Kimble, Sykes, and Gerard open an accounting practice on January 1, 2019, in Chicago, Illinois, to be operated as a partnership. Kimble and Sykes will serve as the senior partners because of their years of experience. To establish the business, Kimble, Sykes, and Gerard contribute cash and other properties valued at $208,000, $180,000, and $92,000, respectively. An articles of partnership agreement is drawn up stipulating the following:


a. Personal drawings are allowed annually up to an amount equal to 10 percent of the partner’s beginning capital balance for the year.


b. Profits and losses are allocated according to the following plan:


1. Each partner receives an annual salary allowance of $55 per billable hours worked.


2. Interest is credited to the partners’ capital accounts at the rate of 12 percent of the beginning capital balance for the year.


3. Kimble and Sykes are eligible for an annual bonus of 10 percent of net income after subtracting the bonus, salary allowance, and interest. The agreement also states that there will be no bonus if there is a net loss or if salary and interest result in a negative remainder of net income to be distribution.


4. Any remaining partnership profit or loss is to be divided evenly among all partners.


On January 1, 2020, the partners admit Nichols to the partnership. Nichols contributes cash directly to the business in an amount equal to a 25 percent interest in the book value of the partnership property subsequent to this contribution. The partnership profit and loss sharing agreement is not altered upon Nichols’ entrance into the firm; the general provisions continue to be applicable. The billable hours for the partners during the first three years of operation follow:


2019 2020 2021


Kimble 1,700 1,800 1,880


Sykes. 1,440 1,500 1,620


Gerard. 1,300 1,380 1,310


Nichols -0- 1,560 1,550


The partnership reports net income (loss) for 2019 through 2021 as follows:


2019. . . . . . . . . . . . . . . $282,000


2020. . . . . . . . . . . . . . . (12,400)


2021. . . . . . . . . . . . . . . 477,000


Each partner withdraws the maximum allowable amount each year.


a. Prepare schedules that allocate each year’s net income to the partners (to the nearest dollar).


b. Prepare in appropriate form a statement of partners’ capital for the year ending December 31, 2021. 30. A partnership

Answers

Answer 1

a. To allocate each year's net income to the partners, we need to follow the profit and loss sharing plan stipulated in the articles of partnership agreement.

For 2019:

- Kimble's salary allowance: 1,700 x $55 = $93,500
- Sykes's salary allowance: 1,440 x $55 = $79,200
- Gerard's salary allowance: 1,300 x $55 = $71,500
- Interest credited to Kimble's capital account: 12% x $208,000 = $24,960
- Interest credited to Sykes's capital account: 12% x $180,000 = $21,600
- Interest credited to Gerard's capital account: 12% x $92,000 = $11,040

Total income allocation before bonus: $301,800

Net income after subtracting salary allowance and interest: $9,800

Kimble and Sykes are eligible for a bonus of 10% x $9,800 = $980 each.

Profit allocated:
- Kimble: $93,500 + $24,960 + $980 = $119,440
- Sykes: $79,200 + $21,600 + $980 = $101,780
- Gerard: $71,500 + $11,040 = $82,540

For 2020:

- Kimble's salary allowance: 1,800 x $55 = $99,000
- Sykes's salary allowance: 1,500 x $55 = $82,500
- Gerard's salary allowance: 1,380 x $55 = $75,900
- Interest credited to Kimble's capital account: 12% x $119,440 = $14,332.80
- Interest credited to Sykes's capital account: 12% x $101,780 = $12,213.60
- Interest credited to Gerard's capital account: 12% x $82,540 = $9,904.80

Total income allocation before bonus: $393,876

Net loss after subtracting salary allowance and interest: ($12,400)

No bonus is allocated as there is a net loss.

Profit allocated:
- Kimble: $99,000 + $14,332.80 = $113,332.80
- Sykes: $82,500 + $12,213.60 = $94,713.60
- Gerard: $75,900 + $9,904.80 = $85,804.80

For 2021:

- Kimble's salary allowance: 1,880 x $55 = $103,400
- Sykes's salary allowance: 1,620 x $55 = $89,100
- Gerard's salary allowance: 1,310 x $55 = $72,050
- Interest credited to Kimble's capital account: 12% x $113,332.80 = $13,599.94
- Interest credited to Sykes's capital account: 12% x $94,713.60 = $11,365.63
- Interest credited to Gerard's capital account: 12% x $85,804.80 = $10,296.58

Total income allocation before bonus: $396,628.55

Kimble and Sykes are eligible for a bonus of 10% x ($477,000 - $103,400 - $89,100 - $13,599.94 - $11,365.63 - $10,296.58) = $16,087.93 each.

Profit allocated:
- Kimble: $103,400 + $13,599.94 + $16,087.93 = $133,087.87
- Sykes: $89,100 + $11,365.63 + $16,087.93 = $116,554.56
- Gerard: $72,050 + $10,296.58 = $82,346.58

b. To prepare the statement of partners' capital for the year ending December 31, 2021, we need to calculate the ending capital balance for each partner based on the net income allocation and personal drawings.

Partner capital balances at beginning of 2021:
- Kimble: $113,332.80
- Sykes: $94,713.60
- Gerard: $85,804.80

Net income allocated:
- Kimble: $133,087.87
- Sykes: $116,554.56
- Gerard: $82,346.58

Less personal drawings (10% of beginning capital balance):
- Kimble: $11,333.28
- Sykes: $9,471.36
- Gerard: $8,580.48

Ending capital balances:
- Kimble: $234,087.39
- Sykes: $201,796.80
- Gerard: $159,571.90
- Nichols: $77,000.00 (25% of the book value of partnership property)

Therefore, the statement of partners' capital for the year ending December 31, 2021, would show:

Partner capital balances at beginning of 2021:
- Kimble: $113,332.80
- Sykes: $94,713.60
- Gerard: $85,804.80
- Nichols: $77,000.00

Add net income allocated:
- Kimble: $133,087.87
- Sykes: $116,554.56
- Gerard: $82,346.58
- Nichols: $0.00

Total:
- Kimble: $246,420.67
- Sykes: $211,268.16
- Gerard: $168,151.38
- Nichols: $77,000.00

Less personal drawings:
- Kimble: $11,333.28
- Sykes: $9,471.36
- Gerard: $8,580.48
- Nichols: $0.00

Ending capital balances:
- Kimble: $235,087.39
- Sykes: $201,796.80
- Gerard: $159,570.90
- Nichols: $77,000.00

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Related Questions

The current rate method of translation assumes that a foreign subsidiary is multiple choice question. a net asset that is exposed to foreign exchange risk. an investment that is not exposed to foreign exchange risk. a net liability that is exposed to foreign exchange risk.

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The current rate method of translation assumes that a foreign subsidiary is a net asset that is exposed to foreign exchange risk.

This is because the method involves converting the foreign subsidiary's financial statements to the parent company's reporting currency using the current exchange rate, which means any changes in exchange rates can impact the value of the subsidiary's net assets. Therefore, the method assumes that the subsidiary is exposed to foreign exchange risk, as its assets and liabilities are subject to fluctuations in exchange rates.

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Aries Inc. Took the following actions regarding its employees: (a) Aries agreed to pay Randy a $5,000 bonus for extra services that Randy voluntarily performed the previous year; (b) Aries agreed to pay Fred a $1,00 bonus in exchange for his promise not to breach an existing contract with Aries; and © Aries refused to perform a one-year contract with Hill because Areies had contractually agreed to pay Hill $30,000 pursuant to this contract, but his services were only worth $15,000

Answers

The answer of the following are:

(a) The agreement with Randy is legitimately restricting because Aries consented to it since it is a component of thought as it manages something of lawfully adequate worth given the trading of commitment.

(b) The agreement with Fred is likewise legitimately restricting, as Zafiris consented to pay him a $1,000 reward in return for his vow not to penetrate a current agreement. This shows that the two players have settled on the terms, and there is substantial thought.

(c) Yes it is deficient as Aries are qualified to decline to play out their agreement with Slope because the thought it is getting is lacking. Deficient alludes to a value that isn't equivalent in worth to the help being given It can make the agreement unenforceable.

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

Aries Inc. took the following actions regarding its employees: (a) Aries agreed to pay Randy a $5,000 bonus for extra services that Randy voluntarily performed the previous year; (b) Aries agreed to pay Fred a $1,000 bonus in exchange for his promise not to breach an existing contract with Aries; and (c) Aries refused to perform a one-year contract with Hill because Aries had contractually agreed to pay Hill $30,000 pursuant to this contract, but his services were only worth $15,000.

(a) Is the agreement with Randy legally binding?

(b) Is the agreement with Fred legally binding?

(c) Is Aries entitled to refuse to perform its contract with Hill because the consideration it is receiving is inadequate?

when determining a cost structure for a business model, equipment lease payments would be an example of a cost. a. fixed b. variable c. semi-variable d. static

Answers

When determining a cost structure for a business model, equipment lease payments would be an example of a Fixed cost.

The option (A) is correct.

Fixed costs will be costs that don't change when deals or creation volumes increment or lessen. This is because they are not straightforwardly connected with assembling an item or conveying help. Subsequently, fixed costs are viewed as backhanded costs.

These expenses are free of volume. Fixed costs will generally be costs that depend on time instead of the amount delivered or sold by your business. Instances of fixed costs are lease and rent costs, pay rates, service bills, protection, and credit reimbursements.

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Write an essay that you leared about T. L. E

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TLE means technology and education in livelihoods have evolved yearly and continue to improve. The classes are more difficult now, the professors are very, very different from those from last year, and just about every aspect of the topic, including how the students feel about it, has changed significantly this year.

Since my first year of TLE, this year has been the best because of the teachers as well as the lessons they have taught us. We initially began studying programming. It was initially very challenging and perplexing, but once you get used to the formulas and patterns, it will be simple. These subjects will put students' analytical thinking and foundational maths abilities to the test. This will be useful for our future work with object programming, particularly given how quickly technology is developing right now. In the second assessment, we discussed entrepreneurship and learned the requirements for starting a successful firm as well as how to go about doing so.

This is highly beneficial, especially for those pursuing careers in accounting, business, and management since it offers them an idea of what life can be like if they decide to become businessmen in the future. Finally, we covered e-commerce in the third evaluation. Although some students may not be particularly interested in the subject, those who pay close attention to the lectures have learned a lot.

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QUESTION THREE [30] The BMW Group continues to follow globaldevelopments in terms of both technological innovations andregulatory and ethical issues. Critically discuss any three (3)ethical models

Answers

The BMW Group is a German multinational company that produces luxury vehicles and motorcycles.The company produces cars under the BMW, Mini, and Rolls-Royce brands, and motorcycles under the BMW Motorrad brand.

About the three ethical models

The following are the three ethical models that can be discussed:

1. The Virtue Ethics Model: Virtue ethics emphasizes the development of moral character traits, such as honesty and integrity, as well as the cultivation of virtues such as courage and generosity. Virtue ethicists believe that if a person acts according to a set of ethical principles, he or she will automatically do the right thing.

The BMW Group can employ virtue ethics by developing a culture of accountability, honesty, and fairness, emphasizing the importance of ethical conduct and being a socially responsible organization.

2. The Utilitarian Model: Utilitarianism is a philosophical approach that suggests that the best course of action is the one that maximizes overall happiness and minimizes overall suffering.

3. The Deontological Model: Deontological ethics emphasizes the importance of following ethical rules and principles, regardless of the consequences. This approach is based on the belief that certain moral principles are absolute and should never be violated.

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Click this link to view o*net’s work styles section for executive administrative assistants. note that common work styles are listed toward the top and less common work styles are listed toward the bottom. according to o*net, what are common work styles needed by executive administrative assistants? check all that apply.

attention to detail
integrity
foreign language aptitude
biology background
dependability
cooperation

Answers

The common work styles needed by executive administrative assistants are attention to detail, integrity, dependability and cooperation.

An employee that offers high level administrative support to executives at work, including answering phones, setting up meetings, handling executive requests, and other office tasks, is known as an executive administrative assistant. They could also manage administrative tasks and direct less senior administrative staff. These workers can also be referred to as executive secretary or executive assistant in certain work environments.

This position requires a person with strong time management skills, solid judgment, and great verbal communication skills in order to meet deadlines. Today, executive administrative assistants work in almost every industry. Most people who work in offices do so full-time. Some people could work as virtual assistants from home.

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In order to gain efficient scales of operations, to merge compatible talents, or to share risks, alliance partners should: A. Form a partnership B. Combine the same value chain activities C, Adapt R&D efforts to use joint research and develop technical skills

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In order to gain efficient scales of operations, to merge compatible talents, or to share risks, alliance partners should consider: forming a partnership. The correct option is A.

A partnership allows companies to combine their strengths and resources, creating a synergy that benefits both parties. By sharing resources, companies can reduce costs and increase efficiency.

Additionally, partnership can help companies to merge compatible talents, enabling them to work together to achieve common goals. This is particularly important in industries where there are significant skill shortages, as it allows companies to tap into a broader pool of talent.

Another important consideration for alliance partners is to combine the same value chain activities. This allows for the sharing of resources, expertise, and knowledge across the supply chain, which can help to reduce costs and improve efficiency. For example, if two companies in the same industry are both involved in the production of a product, they can combine their production processes to streamline the supply chain and reduce waste.

Finally, it is important for alliance partners to adapt R&D efforts to use joint research and develop technical skills. By working together to develop new products or technologies, companies can share the risks associated with R&D and reduce costs. Additionally, joint research can help to accelerate the development of new products, giving companies a competitive advantage in the marketplace.

In conclusion, forming a partnership, combining value chain activities, and adapting R&D efforts are all important considerations for alliance partners. By working together, companies can achieve economies of scale, share risks, and benefit from the expertise of their partners, enabling them to compete more effectively in the marketplace. The correct option is A.

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Complete question:

In order to gain efficient scales of operations, to merge compatible talents, or to share risks, alliance partners should:

A. Form a partnership

B. Combine the same value chain activities

C. Adapt R&D efforts to use joint research and develop technical skills

The u. S. Dollar appreciated relative to other major trading currencies between 2014 and early 2016 primarily because.

Answers

The u. S. Dollar appreciated relative to other major trading currencies between 2014 and mid-2016 basically because the cost of unfamiliar products to the US expanded.

The option (A) is correct.

The expense of trading products will increment assuming that the worth of the dollar increments since global purchasers should pay more in USD for American merchandise. That shows that less American merchandise will probably be traded because of the expanded cost.

At the point when interest for the dollar builds compared with interest for different monetary standards, the worth of the dollar increments. This could happen when there are more regrettable monetary possibilities beyond the US or when there is more vulnerability all through the world since US government resources gain from being viewed as a place of refuge.

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

The u. S. Dollar appreciated relative to other major trading currencies between 2014 and early 2016 primarily because.

(A) the cost of unfamiliar products to the US expanded.

(B)  the most influential governmental actions.

(C) Firm-level capability, and Individual-level productivity.

Name a market that is an oligopoly (4-6 businesses dominating the market) and why is it hard to enter and stay in this market?

Answers

The airline sector is an example of an oligopoly market, with a few number of airlines dominating the market.

Why is it Difficult to enter an Oligopoly Sector?

Entering and staying in an oligopoly market  is troublesome on account of various reasons, including:

High obstacles to effort: Airlines demand important capital expenditure, including buying or hiring airplane, bringing in and preparation stick, and investing in shopping and exhibiting. This extreme cost of introduction create it challenging for new airlines to introduce stock exchange and equate settled performers.Economies of scale: Airlines benefit from economies of scale, that wealth that the cost for one decreases as the number of wholes created increases. Established airlines have previously achieved these savings of scale, making it troublesome for new entrants to face on cost.Brand dependability: Established airlines have amplified strong brand faithfulness over opportunity, making it disputing for new airlines to invite consumers away from these settled brands.Government rules: Airlines are thickly contingent the administration, making it disputing for new entrants to navigate the complex supervisory countryside and meet the differing necessities inevitable to operate marketing.

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discuss simon cooper's role as president of the ritz carlton hotel company found in your reading in strength finder of pp 41-46. if your team was selected as leadership consultants, based on your collective strengths what would you be adding to the business situation.

Answers

Simon Cooper was the President of The Ritz Carlton Hotel Company and his leadership style was influenced by his strength in relationship building, as identified in StrengthsFinder.

If my team was selected as leadership consultants for The Ritz Carlton Hotel Company, we would bring a diverse range of strengths to the table.

He was known for building and maintaining strong relationships with both employees and customers. He believed that taking care of employees would lead to better customer service and ultimately higher profits.

Cooper also valued innovation and creativity, as evidenced by the launch of the Ritz-Carlton Reserve brand. He was willing to take risks and invest in new ventures to keep the company at the forefront of the luxury hotel industry.

For example, if our team's strengths included strategic thinking, we could help the company identify new growth opportunities and develop a long-term strategic plan. If our team had strengths in execution, we could help implement new initiatives and ensure that they are carried out effectively.

Ultimately, we would work to complement the strengths of the existing leadership team and help drive the company towards continued success.

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Complete question is:

Discuss simon cooper's role as president of the ritz carlton hotel company. if your team was selected as leadership consultants, based on your collective strengths what would you be adding to the business situation.

Do you agree or disagree that the importance of warehousing and storage in health care delivery has been overrated by supply chain experts? solve

Answers

In general, the importance of warehousing and storage in healthcare delivery is critical. Efficient and effective management of healthcare supplies and equipment is essential for ensuring that healthcare facilities have the necessary items to provide quality patient care. This is particularly important in the context of emergency medical situations, where quick access to necessary supplies and equipment can mean the difference between life and death.

Additionally, warehousing and storage play a significant role in supply chain management within the healthcare industry. Proper inventory management and storage practices can help healthcare organizations reduce costs and minimize waste while ensuring that essential supplies and equipment are available when needed.

Supply chain experts generally recognize the importance of warehousing and storage in healthcare delivery and have developed best practices to optimize these processes. Therefore, it is unlikely that the importance of warehousing and storage in healthcare delivery has been overrated by supply chain experts.

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true or false? group purchasing organizations (gpos) have been found to save healthcare organizations a significant amount on supplies, which account for almost 30% of their total healthcare budget.

Answers

True. Group purchasing organizations (GPOs) have been found to save healthcare organizations a significant amount on supplies, which account for almost 30% of their total healthcare budget. GPOs negotiate contracts with suppliers on behalf of their member healthcare organizations, leveraging the combined purchasing power of these organizations to secure lower prices and better terms.

By aggregating demand and negotiating prices, GPOs can achieve cost savings of up to 10-20% on supplies.
In addition to cost savings, GPOs provide other benefits to their members, including access to a wider range of suppliers, streamlined procurement processes, and improved supply chain management. GPOs can also help healthcare organizations meet regulatory requirements, such as those related to healthcare disparities and environmental sustainability.
Despite these benefits, GPOs have faced criticism from some quarters, particularly around concerns about transparency and conflicts of interest. Critics argue that GPOs may not always act in the best interests of their member organizations, and may prioritize the interests of their supplier partners instead. However, many GPOs have implemented measures to address these concerns, such as disclosing their financial relationships with suppliers and implementing strict ethical guidelines.
Overall, while there are valid concerns about the role of GPOs in the healthcare supply chain, there is evidence to suggest that they can play an important role in helping healthcare organizations save money and improve their supply chain management.

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The payback method helps firms establish and identify a maximum acceptable payback period that helps in their capital budgeting decisions. Fuzzy Button Clothing Company is a small firm, and several of its managers are worried about how soon the firm will be able to recover its initial investment from Project Beta's expected future cash flows. To answer this question, Fuzzy Button's CFO has asked that you compute the project's payback period using the following expected net cash flows and assuming that the cash flows are received evenly throughout each year. Complete the following table and compute the project's conventional payback period. For full credit, complete the entire table. Note: Round the conventional payback period to two decimal places. Year O -4,000,000 Year 1 $1,600,000 Year 2 $3,400,000 Year 3 $1,400,000 Expected cash flow Cumulative cash flow Conventional payback period: The conventional payback period ignores the time value of money, and this concerns Fuzzy Button's CFO. He has now asked you to compute Beta's discounted payback period, assuming the company has a 7% cost of capital. Complete the following table and perform any necessary calculations. Round the discounted cash flow values to the nearest whole dollar, and the discounted payback period to the nearest two decimal places. For full credit, complete the entire table. Year o -4,000,000 Year 1 $1,600,000 Year 2 $3,400,000 Year 3 $1,400,000 Cash flow Discounted cash flow Cumulative discounted cash flow Discounted payback period: C Which version of a project's payback period should the CFO use when evaluating Project Beta, given its theoretical superiority? O O The discounted payback period The regular payback period One theoretical disadvantage of both payback methods-compared to the net present value method is that they fail to consider the value of the cash flows beyond the point in time equal to the payback period. How much value does the discounted payback period method fail to recognize due to this theoretical deficiency? $4,112,509 $1,607,836 $2,638,144 $1,142,817 O

Answers

The conventional payback period for Project Beta is 2.71 years, while the discounted payback period is 2.98 years, considering a 7% cost of capital. The discounted payback period method fails to recognize $4,112,509 due to this theoretical deficiency. Here option A is correct.

To calculate the conventional payback period, we need to determine the year when the cumulative cash flows become positive:

Year Expected cash flow Cumulative cash flow

0 -$4,000,000 -$4,000,000

1 $1,600,000 -$2,400,000

2 $3,400,000 $1,000,000

3 $1,400,000 $2,400,000

The cumulative cash flows become positive in Year 3. To determine the payback period, we need to calculate the fraction of the Year 3 cash flow required to reach the breakeven point:

$2,400,000 / $1,400,000 = 1.71

Therefore, the conventional payback period is 2.71 years.

To calculate the discounted payback period, we need to discount each cash flow to its present value using a 7% cost of capital:

Year Expected cash flow Discount factor Discounted cash flow Cumulative discounted cash flow

0 -$4,000,000 1.0000 -$4,000,000 -$4,000,000

1 $1,600,000 0.9346 $1,494,464 -$2,505,536

2 $3,400,000 0.8734 $2,968,716 $463,180

3 $1,400,000 0.8163 $1,144,834 $1,608,014

The cumulative discounted cash flows become positive in Year 3. To determine the discounted payback period, we need to calculate the fraction of the Year 3 discounted cash flow required to reach the breakeven point:

($1,608,014 - $463,180) / $1,144,834 = 0.976

Therefore, the discounted payback period is 2.98 years.

Given its theoretical superiority, the CFO should use the discounted payback period to evaluate Project Beta.

One theoretical disadvantage of both payback methods compared to the net present value method is that they fail to consider the value of the cash flows beyond the point in time equal to the payback period. The discounted payback period method fails to recognize $4,112,509 due to this theoretical deficiency.

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Explain the condition of treasury bill in ethiopia and its importance​

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The condition of Treasury bills in Ethiopia is relatively stable and serves an important role in the country's economy. Treasury bills are short-term debt instruments issued by the Ethiopian government to finance its budget deficits and control money supply.

They are considered low-risk and attractive to investors due to their backing by the government.The importance of Treasury bills in Ethiopia includes:

1. Providing a secure investment option for individuals and institutions, promoting savings and investment culture. 2. Supporting the Ethiopian government in managing its budget deficits by raising necessary funds.


3. Serving as a monetary policy tool for the National Bank of Ethiopia to regulate the money supply and maintain economic stability.

4. Establishing a benchmark for the interest rate structure in the Ethiopian financial market.

In summary, Treasury bills play a crucial role in Ethiopia's economy by promoting savings and investments, helping the government manage its budget, and maintaining economic stability.

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to find the total return on a share of stock, find the dividend yield and subtract any commissions paid when the stock is purchased and sold. true false

Answers

The given statement "To find the total return on a share of stock, find the dividend yield and subtract any commissions paid" is False because you would not subtract commissions paid.

While the dividend yield is a component of the total return on a share of stock, it is not the only factor to consider. The total return also includes any capital gains or losses resulting from changes in the stock's price.

To calculate the total return on a share of stock, you would need to factor in both the dividend yield and any changes in the stock's price over a specific period.

Additionally, commissions paid when purchasing or selling a stock would affect the investor's net return, but they do not impact the total return on the stock.

Total return reflects the actual return on the investment, which takes into account both the price appreciation or depreciation of the stock and any dividends paid out. Thus, to calculate the total return, you would not subtract commissions paid when buying and selling the stock.

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Use the sum-of-year depreciation method to calculate the depreciation for the
following scenario. Company XYZ bought a new machine for $100,000 and
expects the machine will last for 10 years.

Answers

Answer:

20%

Explanation:

How to Calculate Straight Line Depreciation

The straight line calculation steps are:

Determine the cost of the asset.

Subtract the estimated salvage value of the asset from the cost of the asset to get the total depreciable amount.

Determine the useful life of the asset.

Divide the sum of step (2) by the number arrived at in step (3) to get the annual depreciation amount.

Straight Line Example

Company A purchases a machine for $100,000 with an estimated salvage value of $20,000 and a useful life of 5 years.

The straight line depreciation for the machine would be calculated as follows:

Cost of the asset: $100,000

Cost of the asset – Estimated salvage value: $100,000 – $20,000 = $80,000 total depreciable cost

Useful life of the asset: 5 years

Divide step (2) by step (3): $80,000 / 5 years = $16,000 annual depreciation amount

Therefore, Company A would depreciate the machine at the amount of $16,000 annually for 5 years.

The depreciation rate can also be calculated if the annual depreciation amount is known. The depreciation rate is the annual depreciation amount / total depreciable cost. In this case, the machine has a straight-line depreciation rate of $16,000 / $80,000 = 20%.

Wu, inc. , purchased 200 shares of devito, inc. , at $12. 50 per share. Brokerage commissions were $80. Wu would debit for $

Answers

Answer: Wu, Inc. would debit $2,580 for the purchase of 200 shares of Devito, Inc.

Explanation: The total cost of the shares before commissions is $2,500 (200 shares x $12.50 per share). Adding the $80 brokerage commission gives a total cost of $2,580. Therefore, Wu, Inc. would debit $2,580 from their account for the purchase.

Basic Code Tech desires a 95% service level to compute their safety stock. Variance of demand over lead time is 64. We computed its new ROP to be 14.16. What is the demand rate per week if we assume its lead time L is one week?

Answers

In this case, the demand rate per week for Basic Code Tech is 1 unit.

How to determine the demand rate

Given that the new ROP (Reorder Point) is 14.16 and the lead time (L) is one week, we can determine the demand rate per week using the following formula:

ROP = Average Demand per Week + (Service Level Factor * √Variance)

In this case, ROP = 14.16, Service Level Factor is associated with the 95% service level, and Variance = 64.

To find the Service Level Factor (also known as Z-score) for 95%, you can use a standard normal distribution table or an online calculator.

For a 95% service level, the Z-score is approximately 1.645.

Now, plug the values into the formula and solve for the Average Demand per Week:

14.16 = Average Demand per Week + (1.645 * √64)

14.16 = Average Demand per Week + (1.645 * 8)

14.16 = Average Demand per Week + 13.16

Subtracting 13.16 from both sides:

Average Demand per Week = 1

So, the demand rate per week for Basic Code Tech is 1 unit.

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the u.s. small business administration supports small business through all of the following except group of answer choices government contracting. investing venture capital. underwriting loans. training and counseling.

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it’ll be investing venture capital

You are a senior manager in an American automobile company currently considering investing in automobile production facilities in Vietnam. Using relevant political, economic and legal risk indicators, assess the various levels of risks likely to be faced by the American firm.

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As a senior manager in an American automobile company currently considering investing in automobile production facilities in Vietnam, the various levels of risks likely to be faced by the American firm are:

Political risk indicators

The political stability of Vietnam has improved over the last two decades, but corruption is still prevalent in the country. It is crucial to comprehend the political risks associated with investing in Vietnam before making a significant investment. Although Vietnam is regarded as a communist country, the government's policies toward foreign investors have become increasingly pro-business, offering a promising investment climate. Vietnam has also entered into several free trade agreements (FTAs) in recent years, demonstrating its commitment to opening its markets to foreign businesses.

Economic risk indicators

The Vietnamese economy is developing at a rapid pace, and the government is actively encouraging foreign investment in the country. The country's GDP has increased by more than 6% annually over the last decade. The country is also a member of the ASEAN Free Trade Area and has signed numerous FTAs, including one with the United States, which may be beneficial to American companies investing in Vietnam. However, inflation and currency instability continue to be significant concerns for investors.

Legal risk indicators

Vietnam has made significant improvements in its legal system in recent years, including the introduction of new laws and regulations to promote foreign investment. However, investors should be aware that the Vietnamese legal system may be unfamiliar to them, and it is essential to seek legal counsel before making any significant investment decisions. Additionally, enforcing contracts in Vietnam can be difficult, and there is a risk of intellectual property theft in the country.

Therefore, investing in Vietnam as an American automobile company may have certain risks, but with appropriate analysis and caution, the potential benefits of investing in Vietnam outweigh the risks.

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Whistle Works manufacturers safety whistle keychains. They have the following information available to prepare their master budget: Whistle Works sells each whistle for $12. It takes 3 ounces of metal to produce each whistle at a cost of $0. 50 per ounce. They prefer to have 10% of materials required for the following month's production in ending inventory as well. What is the total cost of direct materials for November to meet production needs

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In the master budget that Whistle Works manufacturers prepares, the total cost of direct materials for November to meet production needs is  $16,500.

To calculate the total cost of direct materials for November, we need to consider the amount of materials required for production and the desired ending inventory level.

Whistle Works uses 3 ounces of metal to produce each whistle, and with a sales price of $12 per whistle, we can assume a contribution margin of $11.50 per unit.

Assuming Whistle Works plans to produce 10,000 units in November, they will need a total of 30,000 ounces of metal (3 ounces per unit x 10,000 units). The cost of metal per ounce is $0.50, so the total cost of direct materials for November is $15,000 (30,000 ounces x $0.50 per ounce).

However, Whistle Works also prefers to have 10% of the materials required for the following month's production in ending inventory. If they plan to produce 10,000 units in December as well, they will need an additional 30,000 ounces of metal.

Therefore, they will need to have 3,000 ounces of metal (10% of 30,000 ounces) in ending inventory for November. This adds an additional cost of $1,500 to the total cost of direct materials, bringing the total to $16,500 for November.

In summary, the total cost of direct materials for November to meet production needs is $16,500. This includes the cost of metal required for production as well as the cost of materials required for the desired ending inventory level.

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At the end of 2020, the records of Wolverine Corporation reflected the following.



Common stock, $10 par; authorized 100,000 shares: issued and outstanding throughout the year,


50,000 shares $500,000


Preferred stock, $50 par, 7%, cumulative, convertible into common stock, share for share;


authorized, 10,000 shares; issued and outstanding throughout year, 2,000 shares 100,000


Contributed capital in excess of par, common stock 80,000


Retained earnings (no dividends declared during the year) 470,000


Bonds payable, 10% nonconvertible, issued at par in 2016 150,000


Net income 120,000


Stock options outstanding (all year for 10,000 shares of common stock at $15 per share)


Income tax rate, 25%


Average market price of the common stock during 2020, $25 per share




Required



a. Is this a simple or a complex capital structure?


b. Compute the basic and Diluted EPS amounts

Answers

a. This is a complex capital structure

b. Basic EPS = (Net income - Preferred dividends) / Weighted average number of common shares outstanding.

Diluted EPS = $2.26

Diluted EPS = ($120,000 - $7,000) / 50,000 = $2.26 per share

Net income = $120,000
Preferred dividends = 2,000 shares x $50 par x 7% = $7,000
Weighted average number of common shares outstanding = 50,000 shares


Diluted EPS = (Net income - Preferred dividends) / (Weighted average number of common shares outstanding + potential common shares from options).



To calculate potential common shares from options, we use the treasury stock method:

Potential common shares from options = (Options exercisable at $15 - average market price) / $15

Potential common shares from options = (10,000 - $25) / $15 = -667 (rounded up).



Since the potential common shares from options are negative, we do not need to include them in the diluted EPS calculation.

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How is total revenue related to elasticity of demand.

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Total revenue is related to elasticity of demand because it measures the amount of money a firm receives from the sale of its goods or services. Elasticity of demand measures the responsiveness of demand to changes in price.

When demand is elastic, a change in price causes a larger change in quantity demanded, while inelastic demand results in a smaller change in quantity demanded in response to a change in price.When demand is elastic, a decrease in price will lead to an increase in the quantity demanded, which can result in an increase in total revenue.

Conversely, when demand is inelastic, a decrease in price will lead to a smaller increase in quantity demanded, which can result in a decrease in total revenue.For example, if a firm lowers the price of a product and the demand is elastic, consumers will respond by buying more of the product, resulting in an increase in total revenue for the firm. However, if the demand is inelastic, the firm may not see an increase in total revenue despite lowering the price.

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Which two benefits does RFID tagging offer for supply chain management? Choose 2 answers
a) track's a product journey from manufacturing facility to store
b) serves as a unique product identifier
c) discards, inconsistent, incorrect, or incomplete information
d) automates the different activities in the supply chain

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The two benefits that RFID tagging offer for supply chain management are: It serves as a unique product identifier It tracks a product's journey from manufacturing facility to store What is RFID tagging?RFID stands for Radio Frequency Identification.

It is an automatic technology that is used to identify objects, animals, and people through radio waves. RFID technology is widely used in supply chain management systems because it provides real-time visibility of inventory and assets. RFID tagging offers various benefits for supply chain management such as tracking a product's journey from the manufacturing facility to the store, serves as a unique product identifier, automates the different activities in the supply chain, and discards, inconsistent, incorrect, or incomplete information.

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hewitt inc. has entered into an equity swap arrangement that allows it to swap a fixed interest rate of 8 percent in exchange for the rate of appreciation on the dow jones industrial average each year over a three-year period. the notional principal is $1 million. if the dow depreciates by 1 percent over the year, hewitt will group of answer choices none of these are correct. have to make a payment of $70,000. receive a payment of $70,000. have to make a payment of $90,000. receive a payment of $90,000.

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If the Dow depreciates by 1 percent over the year, Hewitt will have to make a payment of $70,000. Option a is correct.

This is because the equity swap arrangement allows Hewitt to swap a fixed interest rate of 8 percent for the rate of appreciation on the Dow Jones Industrial Average. Since the Dow depreciated by 1 percent over the year, there was no appreciation, and Hewitt will have to make a payment based on the fixed interest rate of 8 percent on the notional principal of $1 million, which comes out to $80,000.

However, since the equity swap agreement specifies that Hewitt will receive a payment equal to the depreciation rate of the Dow, which is 1 percent, it will receive a payment of $10,000. Therefore, the net payment that Hewitt will have to make is $80,000 - $10,000 = $70,000. Hence Option a is correct.


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A marketing researcher for a phone company surveys 100 people and finds that that proportion of clients who are likely to switch providers when their contract expires is 0. 15. A. What is the standard deviation of the sampling distribution of the proportion? B. What is the probability that the sample proportion is between 0. 30 and 0. 40?

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The standard deviation of the sampling distribution is approximately 0.0357, and the probability of the sample proportion being between 0.30 and 0.40 is very low, close to 0.


A. To calculate the standard deviation of the sampling distribution of the proportion, we'll use the formula:

Standard Deviation (SD) = sqrt(p * (1 - p) / n)

where p is the proportion of clients likely to switch providers (0.15), and n is the sample size (100).

SD = sqrt(0.15 * (1 - 0.15) / 100)
SD = sqrt(0.15 * 0.85 / 100)
SD = sqrt(0.1275 / 100)
SD = sqrt(0.001275)
SD ≈ 0.0357

The standard deviation of the sampling distribution of the proportion is approximately 0.0357.

B. To find the probability that the sample proportion is between 0.30 and 0.40, we'll use the Z-score formula:

Z = (X - μ) / SD

where X is the sample proportion, μ is the population proportion, and SD is the standard deviation.

First, we'll calculate the Z-scores for both 0.30 and 0.40:

Z(0.30) = (0.30 - 0.15) / 0.0357 ≈ 4.203
Z(0.40) = (0.40 - 0.15) / 0.0357 ≈ 7.006

Since these Z-scores are far from the normal range (-1.96 to 1.96 for a 95% confidence interval), the probability of finding a sample proportion between 0.30 and 0.40 is extremely low, close to 0.

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Two categories of expenses in merchandising companies are:.

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The two categories of expenses in merchandising companies are Cost of Goods Sold (COGS) and Operating Expenses.

Cost of Goods Sold refers to the direct cost of producing or purchasing the products that a merchandising company sells. This includes the cost of materials, labor, and overhead associated with producing or purchasing the products. In other words, COGS is the cost of the inventory that a company sells during a given period.

Operating Expenses, on the other hand, are the indirect costs associated with running a merchandising company. This includes expenses such as rent, utilities, salaries, advertising, and taxes. Unlike COGS, operating expenses are not directly related to the production or purchase of inventory. Instead, they are the costs of running the business itself.

Final answer:

The two categories of expenses in merchandising companies are Cost of Goods Sold (COGS), which include the direct costs of producing goods sold and Operating Expenses, accounting for costs related to a company's operational activities.

Explanation:

Two primary categories of expenses in merchandising companies are Cost of Goods Sold (COGS) and Operating Expenses.

Cost of Goods Sold (COGS) represents the direct costs attributed to the production of the goods sold by a company. This amount includes the cost of materials used in creating the goods along with direct labor costs used to produce the goods.

Operating Expenses are the costs associated with a company's operational activities. These costs do not include the direct production of goods or services and can be influenced by a variety of factors such as rent, utilities, salaries, office supplies, and other overhead costs.

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Harry, harriet, and horance operate the triple h used car lot as a general partnership. pursuant to their agreement, each drives a triple h vehicle to and from work, makes various business trips about the city either from home or the lot, and keeps a "for sale" sign displayed in the vehicle’s windshield. each car is for sale at all times of the day and night and at any location. one afternoon, harriet was driving on a business trip when her car collided with one driven by paine, who was seriously injured. harriet’s conduct was found to be criminally negligent. in a tort action by paine against harry, harriet, and horance, both as individuals and as the triple h partnership, who is liable?

Answers

In this situation, all three partners, Harry, Harriet, and Horance, as well as the Triple H partnership, would be liable for the damages caused by Harriet's criminally negligent conduct.

1. In a general partnership, all partners are jointly and severally liable for the actions of the other partners that occur within the scope of the partnership's business.
2. Harriet's actions were within the scope of the partnership's business since she was driving a Triple H vehicle for a business trip and displaying the "for sale" sign in the windshield, as agreed by the partnership.
3. Even though Harriet's conduct was found to be criminally negligent, the liability extends to all partners and the partnership because the actions took place within the scope of the business.

Therefore, Paine can bring a tort action against Harry, Harriet, and Horance as individuals, and against the Triple H partnership, for the injuries caused by Harriet's negligence.

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Your firm has net income of $343 on total sales of $1,360. costs are $750 and depreciation is $120. the tax rate is 30 percent. the firm does not have interest expenses. what is the operating cash flow?

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If net income of $343 on total sales of $1,360. costs are $750 and depreciation is $120,tax rate is 30 percent. the firm does not have interest expenses then the operating cash flow is $430.

Operating cash flow can be calculated as follows:

Operating Income = Net Income + Depreciation

Operating Income = $343 + $120

Operating Income = $463

Next, we need to adjust for taxes:

Taxes = Tax rate x (Sales - Costs - Depreciation)

Taxes = 0.30 x ($1,360 - $750 - $120)

Taxes = $153

Therefore, the operating cash flow is:

Operating Cash Flow = Operating Income + Depreciation - Taxes

Operating Cash Flow = $463 + $120 - $153

Operating Cash Flow = $430

So the operating cash flow for the firm is $430.

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write short notes on the following:a.understanding the spend category.b.supllier market assesmentc.supplier surveyd.building the strategy

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Understanding the spend category refers to the detailed analysis of the organization's spending on products, goods, and services. The spend category is a system used to organize spending according to business needs, including the type of product or service being acquired and the total expenditure. Understanding the spend category helps businesses to identify savings opportunities and reduce costs through strategic procurement activities.

What is the meaning of supplier market assessment?

A supplier market assessment is a process of examining the supply market for potential suppliers. It entails identifying possible suppliers who can provide the required goods or services and assessing them based on various criteria. The criteria include the company's financial performance, business practices, quality standards, technical capabilities, and capacity to deliver goods or services. Supplier market assessment is critical in identifying reliable suppliers who can provide quality goods and services.

What is a supplier survey?

A supplier survey is a method of obtaining feedback from suppliers on various aspects of the business relationship, including quality, delivery times, and service levels. It aids in the identification of potential issues that may impact the supplier's ability to meet the organization's needs. The survey is an essential tool for collecting data and using it to improve supplier performance.

What is the meaning of building the strategy?

Building the strategy entails identifying the organization's goals and objectives and creating a roadmap for achieving them. The strategy outlines the activities that the business needs to undertake to attain its goals. Building the strategy involves analyzing market trends, identifying opportunities and risks, and developing action plans to address them. The strategy also outlines the resources needed to implement the plans and the timeline for achieving the objectives. Building the strategy is an iterative process that requires continuous monitoring and adjustment to ensure that it remains relevant and effective.

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