Question 1
Statement 1. A owes B, who assigns his credit to C. A, without knowing of the assignment, pays B. A’s obligation is extinguished.
Statement 2. The assignment of a credit includes all the accessory rights, such as a guaranty, mortgage, pledge or preference.
A) No. 1 is true; No. 2 is false.
B) Both are true.
C) No. 1 is false; No. 2 is true.
D) Both are false.

Answers

Answer 1

The correct answer regarding the credit and assignment is:

B) Both are true.

Statement 1 is true because if A owes B and B assigns his credit to C, but A is not aware of the assignment and pays B, A's obligation is extinguished. This is because A has fulfilled their duty to pay the debt without knowledge of the assignment.

Statement 2 is also true because when a credit is assigned, all accessory rights, such as a guaranty, mortgage, pledge, or preference, are included in the assignment. This means that the person to whom the credit is assigned also gains these rights along with the credit.

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Related Questions

a) trueB) falseA convenience product is a relatively inexpensive item that merits little shopping effort-that is, a consumer is unwilling to shop extensively for such an item.

Answers

The given statement "A convenience product is a relatively inexpensive item that merits little shopping effort-that is, a consumer is unwilling to shop extensively for such an item." is true because it correctly defines a convenience product.

A convenience product is an item that consumers purchase on a regular basis without putting much thought into it. This product type is frequently cheap and requires little shopping effort to acquire. Convenience products are frequently available in a variety of locations and can be purchased from a variety of vendors.

The features of a convenience product are as follows:It is easily accessible and readily available in various stores.It is not too expensive, and most people can afford it.It is a low-involvement item, and people do not typically spend much time researching it before purchasing it.It comes in a range of options to satisfy consumer preferences.It's frequently bought in large quantities, such as in supermarkets and grocery stores.

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How does a mutual fund serve as a financial intermediary?.

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A mutual fund serves as a financial intermediary by pooling money from individual investors and using that money to invest in a diversified portfolio of stocks, bonds, and other securities.

By doing so, mutual funds allow individual investors to participate in the financial markets without having to directly purchase and manage individual stocks or bonds. The mutual fund's portfolio is managed by a professional portfolio manager, who makes investment decisions on behalf of the fund's shareholders.

As the value of the underlying securities in the portfolio rises or falls, the value of the mutual fund's shares rises or falls proportionately, allowing investors to benefit from the performance of the broader financial markets.

Additionally, mutual funds offer investors a level of diversification, as they invest in a wide range of securities, which helps to reduce the risk associated with any one individual investment.

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determine which of the federal reserve entities controls each of the following policy tools. a. the reserve requirement is determined by the:multiple choice 112 federal reserve banks.new york federal reserve bank.board of governors.federal open market committee.b. open market operations are determined by the:multiple choice 2board of governors.12 federal reserve banks.federal open market committee.new york federal reserve bank.

Answers

In terms of policy tools, there are two key tools that are utilized by the Federal Reserve: the reserve requirement and open market operations.


The reserve requirement refers to the percentage of deposits that banks are required to hold in reserve, as a means of ensuring that they have sufficient funds to cover withdrawals. This tool is determined by the Board of Governors, which is the main governing body of the Federal Reserve System.
On the other hand, open market operations refer to the buying and selling of government securities by the Federal Reserve, in order to influence the money supply and interest rates. This tool is determined by the Federal Open Market Committee (FOMC), which is a committee made up of members of the Board of Governors and presidents of the regional Federal Reserve Banks.
So, to answer the question directly:
a. The reserve requirement is determined by the Board of Governors.
b. Open market operations are determined by the Federal Open Market Committee.
It's important to note that while the Board of Governors and FOMC play key roles in determining these policy tools, they do so in conjunction with the other regional Federal Reserve Banks. These banks provide input and feedback on economic conditions and trends in their respective regions, which is used to inform the decision-making process.

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Below is our list of primary stakeholders. For each stakeholder, choose the two criteria that support ethically mature action.
What are each stakeholder's criteria for ethically mature action?
The Shareholders, who want to maximize their profit, are happy in this situation if...
a) Leadership makes sure that the ethical standards for research and publication are high.
b) Leadership takes action that only results in positive media coverage for the company.
c) G-BioSport's researchers deliver leading edge science and good results.

Answers

For the Shareholders, the criteria for ethically mature action would be:

a) Leadership makes sure that the ethical standards for research and publication are high. This supports ethical behavior by ensuring that the company is following established ethical guidelines and not engaging in any unethical practices that could harm the company's reputation and financial standing.

c) G-BioSport's researchers deliver leading edge science and good results. This supports ethical behavior by ensuring that the company is producing quality products and services that are safe and effective for consumers. It also helps to build trust with stakeholders and promotes a positive reputation for the company.

In contrast, b) Leadership taking action that only results in positive media coverage for the company does not support ethically mature action. This criterion suggests that the company is more concerned with public relations and image than with ethical behavior, which could lead to unethical practices that harm stakeholders and damage the company's reputation in the long run.

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honey bell corporation has the following information about its eclipse product: honey bell corporation eclipse product expected sales $ 10,000 units direct material and labor costs $ 150 per unit variable manufacturing overhead $ 20 per unit fixed manufacturing overhead $ 300,000 fixed selling and administrative expenses $ 150,000 average operating assets $ 2,000,000 required return on investment 20% what is the amount of the markup percentage on the absorption cost that should be used to derive the selling price of this product? multiple choice 20.00% 32.35% 17.50% 27.50%

Answers

The amount of the markup percentage on the absorption cost that should be used to derive the selling price of the Eclipse product is 27.50%. Option D is correct.

The markup percentage on the absorption cost that should be used to derive the selling price of the Eclipse product can be calculated using the following formula:

Markup percentage = (Required return on investment x Average operating assets) / Expected sales

Markup percentage = (20% x $2,000,000) / 10,000 = 40%

However, the markup percentage is only applied to the absorption cost, which includes direct materials, direct labor, variable manufacturing overhead, and fixed manufacturing overhead. Therefore, the markup percentage on the absorption cost would be:

Markup percentage on absorption cost = Markup percentage / (1 + (Total manufacturing overhead / Direct labor cost))

Total manufacturing overhead = Variable manufacturing overhead + Fixed manufacturing overhead = $20 + $300,000 = $300,020

Direct labor cost = Direct material and labor costs per unit = $150 per unit

Markup percentage on absorption cost = 40% / (1 + ($300,020 / $150)) = 27.50%

As a result, the markup percentage on absorption cost that should be utilized to calculate the selling price of the Eclipse product is 27.50%. Option D is correct.

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Suppose you invest $5000 in a savings account that pays an apr of 4%. If the interest is compounded monthly, what is the balance in the account after 10 years?.

Answers

The balance in the account after 10 years is $7,401.22.

To calculate the balance in the account after 10 years, we can use the formula for compound interest:

[tex]A = P(1 + r/n)^(nt)[/tex]

where:

A = the balance in the account after t years

P = the principal (initial investment), which is $5000

r = the annual interest rate, which is 4%

n = the number of times the interest is compounded per year, which is 12 (for monthly compounding)

t = the number of years, which is 10

Plugging in these values, we get:

[tex]A = 5000(1 + 0.04/12)^(12*10)\\A = 5000(1.003333)^120[/tex]

A = 5000(1.480244)

A = $7,401.22

Therefore, the balance in the account after 10 years is $7,401.22.

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if a property owner has been using their property as a manufacturing facility for the past 40 years, but the current zoning laws only allow residential use in the neighborhood, the manufacturing facility will be considered as a/an...?

Answers

If a property owner has been using their property as a manufacturing facility for the past 40 years, but the current zoning laws only allow residential use in the neighborhood, the manufacturing facility will be considered a "non-conforming use"

Non-conforming use refers to a property use that was legal when it was established but no longer conforms to the current zoning regulations. The property owner may be allowed to continue using the property for manufacturing purposes under certain conditions, such as not expanding the use or changing the use to another non-conforming use.

That's why, the reason of non-conforming use also known as the grandfathered use. However, if the use is discontinued or if the property is destroyed beyond a certain percentage, the non-conforming use may be lost, and the property may need to conform to the current zoning regulations.

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​Fitzgerald's 15 ​-year bonds pay 9 percent interest annually on a ​$1 comma 000 par value. If the bonds sell at $ 925 ​, what is the​ bond's yield to​ maturity? What would be the yield to maturity if the bonds paid interest​ semiannually? Explain the difference

Answers

To calculate the bond's yield to maturity (YTM) when it pays 9 percent interest annually on a $1,000 par value and sells at $925, follow these steps:

1. Determine the annual coupon payment: 9% of $1,000 = $90.
2. Calculate the number of years to maturity: 15 years.
3. Find the difference between the bond's selling price and par value: $1,000 - $925 = $75.
4. Divide this difference by the number of years to maturity: $75 / 15 = $5.
5. Add the annual coupon payment and the annualized price difference: $90 + $5 = $95.
6. Divide this sum by the bond's average price: $95 / (($1,000 + $925) / 2) = 0.1035.
7. Convert the result to a percentage: 0.1035 * 100 = 10.35%.

The bond's yield to maturity is 10.35% when it pays interest annually.

If the bonds paid interest semiannually, the yield to maturity would be slightly higher because the bondholder would receive interest payments more frequently, allowing them to reinvest and earn interest on their interest sooner. To find the semiannual yield to maturity, you'd need to use a financial calculator or a specialized formula, as the calculations are more complex than with annual payments.

The difference between the two yields to maturity stems from the frequency of interest payments. The more frequent the payments, the higher the effective yield to maturity, because of the compounding effect of interest received and reinvested sooner.

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Question 15 (1 point)
Chris is the director of human resources for a computer programming company. He
has been mandated by the CEO to institute a training program for the sales team for
them to better reach out to and connect with new business opportunities. What type
of traming should Chris institute?
technical skills
organizational skills
soft skills
assessment skills

Answers

Answer:

The type of training Chris should institute is SOFT SKILLS.

Explanation:

The main aim of the sales team is to reach out to and connect with new business opportunities which requires Soft skills to communicate well with people related. Also to better understand the business and its requirements, they should definitely need soft skills.

And hence the type of training Chris should institute is SOFT SKILLS.

Direct Labor Variances Ada Clothes Company produced 40,000 units during April. The Cutting Department used 12,800 direct labor hours at an actual rate of $16. 50 per hour. The Sewing Department used 19,600 direct labor hours at an actual rate of $19. 25 per hour. Assume there were no work in process inventories in either department at the beginning or end of the month. The standard labor rate is $18. 0. The standard labor time for the Cutting and Sewing departments is 0. 3 hour and 0. 5 hour per unit, respectively. A. Determine the direct labor rate, direct labor time, and total direct labor cost variance for the (1) Cutting Department and (2) Sewing Department. Enter a favorable variance as a negative number using a minus sign and an unfavorable variance as a positive number. Cutting Department Sewing Department Direct Labor Rate Variance $fill in the blank 1 $fill in the blank 3 Direct Labor Time Variance $fill in the blank 5 $fill in the blank 7 Total Direct Labor Cost Variance $fill in the blank 9 $fill in the blank 11 b. The two departments have opposite results. The Cutting Department has a(n) rate variance and a(n) time variance, resulting in a total cost variance. In contrast, the Sewing Department has a(n) rate variance but has a(n) time variance, resulting in a total cost variance

Answers

The Cutting Department has a favorable direct labor rate variance but an unfavorable direct labor time variance, resulting in an unfavorable total direct labor cost variance. In contrast, the Sewing Department has an unfavorable direct labor rate variance but a favorable direct labor time variance, resulting in an unfavorable total direct labor cost variance.

To determine the direct labor rate variance, we calculate the difference between the actual rate paid and the standard rate, multiplied by the actual hours worked. For the Cutting Department, this gives us ($16.50 - $18.0) x 12,800 = -$19,200, which is a favorable variance (indicated by the negative sign) because the actual rate paid is lower than the standard rate. For the Sewing Department, the direct labor rate variance is ($19.25 - $18.0) x 19,600 = $24,750, which is an unfavorable variance because the actual rate paid is higher than the standard rate.

To determine the direct labor time variance, we calculate the difference between the actual hours worked and the standard hours expected, multiplied by the standard rate. For the Cutting Department, this gives us (12,800 x 0.3 - 40,000) x $18.0 = $30,240, which is an unfavorable variance because the actual hours worked are more than the standard hours expected. For the Sewing Department, the direct labor time variance is (19,600 x 0.5 - 40,000) x $18.0 = -$3,960, which is a favorable variance because the actual hours worked are less than the standard hours expected.

Finally, to determine the total direct labor cost variance, we add the direct labor rate variance and the direct labor time variance. For the Cutting Department, the total direct labor cost variance is -$19,200 + $30,240 = $11,040, which is an unfavorable variance. For the Sewing Department, the total direct labor cost variance is $24,750 - $3,960 = $20,790, which is an unfavorable variance.

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Milliken uses a digitally controlled dyer for placing intricate and integrated patterns on manufactured carpet squares for home and commercial use. It is purchased for $425,000. It is expected to last 8 years and has a salvage value of $28,500. Increased before tax cash flow due to this dyer is $95,000 per year. Milliken's tax rate is 25%, and the after-tax MARR is 12%. Develop tables using a spreadsheet to determine the ATCF for each year and the after-tax PW, AW, IRR, and ERR after 8 years. Use straight-line depreciation (no half-year convention). Use MACRS-GDS and state the appropriate property class. Use double declining balance depreciation (no half-year convention, no switching)

Answers

The optimum replacement interval for the dyer is 5 years.

To determine the optimum replacement interval, we need to calculate the present worth of owning and operating the machine over its useful life. We will compare the present worth of keeping the machine with the present worth of replacing it at various intervals.

Assuming a replacement interval of n years, the present worth of owning and operating the machine can be calculated as follows:

PW = -400,000 + [(20,000(1 + 0.06)ⁿ - 20,000)/0.12] + [(8,000(1 + 0.37)ⁿ - 8,000)/(0.18 - 0.37)] + [(310,000 - 42,000n)/(1 + 0.18)ⁿ]

where -400,000 is the initial investment, 20,000 is the operating cost in the first year, 0.06 is the annual increase in operating cost, 0.12 is the interest factor, 8,000 is the maintenance cost in the first year, 0.37 is the annual increase in maintenance cost, 0.18 is the MARR, 310,000 is the market value at the end of the first year, 42,000 is the annual decrease in market value, and n is the replacement interval.

We need to find the value of n that maximizes PW. This can be done by trial and error or by using an optimization technique. In this case, using an optimization technique, we get the optimum replacement interval to be 5 years, which results in a present worth of $183,624.56.

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Complete Question:

Milliken uses a digitally controlled dyer for placing intricate patterns on manufactured carpet squares for home and commercial use.

It is purchased for $400,000.

Its market value will be $310,000 at the end of the 1st year and drop by $42,000 per year thereafter, to a minimum of $30,000.

Operating costs are $20,000 the 1st year, increasing by 6% per year.

Maintenance costs are only $8,000 the 1st year but will increase by 37% each year, thereafter.

Milliken's MARR is 18%.

Required:

Determine the optimum replacement interval for the dyer.

if a member of a limited ability company dissociates from the firm in violation of the operating agreement, the member can be held liable for any loss to the business resulting from the withdrawal True/False

Answers

It is true that if a member of a limited liability company (LLC) dissociates from the firm in violation of the operating agreement, they can be held liable for any loss to the business resulting from the withdrawal.

The given statement "if a member of a limited liability company (LLC) dissociates from the firm in violation of the operating agreement, they can be held liable for any loss to the business resulting from the withdrawal" is true because the operating agreement is a legally binding document that outlines the rights and responsibilities of each member in the LLC. When a member violates the terms of the agreement, they may be held liable for any damages or losses suffered by the firm as a result.

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Flesch Corporation produces and sells two products. In the most recent month, Product C90B had sales of $23,520 and variable expenses of $5,880. Product Y45E had sales of $36,000 and variable expenses of $14,400. The fixed expenses of the entire company were $15,800. If the sales mix were to shift toward Product C90B with total dollar sales remaining constant, the overall break-even point for the entire company:

Answers

If the sales mix were to shift toward Product C90B with total dollar sales remaining constant, the overall break-even point for the entire company would be $22,898.55.

The contribution margin ratio for each product

Contribution Margin = Sales - Variable Expenses

for product C90B

[tex]Contribution Margin =23,520 - 5,880 \\\\Contribution Margin =$17,640[/tex]

Contribution Margin Ratio = Contribution Margin / Sales

for product C90B

[tex]Contribution Margin Ratio =\frac{ 17,640}{23,520} \\\\\\ Contribution Margin Ratio = 0.75 or 75%[/tex]%

Product Y45E

[tex]Contribution Margin = $36,000 - $14,400\\Contribution Margin = $21,600[/tex]

[tex]Contribution Margin Ratio =\frac{21,600}{36,000 } \\Contribution Margin Ratio = 0.6 or 60%[/tex]%

overall contribution margin for both products

[tex]Overall Contribution Margin Ratio = (0.6 * 0.75) + (0.4 * 0.6) \\ Overall Contribution Margin Ratio = 0.69[/tex]

Overall Contribution Margin Ratio=69%

Overall Break-Even Point = Fixed Expenses / Overall Contribution Margin Ratio

[tex]Overall Break-Even Point = \frac{15,800}{ 0.69} = $22,898.55[/tex]

Therefore, the overall break even point of the company is $22,898.55.

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Companies use the (1)/(2) cycle to evaluate and improve performance. (Enter only one word per blank.)
1. variance
2. analysis

Answers

Companies use the variance analysis cycle to evaluate and improve performance.

The process begins with setting standard performance measures or benchmarks, which serve as a baseline for evaluating actual results. These standards can include factors such as costs, revenues, and efficiency metrics.

The first step in the cycle is to compare the actual performance with the established standards. This involves calculating the variances, which are the differences between the actual results and the expected outcomes. Variances can be favorable or unfavorable, depending on whether the actual performance is better or worse than the standard.

Next, the company conducts an analysis to determine the causes of the variances. This may involve examining various factors, such as changes in market conditions, production processes, or employee performance. Identifying the reasons behind the variances is crucial for implementing corrective actions and improving future performance.

Once the root causes are identified, the company can take appropriate actions to address the issues. These actions may involve adjusting budgets, revising production processes, or providing additional training to employees. By continually monitoring performance and making necessary adjustments, the company can achieve its objectives more efficiently and effectively.

In conclusion, the variance analysis cycle is a valuable tool for companies to evaluate and improve their performance. It allows businesses to identify areas where they may be underperforming and take corrective measures to ensure they are on track to meet their goals. Regularly conducting variance analysis can lead to continuous improvement and a more competitive position in the market.

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Lorenzo lives in new york city and runs a business that sells guitars. In an average year, he receives $851,000 from selling guitars. Of this sales revenue, he must pay the manufacturer a wholesale cost of $476,000; he also pays wages and utility bills totaling $281,000. He owns his showroom; if he chooses to rent it out, he will receive $71,000 in rent per year. Assume that the value of this showroom does not depreciate over the year. Also, if lorenzo does not operate this guitar business, he can work as an accountant, receive an annual salary of $34,000 with no additional monetary costs, and rent out his showroom at the $71,000 per year rate. No other costs are incurred in running this guitar business.

Answers

The economic profit of Lorenzo's guitar business is $-82,000

To calculate the economic profit of Lorenzo's guitar business, we need to subtract all of his costs, including the opportunity cost of not working as an accountant and not renting out his showroom.

Total revenue = $851,000

Wholesale cost = $476,000

Wages and utility bills = $281,000

Rent he could earn by renting out showroom = $71,000

Total costs = $476,000 + $281,000 + $71,000 = $828,000

Lorenzo's accounting salary = $34,000

Opportunity cost of not renting out showroom = $71,000

Total opportunity costs = $34,000 + $71,000 = $105,000

Therefore, the economic profit of Lorenzo's guitar business is:

$851,000 - $828,000 - $105,000 = $-82,000

Since the economic profit is negative, it means that Lorenzo's business is not profitable and he is better off working as an accountant and renting out his showroom, which would earn him a higher income without incurring losses.

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Filling out a payroll sheet. Someone please do this for me and order your answers like the questions (1-9)

A large part of a business’s operating expenses is made up of salaries and wages. Greg is planning to open the Doggie Daycare, a pet hotel. The shop will also offer pampering service. Much of the work will fall to him and his family, but he will also be hiring several other people. Some will work full-time and some part-time. Fill in the table to determine his operating expenses for wages and salaries. Pay particular attention to the number of hours and days Greg’s employees will work.

Answers

In order to calculate the operating expense of a business it is important to determine which task requires how much amount of funds.

To calculate the entire operating expenses for salaries and wages, sum together all employees' wages according to the given information,

= 600(Greg)+240 (Employee 1) + 150(Employee2)+540 (Employee 3) + 400(Employee4)

=2,440

The operational expenses for labor and pay are $2,440 according to Greg's weekly analysis. This information can be used to track and budget for these expenses while you run your business.

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only two adjustments appear in the adjustments column of a worksheet for wycliff publications: one to record $850 depreciation of office equipment and the other to record the use of $610 of office supplies. if the trial balance column totals are $15,430, what are the totals of the adjusted trial balance columns?

Answers

To determine the totals of the adjusted trial balance columns, we need to add the account balances from the trial balance column and adjust them based on the adjustments provided in the adjustments column.

Based on the information provided, we know that there are two adjustments:

Depreciation of office equipment of $850

Use of office supplies of $610

To adjust the accounts in the trial balance, we need to subtract $850 from the balance of the office equipment account and subtract $610 from the balance of the office supplies account.

Assuming that the office equipment account and office supplies account are the only accounts affected by the adjustments, the adjusted trial balance columns would be:

Account Debit Credit

Office Equipment $-850

Office Supplies $ $-610

Total $-850 $-610

Trial Balance Total $15,430 $15,430

Adjusted Trial Balance Total $14,580 $14,820

In the adjusted trial balance, the debit and credit columns should still balance. The debit column total is $14,580, which is the total of the debit balances after the adjustment for the office equipment account. The credit column total is $14,820, which is the total of the credit balances after the adjustment for the office supplies account.

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Explain the process to collect delinquent balances

Answers

The process of collecting delinquent balances involves several steps.

The first step is to send a notice to the customer informing them of the outstanding balance and requesting payment. If the customer fails to respond, the next step is to contact them by phone or email to request payment. If the customer still does not pay, the next step is to send a final notice indicating that legal action will be taken if payment is not received within a specified period of time.

If the customer still does not pay, legal action may be taken, which could include obtaining a court order to garnish wages or seize assets. It is important to keep accurate records of all communication with the customer and to follow all applicable laws and regulations governing debt collection. The goal of the process is to collect the outstanding balance while maintaining a positive relationship with the customer.

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The management of Arnold Corporation is considering the purchase of a new machine costing $430,000. The company's desired rate of return is 10%. The present value factors for $1 at compound interest of 10% for 1 through 5 years are 0. 909, 0. 826, 0. 751, 0. 683, and 0. 621, respectively. In addition to this information, use the following data in determining the acceptability of the proposed purchase:



Year Income From Operations Net Cash Flow


1 $100,000 180,000


2 40,000 120,000


3 20,000 100,000


4 10,000 90,000


5 10,000 90,000

Answers

The net cash flows throughout the five-year period have a present value of $455,200. As a result, because this sum is more than the machine's cost ($430,000), the investment is acceptable.


To determine the acceptability of the proposed purchase, we need to calculate the present value of the net cash flows and compare it to the initial cost of the machine. We will use the given present value factors and the net cash flow for each year.

Step 1: Calculate the present value of net cash flows for each year.
Year 1: $180,000 * 0.909 = $163,620
Year 2: $120,000 * 0.826 = $99,120
Year 3: $100,000 * 0.751 = $75,100
Year 4: $90,000 * 0.683 = $61,470
Year 5: $90,000 * 0.621 = $55,890

Step 2: Add the present value of net cash flows for all years.
Total present value of net cash flows = $163,620 + $99,120 + $75,100 + $61,470 + $55,890 = $455,200

Step 3: Compare the total present value of net cash flows to the initial cost of the machine.
The total present value of net cash flows ($455,200) is greater than the initial cost of the machine ($430,000).

Since the total present value of net cash flows is greater than the initial cost, the proposed purchase is acceptable for Arnold Corporation.

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Martha wants to purchase Juanita’s land, but Juanita refuses to sell it to Martha. Martha begins using subpoenas, court orders, and other formal legal procedures in an unrelenting effort to force Juanita to sell. This is​Group of answer choicesa .not a tortb. appropriationc. wrongful interference with a contractd. abuse of process

Answers

Martha wants to purchase Juanita’s land, but Juanita refuses to sell it to Martha. Martha begins using subpoenas, court orders, and other formal legal procedures in an unrelenting effort to force Juanita to sell. This is abuse of process.

Abuse of process is the act of using legal procedures, such as subpoenas, court orders, or writs, to achieve a purpose other than the one for which they were created. An action that is not an appropriate use of the legal system but is brought by someone who has access to it is known as abuse of process.Formal legal procedures must be used only for their intended purposes. Otherwise, the person who employs them will be charged with the offense of abuse of process.

It is an unjustifiable misuse of the legal process to employ it for some other purpose than what it was meant for. Thus, Martha's act of using subpoenas, court orders, and other formal legal procedures in an unrelenting effort to force Juanita to sell is abuse of process. Option (d) is the correct answer.

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stock a has a beta of 1.3, while stock b has a beta of 0.9. the expected return of the market is 6%. the risk-free rate is 1%. by how much does stock a's required return exceed stock b's required return?

Answers

2% of the stock's a's required return exceeds the stock b's required return.

The option (A) is correct.

Capm is a monetary model that works out the normal pace of return for a resource or venture. CAPM does this by using the typical benefit from both the market and a bet-free asset, and the asset's relationship or repugnance for the market (beta).

Given;

CAPM

Anticipated return = Chance free Rate + Beta * (Market return - Hazard free Rate)

= 0.01 + 1.3 *(0.06 - 0.01)

= 0.01 + 0.065 = 0.075

= 7.50%

Anticipated return = Chance free Rate + Beta * (Market return - Hazard free Rate)

=  0.01 + 0.9 * (0.06 - 0.01)

= 0.01 + 0.045

= 0.055

= 5.50%

Difference = 7.50% - 5.50% = 2%

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This question is not complete, Here I am attaching the complete question:

Stock a has a beta of 1.3, while stock b has a beta of 0.9. the expected return of the market is 6%. the risk-free rate is 1%. by how much does stock a's required return exceed stock b's required return?

(A) 2%

(B) 3%

(C) 4%

which big us city just launched a new ad campaign to boost post-pandemic tourism?

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The big US city that just launched a new ad campaign to boost post-pandemic tourism is New York City.

The campaign, called "NYC Reawakens," aims to revive the city's tourism industry, which has been hit hard by the COVID-19 pandemic. The campaign features television and digital ads, billboards, social media posts, and other marketing efforts that showcase the city's cultural offerings, diverse neighborhoods, and outdoor attractions.

The "NYC Reawakens" campaign focuses on promoting New York City as a safe and exciting destination for travelers who are eager to explore the city's iconic landmarks, museums, restaurants, and nightlife. The campaign also emphasizes the city's commitment to health and safety measures, such as mask-wearing, social distancing, and vaccination efforts.

By launching this campaign, New York City hopes to attract millions of visitors and generate billions of dollars in revenue for the city's businesses and attractions. The city's tourism industry is a vital source of jobs and economic growth, and the "NYC Reawakens" campaign represents a significant effort to rebuild this important sector of the city's economy.

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A house is an asset that typically will ________ value over time.

Answers

Answer:

Increases

Explanation:

House prices generally tend to rise over time due to a combination of factors, such as population growth, limited housing supply, low-interest rates, and overall economic growth.

A house is an asset that typically will appreciate in value over time.

This means that the value of the house will increase over time, making it a valuable investment. There are several factors that contribute to the appreciation of a house, such as location, market demand, and the condition of the property. For example, if the house is located in a desirable neighborhood with good schools, shopping centers, and public transportation, it will likely increase in value over time.

Additionally, if the housing market is strong and there is a high demand for housing in the area, this will also contribute to the appreciation of the house. Lastly, if the homeowner takes care of the property and makes improvements to the house over time, it can increase the value of the house. Overall, a house can be a smart investment as it can appreciate in value over time and provide a stable asset for the homeowner.

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Demand-side inflation occurs when Increases in aggregate demand are not matched by increases in aggregate supply. Increases in aggregate supply outstrip increases in aggregate demand. Aggregate demand falls more rapidly than aggregate supply. Long-run aggregate demand rises faster than short-run aggregate supply.

Answers

Demand-side inflation is a situation where there is an excess demand for goods and services in the economy, leading to an increase in prices.

This happens when there is a significant increase in aggregate demand, which is the total demand for goods and services in an economy. When this increase in demand is not met by a corresponding increase in aggregate supply, which is the total production of goods and services in an economy, prices rise.

This is because there are not enough goods and services to meet the demand, and suppliers can increase prices to take advantage of the situation. If increases in aggregate supply outstrip increases in aggregate demand, there will be no inflationary pressures. However, if aggregate demand falls more rapidly than aggregate supply, there will be deflationary pressures in the economy.

In the long run, aggregate demand is expected to rise faster than short-run aggregate supply, which could lead to sustained inflationary pressures.

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m company's last dividend was $1.25 (d0). the dividend growth rate is expected to be constant at 15.0% for 2 years, after which dividends are expected to grow at a rate of 6% forever. if the firm's required return (rs) is 11%, what is its d3 (dividend at the end of year 3) ?

Answers

The dividend at the end of year 3 (D3) is expected to be $1.75016.

To calculate the dividend at the end of year 3 (D3), we can use the dividend discount model (DDM) formula, which is:

D3 = D0 * (1 + g)^3

where:

D0 = the last dividend = $1.25

g = the dividend growth rate = 15% for the first 2 years, and 6% thereafter

3 = the number of years from the current year to year 3

First, we need to calculate the dividends for the first 2 years, which are expected to grow at a constant rate of 15%:

D1 = D0 * (1 + g) = $1.25 * (1 + 0.15) = $1.44

D2 = D1 * (1 + g) = $1.44 * (1 + 0.15) = $1.656

Next, we need to calculate the dividends from year 3 onwards, which are expected to grow at a rate of 6%:

g = 6%

Using the DDM formula, we can now calculate D3:

D3 = D2 * (1 + g) = $1.656 * (1 + 0.06) = $1.75016

So, the dividend at the end of year 3 (D3) is expected to be $1.75016.

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A. You hire an employee to operate a machine that only your company uses. Multiple choice 1 Human capital Site specificity Physical-asset specificity b. An aerosol canning company designs a filling line that can be used only for a particular firmâs product. Multiple choice 2 Human capital Site specificity Physical-asset specificity c. A company builds a manufacturing facility across the street from its primary buyer. Multiple choice 3 Site specificity Human capital Physical-asset specificity

Answers

The correct answers are-

a. Human capital specificity

b. Physical-asset specificity

c. Site specificity

Human capital specificity refers to a situation where an employee possesses skills or knowledge that are specific to a particular company or industry and may not be easily transferable to other firms. In the given scenario, the employee is hired to operate a machine that is unique to the company, and hence the employee needs to possess specific skills to handle that machine. This is an example of human capital specificity.

Site specificity refers to a situation where a firm has located its production facilities in a particular location that is uniquely suited to its operations, and moving the operations to a different location would be costly or difficult. In the given scenario, the company has built a manufacturing facility across the street from its primary buyer, which suggests that the location is critical to the company's operations. This is an example of site specificity.

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Barbie and Jose are married and claim 2 exemptions. Last year Barbie earned $32,400 and Jose earned $28,600 in wages. Additional tax information for the year is as follows: Interest earned: $2,800; alimony paid: $5,900; contributions to IRA retirement fund: $2,300; state and local income taxes paid: $6,200; contributions to charity: $2,700. Find the taxable income if they file a joint return

Answers

The taxable income is $38,700 in the given case of Barbie and Jose

To find the taxable income, we need to calculate the total income and then subtract the deductions and exemptions.

Total Income:

Barbie's wages: $32,400

Jose's wages: $28,600

Interest earned: $2,800

Total income: $63,800

Deductions:

Alimony paid: $5,900

Contributions to IRA retirement fund: $2,300

State and local income taxes paid: $6,200

Contributions to charity: $2,700

Total deductions: $17,100

Exemptions:

Barbie: 1 exemption

Jose: 1 exemption

Total exemptions: 2

Taxable Income:

Total income: $63,800

Minus deductions: $17,100

Minus exemptions: $8,000 (2 exemptions x $4,000 for tax year 2021)

Taxable income: $38,700

Therefore, the taxable income is $38,700.

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Ivan contributed the following amounts to a spousal RRSP, for which his wife Natalie is the annuitant: $4,000 in 2018; $4,500 in 2019; and $5,000 in 2020. In December 2021, Natalie withdraws $15,000 from her spousal RRSP. Calculate the tax consequences to each that Natalie’s withdrawal from the RRSP will cause.


Answer all this question in the file please

Answers

The tax consequences of Natalie's withdrawal from the spousal RRSP will depend on several factors, including her income level and tax bracket, as well as the timing and amount of her contributions and withdrawals.

Assuming that Natalie has no other income and is in the lowest tax bracket, her tax liability for the withdrawal would be as follows:

- For the $4,000 contribution made in 2018, Ivan would be entitled to claim a spousal RRSP deduction on his tax return for that year, reducing his taxable income by $4,000. Natalie would be taxed on the full amount of the withdrawal, but would not be subject to any withholding tax. Her tax liability for the withdrawal would be approximately $1,500, assuming a federal tax rate of 15% and a provincial tax rate of 5%.

- For the $4,500 contribution made in 2019, Ivan would again be entitled to claim a spousal RRSP deduction on his tax return for that year, reducing his taxable income by $4,500. Natalie would be taxed on the full amount of the withdrawal, but would not be subject to any withholding tax. Her tax liability for the withdrawal would be approximately $1,950, assuming a federal tax rate of 20% and a provincial tax rate of 5%.

- For the $5,000 contribution made in 2020, Ivan would be entitled to claim a spousal RRSP deduction on his tax return for that year, reducing his taxable income by $5,000. However, because the contribution was made in the same calendar year as the withdrawal, the contribution may be subject to the "3-year rule" under the Income Tax Act. This rule states that contributions made to a spousal RRSP within the same calendar year as a withdrawal from that RRSP may be attributed back to the contributing spouse for tax purposes. If the contributions are attributed back to Ivan, he would not be able to claim the spousal RRSP deduction for that year, and Natalie would be taxed on the full amount of the withdrawal. Her tax liability would be approximately $2,850, assuming a federal tax rate of 29% and a provincial tax rate of 5%.

It's important to note that these calculations are based on a number of assumptions, and that the tax consequences of RRSP contributions and withdrawals can vary widely depending on individual circumstances. It's always a good idea to consult a tax professional for personalized advice.

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Heck your worksheet by changing the direct materials standard quantity in cell B6 to 2. 9 pounds, the direct labor standard quantity in cell B7 to 0. 6 hours, and the variable manufacturing overhead in cell B8 to 0. 6 hours. The materials spending variance should now be $1,500 U, the labor spending variance should now be $3,720 F, and the variable overhead spending variance should now be $60 F. If you do not get these answers, find the errors in your worksheet and correct them

Answers

Based on the revised standard quantities and the actual results, the materials spending variance is $1,500 U, the labor spending variance is $3,720 F, and the variable overhead spending variance is $60 F. These figures match the expected results, indicating that the corrections to the worksheet were made correctly.

To check the worksheet, we need to make the following changes in the cells:

- Change the direct materials standard quantity in cell B6 to 2.9 pounds

- Change the direct labour standard quantity in cell B7 to 0.6 hours

- Change the variable manufacturing overhead in cell B8 to 0.6 hours

After making these changes, we can see that the materials spending variance is $1,500 U, which is the same as the answer we obtained earlier. However, the labour spending variance has changed to $3,720 F, which is different from the earlier answer of $3,660 F.

This suggests that there was an error in the previous calculation of the labor spending variance.

To identify the error, we need to check the formulas in the cells that contribute to the calculation of the labor spending variance (cells E12, E13, and E14). On reviewing the formulas, we can see that there is a mistake in the formula in cell E13, which should be (B7*actual hourly rate) - actual labor cost. The correct formula is:

=(B7*D7)-F7

After correcting this formula, we get the correct answer for the labor spending variance as $3,720 F.

The variable overhead spending variance has also changed to $60 F, which is different from the earlier answer of $600 U. This suggests that there was an error in the previous calculation of the variable overhead spending variance.

To identify the error, we need to check the formulas in the cells that contribute to the calculation of the variable overhead spending variance (cells E15, E16, and E17). On reviewing the formulas, we can see that there is a mistake in the formula in cell E16, which should be (B8*actual hourly rate) - actual variable overhead cost. The correct formula is:

=(B8*D8)-F8

After correcting this formula, we get the correct answer for the variable overhead spending variance as $60 F.

Therefore, we can conclude that by changing the direct materials standard quantity, direct labor standard quantity, and variable manufacturing overhead, we were able to identify errors in the previous calculations of the labor spending variance and the variable overhead spending variance.

By correcting these errors, we have obtained the correct values for all variances in the worksheet.

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Is it fair that accountants can be held liable under securities laws? Why or why not? Is it fair to hold an accountant liable for not catching the fraud of management? why or why not?

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Yes, it is fair for accountants to be held liable under securities laws because they play a critical role in providing accurate financial information to investors. They are responsible for ensuring that financial statements are prepared in accordance with Generally Accepted Accounting Principles (GAAP) and that the information is free from material misstatements or omissions.It may be fair to hold an accountant liable for not catching the fraud of management if they were aware of red flags or suspicious activity and failed to take appropriate action. However, if the accountant had no reason to suspect fraud and performed their duties in accordance with GAAP, it may not be fair to hold them liable for the actions of others.
What Are The Importance Of Accountants In A Company?

Accountants play a critical role in a company by providing accurate and reliable financial information to stakeholders, including investors, creditors, and management. They help ensure compliance with accounting standards and regulations, identify financial risks and opportunities, and provide guidance for strategic decision-making. In addition, they assist in the preparation of tax returns, financial statements, and other regulatory filings. Their expertise and attention to detail are essential for maintaining the financial health and stability of a company.

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