesses in Bahrain with the capital of 10000000 BD on 1st January 2022.

A total of 5000000 BD was placed at the central bank, 200000 BD in the Arab Bank, and 100000 BD in the Bahrain National Bank.

The remaining of the capital is kept in the bank cash. The bank conducted the following transactions during the first week:

2- Withdrawing 1500000 BD from Arab Bank and depositing the money in the central bank

3- The bank paid cash 200000 BD to the payment fund on the bank

The bank paid rent of bank offices of 50000BD and Stationary of 7500BD from the payment fund

The bank used a check to pay from an Arab Bank account to acquire furniture for 75000BD.6 The bank bought computers for 30,000BD and automobiles for 50,000BD, both of which were paid for with checks drawn on Bahrain's National Bank.

7- The amounts that the bank received by the receipt account were 220000 as follows.102000 BD Current accounts28000 BD saving accounts 80000 BD debit accounts8- The amounts that the bank accounts have withdrawals cash from bank are as follows.55000 BD Current accounts30000 BD saving accounts9- The service fees that the bank deducted from the accounts are as follows.

1000BD from current accounts500BD from saving accounts Calculation of balance in each account is as follows: Central bank balance = 5000000BD + 1500000 BD = 6500000BD.

Arab Bank balance = 2000000BD - 75000BD = 1925000BDNational Bank of Bahrain balance = 1000000BD - 50000BD - 30000BD = 920000BDBank Cash balance = 10000000BD - 6500000BD - 1925000BD - 920000BD = 600000BD

The transaction records for the Gulf Bank books are as follows:

1. Paid-up capital: A. Central Bank = 5000000BD (Deposit)

B. Arab Bank = 2000000BD (Deposit)

C. National Bank of Bahrain = 1000000BD (Deposit)D. Cash in bank = 600000BD (Balance)

2. Arab Bank A/C Dr.1500000BD (Withdraw)To Central Bank A/C1500000BD (Deposit)

3. Payment Fund A/C Dr.200000BD (Cash)To Bank Cash A/C200000BD (Deposit)

4. Rent A/C Dr.50000BD (Payment)Stationery A/C Dr.7500BD (Payment)To Payment Fund A/C57500BD (Deposit)

5. Furniture A/C Dr.75000BD (Payment)To Arab Bank A/C75000BD (Withdraw)

6. Computers A/C Dr.30000BD (Payment)Cars A/C Dr.50000BD (Payment)To National Bank of Bahrain A/C80000BD (Withdraw)

7. Receipt A/C Dr.220000BD (Deposit)To Current A/C102000BD (Deposit)To Saving A/C28000BD (Deposit)To Debit A/C80000BD (Deposit)

8. Current A/C Dr.55000BD (Withdraw)Saving A/C Dr.30000BD (Withdraw)To Bank Cash A/C85000BD (Deposit)

9. Current A/C Dr.1000BD (Fee)Saving A/C Dr.500BD (Fee)To Bank Cash A/C1500BD (Deposit)

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The excess reserves of Bank A assuming it has deposits of $1,000,000, a required reserve ratio of 10% and current legal reserves of $500,000 are 1) $100,000. 2) 400,000. 3) 500,000. 4) 900,000.

The MPC affects which of the following? 01) money multiplier 2) balanced budget multiplier 3) income multiplier 4) discount rate S

Which of the following is used to correct unemployment? 1) increase in government purchases 2) increase in bank required reserve ratio. 3) increase in income taxes 4) increase in the discount rate

The market system compared to the command system 1) is more efficient. 2) results in higher output. 3) achieves greater consumer satisfaction. 4) all of the above.

A change in which of the following will cause the consumption schedule to shift? 1) disposable income 2) consumer wealth 3) technology 4) all of the above

Answers

1) Excess Reserves of Bank A Assuming that the required reserve ratio is 10% and the current legal reserves of Bank A are $500,000 with deposits of $1,000,000, the excess reserves of Bank A will be:$1,000,000 x 10% = $100,000$500,000 + $100,000 = $600,000Excess Reserves of Bank A = $1,000,000 - $600,000 = $400,000.

Hence, the correct option is 2) $400,000.2) Money Multiplier The MPC (Marginal Propensity to Consume) affects the money multiplier.3) Increase in Government Purchases The increase in government purchases is used to correct unemployment.4) All of the Above The market system compared to the command system is more efficient, results in higher output, and achieves greater satisfaction.4) All of the Above Disposable income, consumer wealth, and technology will cause the consumption schedule to shift .Thus, the correct options are:1) $400,0002) Money multiplier3) Increase in government purchases4) All of the Above4) All of the Above

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bbbDifferentiate job-order cost accounting from process cost
accounting
Give concrete examples for each
During February, Cardella Manufacturing works on two jobs: A16 and B17. Summary data for these jobs are as follows: Manufacturing Costs Incurred Raw materials purchased on account: $54,000 Factory lab

Answers

Job order costing and process costing are the two most common methods of costing in cost accounting. The key difference between the two is that job order costing is used when the product is produced in limited quantities.

And is based on customer orders, while process costing is used when the product is produced in large quantities and follows a continuous production process.

Job order costing is used when products are produced in limited quantities or based on specific customer orders. Every product is distinct and unique, which means that it has a different production cost. Job order costing allocates the total cost of production to a single product or a small batch of products. Example: Construction of buildings, machines, jewelry, etc.

Process cost accounting, on the other hand, is used when products are manufactured in large quantities through a continuous process. The production cost of a single unit is difficult to determine because it is part of the overall cost of production. Process cost accounting breaks down the total cost of production into individual production processes and allocates the cost to each unit produced. Examples of products that may use process costing include beverages, cosmetics, paper products, and other mass-produced items.Example: Cement production, flour milling, oil refining, etc.

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Windhoek Mines, Limited, of Namibia, is contemplating the purchase of equipment to exploit a mineral deposit on land to which the company has mineral rights. An engineering and cost analysis has been made, and it is expected that the following cash flows would be associated with opening and operating a mine in the area: Cost of new equipment and timbers $ 490,000 working capital required $ 175,000 Annual net cash receipts $ 190,000 Cost to construct new roads in three years $ 55,000 Salvage value of equipment in four years. $ 80,000 *Receipts from sales of ore, less out-of-pocket costs for salaries, utilities, insurance, and so forth The mineral deposit would be exhausted after four years of mining. At that point, the working capital would be released for reinvestment elsewhere. The company's required rate of return is 19% Click here to view Exhibit 128-1 and Exhibit 128-2, to determine the appropriate discount factor(s) using tables. Required: a. What is the net present value of the proposed mining project? b. Should the project be accepted?

Answers

Calculation of net present value of the proposed mining project:The net present value of the project is the sum of the present value of cash inflows minus the sum of the present value of cash outflows.

Using the formula, we get:NPV = Present value of cash inflows - Present value of cash outflows. The cash flow schedule is as follows: Year Cash flow 0 (490,000+175,000) = ($665,000) 1 190,000 2 190,000 3 190,000 4 (190,000+55,000+80,000) = ($325,000)

The present value of the cash outflows:Year Cash flow Present value at 19% 0 ($665,000) 1.000 1 -190,000 0.840 2 -190,000 0.706 3 -190,000 0.592 4 -325,000 0.376.

Present value of cash outflows = $1,200,780. The present value of the cash inflows: Year Cash flow

Present value at 19% 0 ($665,000) 1.000 1 190,000 0.840 2 190,000 0.706 3 190,000 0.592 4 -325,000 0.376  

Present value of cash inflows = $357,560

Net present value of the proposed mining project = Present value of cash inflows - Present value of cash outflows

$357,560 - $1,200,780= ($843,220).

Since the net present value of the proposed mining project is negative, i.e., ($843,220), it implies that the proposed project will result in a loss, and, therefore, should not be accepted.

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All else equal, which statement regarding Australia's current
account is correct? a. Running a current account deficit is
problematic and should be avoided b. An increase in the official
aid payment s

Answers

The correct statement regarding Australia's current account is that running a current account deficit is problematic and should be avoided if all other factors are kept equal. Let's understand this concept.

The current account is a record of a country's trade balance, including net income and direct payments. It is a critical component of a country's overall balance of payments. In general, a current account surplus is regarded as positive, whereas a current account deficit is regarded as negative.What is a current account deficit?When a country imports more goods and services than it exports, it incurs a current account deficit. It usually entails transferring a portion of its capital to finance its trade deficit. This deficit must be financed by borrowing from other countries or selling more of its currency to the foreign exchange market.

Borrowing from other countries necessitates paying interest on the borrowed amount. A country can only pay off the debt by exporting more goods and services than it imports.Over time, a prolonged current account deficit might result in a reduction in the value of a country's currency relative to other currencies. Because a weak currency can lead to inflation and higher interest rates, it can have a significant impact on the economy.

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which of the following statements is not true regarding the education credits? multiple choice if a dependent pays for qualified expenses, the expenses are deemed paid by the taxpayer. if a relative makes payments for qualified expenses directly to the institution on behalf of the student, the expenses are deemed paid by the student. if a student receives a scholarship that is excluded from gross income, that amount should reduce qualified expenses. payments made using borrowed funds are not considered qualified expenses.

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The statement that is not true regarding education credits is: If a relative makes payments for qualified expenses directly to the institution on behalf of the student, the expenses are deemed paid by the student, option C is correct.

In practice, when a family member directly pays the institution for qualified expenses on behalf of the student, it is typically regarded as the relative's payment rather than the student's. The student cannot claim these payments as qualified expenses for the purpose of education credits.

When it comes to education expenses and tax credits, it is essential to understand the guidelines and rules set forth by the tax authorities. In the case of education credits, there are certain criteria that need to be met to qualify for these credits, option C is correct.

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------ The complete question is:

Which of the following statements is not true regarding the education credits?

A) If a dependent pays for qualified expenses, the expenses are deemed paid by the taxpayer.

B) Payments made using borrowed funds are not considered qualified expenses.

C) If a relative makes payments for qualified expenses directly to the institution on behalf of the student, the expenses are deemed paid by the student.

D) If a student receives a scholarship that is excluded from gross income, that amount should reduce qualified expenses. ------

Let us add the government to the Solow model. Suppose that a government purchases goods in the amount of g per worker every year; with N, workers in year t, total government purchases are gN . The government has a balanced budget so that its tax revenue in year t, Tt equals total government purchases. Total national saving is St, St= s(Yt- Tt), where Yt, is total output and s is the saving rate.

a. Graphically show the steady state for the initial level of government purchases per worker.

b. Suppose that the government permanently increases its purchases per worker. What are the effects on the steady-state levels of capital per worker, output per worker, and consumption per worker?

c. Does your result imply that the optimal level of government purchases is zero?

Answers

a. The game in normal form can be represented as follows:

    | Boeing Price War | Boeing Peaceful |

---------------------------------------------------------

Airbus Enter       | -$100M, -$100M   | $300M, $300M    |

---------------------------------------------------------

Airbus Stay Out    | $1B, 0           | 0, 0            |

The Nash equilibrium is for Airbus to enter and for Boeing to choose the peaceful competition strategy. Both firms earn $300 million in profit, which is their best possible outcome given the choices of the other firm.

b. The game tree for this game can be represented as follows:

                           Boeing

                          /      \

                Price War       Peaceful

                /   \            /    \

           -$100M, -$100M  $300M, $300M

           /                          \

   Airbus                            Airbus

   /      \                          /      \

Enter  Stay Out                Enter   Stay Out

/           \                        /           \

$1B, 0 0, 0 $300M, $300M 0, 0

The equilibrium path on the game tree is: Airbus Enter -> Boeing Peaceful.

The Subgame Perfect Nash Equilibrium is for Airbus to enter and for Boeing to choose the peaceful competition strategy. This is because, at every decision node, both firms choose their best response given the choices of the other firm.

c. There are no Nash equilibria that are not sensible in this scenario. Both firms have a clear incentive to avoid a price war and choose the peaceful competition strategy. A price war would result in losses for both firms, while the peaceful competition strategy allows them to earn positive profits. Therefore, the chosen Nash equilibrium is sensible and aligns with the rational behavior of the firms.

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A firm finds that whether it produces 30.000 vases or 40,000 vases, its average total cost is $180. This observed pattern might be explained by: diseconomies of scale. diminishing marginal productivity. constant returns to scale. economies of scale.

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The observed pattern of the firm having the same average total cost of $180 regardless of whether it produces 30,000 vases or 40,000 vases suggests that the firm is experiencing constant returns to scale.

Constant returns to scale occur when the firm's output increases proportionally to its inputs, resulting in no change in average total cost. In this case, the firm is maintaining the same level of efficiency and productivity regardless of the scale of production. As the firm increases its production from 30,000 vases to 40,000 vases, the average total cost remains constant at $180, indicating that the firm is able to achieve economies of scale without any significant increase in cost.

This finding is contrary to the concept of diseconomies of scale, where the firm experiences an increase in average total cost as it expands production. Diminishing marginal productivity would result in a higher average total cost as the firm increases its output, but in this case, the cost remains the same. Therefore, these options can be ruled out.

The explanation of constant returns to scale aligns with the observation that the firm is maintaining the same average total cost at different production levels. It suggests that the firm is efficiently utilizing its resources, experiencing economies of scale, and achieving consistent cost efficiency as it scales up its production.

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choosing the rate of output with existing plant and equipment is known as the production decision.
true or false

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True. Choosing the rate of output with existing plants and equipment is indeed known as the production decision.

This choice entails calculating the ideal production level for a specific time period using the organization's resources, machines, and equipment. It takes into account factors including resource availability, market demand, manufacturing capacity, and efficiency.

Choosing the right quantity and timing of production to satisfy customer demand while maximizing resource utilization and overall profitability is a critical component of operations management.

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Question 2 (a) Explain the effects of a price floor policy on the welfare of producers and consumers (10 marks) (b) Elaborate on the concept of economies of scale (10 marks) Erase D

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A price floor policy benefits producers by increasing their revenue and surplus but negatively affects consumers through higher prices and reduced consumer surplus.

A price floor is a government-imposed policy that sets a minimum price above the equilibrium price in a market. The effects of a price floor on the welfare of producers and consumers can be examined as follows:

Producers:

1. Increased revenue: With a price floor set above the equilibrium price, producers are able to sell their goods at a higher price. This leads to an increase in revenue for producers.

2. Producer surplus: Price floors can create a surplus for producers by ensuring that they receive a higher price for their goods than they would in a free market. This surplus represents the difference between the price floor and the equilibrium price, multiplied by the quantity of goods sold.

Consumers:

1. Higher prices: A price floor policy results in higher prices for consumers. This can lead to increased costs for consumers who purchase the goods affected by the price floor.

2. Reduced consumer surplus: Consumer surplus, which represents the difference between the price consumers are willing to pay and the actual price they pay, is reduced when a price floor is implemented. The higher prices resulting from the price floor reduce the consumer surplus.

Overall welfare effects:

1. Transfer of welfare: A price floor policy transfers welfare from consumers to producers. The higher prices benefit producers by increasing their revenue and surplus, while consumers face higher prices and reduced consumer surplus.

2. Potential inefficiency: Price floors can lead to market inefficiencies. If the price floor is set above the equilibrium price, it may result in a surplus of goods as the quantity supplied exceeds the quantity demanded. This surplus can lead to wasted resources and inefficiencies in the allocation of goods.

In conclusion, a price floor policy affects the welfare of producers positively by increasing their revenue and surplus, while negatively impacting consumers through higher prices and reduced consumer surplus. However, price floors can also result in market inefficiencies and potential inefficiencies in resource allocation.

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The most recent financial statements for Retro Machine, Inc., follow. Sales for 2021 are projected to grow by 30 percent. Interest expense will remain constant; the tax rate and the dividend payout rate will also remain constant. Costs, other expenses, current assets, fixed assets, and accounts payable increase spontaneously with sales.

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In the coming year, there is an estimated growth in sales by 30 percent. This suggests that Retro Machine, Inc. Anticipates a notable surge in its earnings compared to the preceding timeframe

What is the financial statement

The interest expenditure is projected to continue at a constant rate without any fluctuations. The predicted increase in sales will not have any impact on the borrowing expenses of the company.

The tax rate is anticipated to stay steady without any changes being made. This suggests that Retro Machine, Inc. The tax rate for profits will remain constant even if there is an increase in sales.

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Lee Electronics, Inc. reported the following information related to its defined-benefit pension plan at December 31, 2017: Projected benefit obligation ..... ............. $320,000 Pension plan assets (held by a trustee) ............... $400,000 The plan was subject to the following during 2018: a) Lee's actuary determined that the service cost for the plan during 2018 was $60,000 b) The expected rate of return on plan assets and the actual rate of return were both 9%. c) The interest (discount) rate in the marketplace was 5%. d) In 2015, an amendment to the plan resulted in prior service cost of $40,000. Each year, one-tenth of this cost is being amortized. e) Lee contributed $120,000 to the pension fund at the end of 2018, and retirees were paid $44,000 from plan assets during the year. Based on the above information, determine pension expense as of and for the year ended December 31, 2018. Prepare a formal schedule to support your answer, with sufficient detail to support your calculation of each element of expense.

Answers

Pension expense for the year ended December 31, 2018, is $76,800. The components of pension expense are service cost ($60,000), interest cost ($16,000), and expected return on plan assets ($56,000).

The actual return on plan assets and the amortization of prior service cost do not affect the pension expense.

To calculate the pension expense, we consider several components. The service cost represents the present value of the additional benefits earned by employees during the year, which amounts to $60,000. The interest cost is calculated based on the projected benefit obligation and the discount rate in the marketplace, resulting in $16,000. The expected return on plan assets is determined by multiplying the actual plan assets at the beginning of the year by the expected rate of return (9%), which equals $36,000. However, since the actual return on plan assets was also 9%, no gains or losses need to be recognized. The amortization of prior service cost does not affect the expense. Therefore, the total pension expense for the year is $76,800.

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you have really_____ your foot in it this time.you should never have mentioned his ex_wife at dinner Consider the two molecules of DNA. AGTTACTAAAGCAATACATC TCAATGATTTCGTTATGTAG DNA 1AGGCGGGTAGGCACCCTTATCCGCCCATCCGTGGGAAT DNA 2Which two molecules of DNA has the lower melting temperature? Why? A. DNA 1, because DNA 2 may form more secondary structure. B. DNA 2. because it has a lower percentage of A-T base pairs that stabilize DNA duplexes. C. DNA 1. because it has a lower percentage of G-C base pairs that stabilize DNA duplexes. D. DNA 2, because it has 19 base pairs, whereas DNA has 20 base pairs. E. DNA 2, because DNA I may form more secondary structure. A normal distribution has a mean u = 15.2 and a standard deviation of o = 0.9. Find the probability that a score is greater than 16.1 number of different selections of r hotdogs of 4 types generating function Liquidity Ratio Method Current Ratio Current Assets/Current Liabilities Quick Ratio (Current Assets - Inventory) Current Liabilities 0.82 2018 2019 2020 2021 0.76 1.893557 1.6400389 1.67789 0.76 1.695909 1.42623 1.46755 0.82 Financial Leverage Ratio Method Total debt ratio (Total Assets - Total Equity) Total Assets Long term debt ratio Long-term debt/(Total debt + total equity) Times interest earned EBIT/Interest Cash coverage (EBIT + depreciation) Interest 2017 0.251 0.11 278.36 296.1 2018 0.24 0.099 269.67 283.6 2019 2020 0.299 0.43 0.16 0.298 110.64 35.26 118.98 42.47 2021 0.42 0.27 51.62 57.66 Asset Management Ratios Inventory turnover Day sales in inventory Receivable turnover Days sales in receivables Fixed assets turnover Total assets turnover Formula COGS/Inventory 365/Inventory turnover Sales/Accounts Receivable 365/Receivables turnover Sales/Net Fixed Assets Sales Total Assets 2017 2018 2019 2020 2021 20.341 22.034 11.88 8.265 3.29 17.944 16.57 30.7 44.165 110.63 11.401 14.23 13.224 10.121 2.79 33.290 25.62 26.3744.548 65.32 1.319 1.53 1.26 0.713 0.285 0.899 0.99 0.83 0.450 0.171 Profitability Ratios Profit margin Return on assets (ROA) Return on equity (ROE) Formula Net income Sales Net income/Total assets Net income/Total equity 2017 2018 2019 2020 2021 0.28 0.031 0.27 0.21 0.27 0.26 0.031 0.222 0.096 0.047 0.345 0.041 0.316 0.167 0.083 You can focus on 2019-2021 and - Liquidity Ratios: Current ratio, Quick ratio - Asset Management Ratios: Inventory turnover, Days sales outstanding, Fixed asset turnover, Total asset turnover - Debt Management Ratios: Debt ratio, Times interest earned - Profitability Ratios: Profit Margin, Return on Assets, Return on Equity Because these tables include some ratios that are not needed for the report. 1. What are the risk factors that the company may face? 2. How do the ratios you analyze change in three years? 3. Based on these, in what ways is the firm strong or weak? 4. What are your suggestions for the company you are examining to be stronger in the future? Suppose consumption is a linear function of disposable income: C(YT) = a + b(Y T), where a > 0 and 0 < b < 1. Suppose also that investment is a linear function of the interest rate: I(r) = c - dr, where c> 0 and d > 0. a. Solve for Y as a function of r, the exogenous variables G and T, and the model's parameters a, b, c, and d. b. How does the slope of the IS curve depend on the parameter d, the interest rate sensitivity of investment? Prepare a 5 mins PPT presentations with voice overs to the board members on the financial strength of Cool-Ice especially in financing its long-term loan. find the two x-intercepts of the function f and show that f '(x) = 0 at some point between the two x-intercepts. f(x) = x x 2 There are 20 problems in a mathematics competition. The scores of each problem are allocated in the following ways: 3 marks will be given for a correct answer. I mark will be deducted from a wrong answer and O marks will be given for a blank answer. Find the minimum number of candidate(S) to ensure that 2 candidates will have the same scores in the competition. In which of the following instances would the independence of the CPA not be considered to be impaired? The CPA has been retained as the auditor of a brokerage firmA. Which owes the CPA audit fees for more than one year.B. In which the CPA has a large active margin account.C. In which the CPA's brother is the controller.D. Which owes the CPA audit fees for current year services and has just filed a petition for bankruptcy. The dataset catsM is found within the boot package, and contains variables for both body weight and heart weight for male cats. Suppose we want to estimate the popula- tion mean heart weight (Hwt) for male cats. We only have a single sample here, but we can generate additional samples through the bootstrap method. (a) Create a histogram that shows the distribution of the "Hwt" variable. (b) Using the boot package, generate an object containing R=2500 bootstrap samples, using the sample mean as your statistic. 8 class monitors march and hoist the school flag on a Monday. They walk in a line so that every monitor except the first is preceded by another. On Tuesday, to avoid everyone seeing the same person immediately in front of them, they decide to switch positions so that no monitor is preceded by the same person who preceded him on Monday. In how many ways can they switch positions to satisfy this condition? richard walks at 5.0 mph on three days per week. on each day that he walks at 5.0 mph, he walks for 30 minutes. after each walk, richard consumes approximately 200 calories of fruits and vegetables. how many met minutes per week does richard spend walking at 5 mph? The current ratio is measured by Current assets / Current liabilities. Assume this ratio is greater than 100% (or 1:1) and that the cash balance remains positive at all times. State the effect the fol Blue Wave Co. predicts the following unit sales for the coming four months: September, 3,900 units, October, 4,500 units, November. 6,100 units; and December, 8,000 units. The company's policy is to m Example Given the supply function P=10+ vg Find the price elasticity of supply. (a) Averaged along an arc between Q=100 and Q=105 (b) At the point Q=100. The following data were collected from a sample of fathers and sons. The heights are given in inches. Construct a 95% confidence interval for the slope of the regression line. Round your answers to two decimal places, if necessary.Heights of Fathers and Sons (in Inches)Height of Father, x: 65, 67, 66, 71, 65, 70, 73, 71, 69Height of Son, y: 69, 67, 68, 73, 65, 73, 76, 73, 70 All of the following can be used to evaluate continued infertility with a normal sperm count exceptA. Semen fructose levelB. Eosin-nigrosin stainC. Plasma and semen agglutinationD. Immunobead test Find the critical t-value that corresponds to 50% confidence. Assume 23 degrees of freedom. Obtain the root from the given function f(x) = 5x3 - 5x2 + 6x - 2 using Fixed-point iteration method. Terminate the process if absolute error falls below 0.0001. Tabulate the results.