Answer:
Adler, Milton, and Bryant
1. Computation of each partner's share of the $72,000 net income for the year:
Adler Milton Bryant Total
First $30,000:
Capital allocation 6,000 9,000 15,000 30,000
Second $30,000:
Salary allowance 15,000 0 15,000 30,000
Remainder $12,000:
Shared equally 4,000 4,000 4,000 12,000
Total $25,000 $13,000 $34,000 $72,000
2. Closing Journal Entry to allocate the net income for the year:
Date Accounts and Explanation Debit Credit
Dec. 31 Income Summary $72,000
Adler, Capital $25,000
Milton, Capital 13,000
Bryant, Capital 34,000
To close Income Summary account to partners' capital.
Explanation:
a) Data and Calculations:
Net Income = $72,000
Sharing formula:
First $30,000 is divided based on the partners' capital balances.
Next $30,000 is based on service, shared equally by Adler and Bryant.
Remainder is divided equally.
Adler Milton Bryant Total
Capital balances $20,000 $30,000 $50,000 $100,000
Ratio of capital 2 : 3 : 5 10
First $30,000:
Capital allocation 6,000 9,000 15,000 30,000
Second $30,000:
Salary allowance 15,000 0 15,000 30,000
Remainder $12,000:
Shared equally 4,000 4,000 4,000 12,000
Total $25,000 $13,000 $34,000 $72,000
Issuance of common stock for cash affects which basic element of financial statements? Revenues Equity Losses Liabilities
Answer:
Equity
Explanation:
Gallardo Co. is involved in a lawsuit as a result of an accident that took place September 5, 2017. The lawsuit was filed on November 1, 2017 and claims damages of $1,000,000. (a) At December 31, 2017, Gallardo's attorneys feel it is remote that Gallardo will lose the lawsuit. How should the company account for the effects of the lawsuit? (b) Assume instead that a December 31, 2017, Gallardo's attorney feel it is probable that Gallardo will lose the lawsuit and be required to pay $1,000,000. How should the company account for this lawsuit? (c) Assume instead that at December 31, 2017, Gallardo's attorneys feel it is reasonably possible that Gallardo could lose the lawsuit and be required to pay $1,000,000. How should the company account for this lawsuit?
Answer:
Following are the solution to the given points:
Explanation:
In point a, As it would be impossible that although the failure of the lawsuit is remote, the same cannot be recorded as well as avoided.
In point b, Its prosecutor thinks Gallardo's failure of the case (which would be likely to occur) is therefore likely to be reported throughout the books, that legal expenses must be paid and the civil responsibility measured at $10,00000 credited.
In point c, In the case is fairly probable, this can occur only if it is reported throughout the corresponding Balance Sheet accounts.
Your enterprising uncle opens a sandwich shop that employs 7 people. The employees are paid $12 per hour, and a sandwich sells for $6. If your uncle is maximizing his profit, what is the value of the marginal product of the last worker he hired? What is that worker’s marginal product?
Answer:
Value of Marginal Product= 2
Worker Marginal Product = 12
Explanation:
Calculation for what is the value of the marginal product of the last worker he hired
Using this formula
Wages= MP*P
Let plug in the formula
12 = MP*6
Marginal Product = 12/6
Marginal Product= 2
Therefore the value of the marginal product of the last worker he hired will be 2
Now let calculate the worker marginal Product
Worker Marginal Product = 2*6
Worker Marginal Product = 12
Therefore the Worker Marginal Product will be 12
Debit cards and credit cards are which type of currency?
commodity money
representative money
fiat money
fake money
which of the following would be considered a want rather than a need for most people?
Edelman Engines has $16 billion in total assets — of which cash and equivalents total $120 million. Its balance sheet shows $3.2 billion in current liabilities — of which the notes payable balance totals $0.84 billion. The firm also has $7.2 billion in long-term debt and $5.6 billion in common equity. It has 400 million shares of common stock outstanding, and its stock price is $27 per share. The firm's EBITDA totals $1.404 billion. Assume the firm's debt is priced at par, so the market value of its debt equals its book value. What are Edelman's market/book and its EV/EBITDA ratios? Do not round intermediate calculations. Round your answers to two decimal places.
Answer:
market/book ratio = 1.93
EV/EBITDA ratio = 15.01
Explanation:
market/book ratio = market price per share / book price per share
market price per share = $27book value per share = $5,600,000,000 / 400,000,000 = $14market/book ratio = $27 / $14 = 1.93
EV/EBITDA ratio = EV (enterprise value) / EBITDA
enterprise value = market value of equity + total liabilities - cash & cash equivalents = $10,800,000,000 + $10,400,000,000 - $120,000,000 = $21,080,000,000EBITDA = $1,404,000,000EV/EBITDA ratio = $21,080,000,000 / $1,404,000,000 = 15.01
How does a market demand curve differ from an individual demand curve? How are they similar?
Answer:
The market demand curve shows the quantities demand by everyone who is interested in purchasing the product, while the term demand curve is used to describe the demand of an individual.
In the context of choosing an appropriate advertising media, at present the brands that cater to the older generations are not so quick to adopt social practices. Which of the following is most likely to be the reason behind this trend?
Answer:
Social media is a very good way of protesting because many many people go on social media sites and they can join in and instead of being abused by other people outside you can easily make a protest on video or a website.
Answer:
The reason for this is that older generations themselves aren't always quick to take up new social practices like younger generations, so using examples of trends in society may not be relevant to them and may make the company advertising come across as immature or not targeted towards their particular age group.
GRITO stock is currently selling for $46.10 a share. If the company is expected to pay a dividend of $5.60 a year from now and dividends are not expected to grow thereafter, what is the market capitalization rate (or, required rate of return) for a share of GRITO stock?
a. 7.56%
b. 8.23%
c. 10.50%
d. 12.15%
Answer:
d. 12.15%
Explanation:
The computation of the market capitalization rate is shown below:
As we know that
Market capitalization rate = Expected dividend ÷ current price
= $5.60 ÷ $46.10
= 12.15%
Hence, the market capitalization rate is 12.15%
Therefore the correct option is d. 12.15%
We simply applied the above formula so that the correct value could come
And, the same is to be considered
Last month Carlos Company had a $60,000 profit on sales of $300,000. Fixed costs are $120,000 a month. What sales revenue is needed for Carlos to break even? A. $420,000 B. $200,000 C. $360,000 D. $240,000
Answer:
B. $200,000
Explanation:
Contribution margin = Fixed costs + Profit
Contribution margin = $120,000 + $60,000
Contribution margin = $180,000
Contribution margin ratio = Contribution margin/Sales
Contribution margin ratio= $180,000/$300,000
Contribution margin ratio = 60%
Break-even sales revenue = Fixed costs/Contribution margin ratio
Break-even sales revenue = $120,000/60%
Break-even sales revenue = $200,000
Hence, $200,000 is the sales revenue needed for Carlos to break even
A corporation in 2017 expects a gross income of 500000, total operating expences of 400000, and teh capitol investments of 20000. in addition the corporation is able to declare 60000 of depreciation charges for the year. what is the expected taxable income and total federal income taxes owed for teh year 2017?
Answer:
Taxable income = Gross income - Total operating expenses - Depreciation
= 500,000 - 400,000 - 60,000
= $40,000
Federal corporate income tax rate in 2017 was 35% so income taxes are;
= 40,000 * 35%
= $14,000
When the air has reached 100% humidity, what will most likely follow?
Answer:
rain is most likley to follow
Explanation:
Marlow Company purchased a point of sale system on January 1 for $5,600. This system has a useful life of 4 years and a salvage value of $500. What would be the depreciation expense for the second year of its useful life using the double-declining-balance method?a. $1,275.b. $1,336.c. $2,550.d. $2,800.e. $1,400.
Answer:
Annual depreciation= $1,275
Explanation:
Giving the following information:
Purchase price= $5,600
Useful life= 4 years
Salvage value= $500
To calculate the annual depreciation, we need to use the following formula each year:
Annual depreciation= 2*[(book value)/estimated life (years)]
Year 1:
Annual depreciation= 2*[(5,600 - 500) / 4]
Annual depreciation= $2,550
Year 2:
Annual depreciation= 2*[(5,100 - 2,550) / 4]
Annual depreciation= $1,275
The shape of the production function reflects the law of diminishing marginal product of labor.a. Trueb. False
Answer: True
Explanation:
Looking at the Production Function you will notice that Output increases at different rates to input added. First output increases at an increasing rate then at a constant rate then at a decreasing rate.
This shows the concept of the Law of Diminishing Marginal returns because as more input(labor) was added, at some point the output started increasing at a decreasing rate till it gets to a point where marginal returns will be negative.
The reason for this is that each worker is now working with less capital than before (assuming capital doe not change) and so will only produce less.
Ptarmigan Company produces two products. Product A has a contribution margin of $85.80 and requires 11 machine hours. Product B has a contribution margin of $107.80 and requires 14 machine hours. Determine the most profitable product assuming the machine hours are the constraint.
Answer:
Product A $7.80
Explanation:
Calculation to Determine the most profitable product assuming the machine hours are the constraint.
PRODUCT A PRODUCT B
Contribution margin per unit $85.80 $107.80
÷Machine hours 11 14
=Contribution margin per bottle neck hour
$7.80 $7.70
Based on the above calculation Product A is the most profitable because product A profit Amount of $7.80 is higher than that of product B.
Sam spends all of his income on textbooks and hot dogs. The price of a textbook is $40 and the price of a hot dog is $0.5. If Sam is maximizing his utility and the marginal utility he derives from the last textbook he purchases is 400, then the marginal utility he derives from his last hot dog purchased must be:___________. A) 5 B) 10 C) 20 D) 400
Answer:
A) 5
Explanation:
Calculation for the marginal utility
Based on the information given the utility that sam will have to derive when he consume two goods will be maximum when:
Marginal Utility (textbooks)/Price of textbook = Marginal Utility (hotdogs)/Price of hotdogs
Hence,
400/40=Marginal Utility (hotdogs)0.5
Therefore for:
Marginal Utility (hotdog) = 10*0.5
Marginal Utility (hotdog)= 5
Therefore the marginal utility he derives from his last hot dog purchased must be: 5
What is an advantage of taking out a long-term loan instead of a short-term
loan?
A. A long-term loan usually requires a low debt-to-income ratio.
B. A long-term loan usually has a lower total cost.
C. A long-term loan usually has a lower interest rate.
D. A long-term loan usually requires no credit check.
One of the major advantages of taking a long-term loan is that a long-term loan usually has a lower interest rate. Therefore (C) is the correct option.
What is a long-term loan?A long-term loan is a financial instrument with a one-year maturity. Both private and public institutions are accepting applications for this loan. Collateral is generally needed for long-term loans.
The loan's interest rate is lower than that of a short-term loan because it must be repaid over a three-to ten-year period.
Therefore, (C) is the correct option.
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A borrower signs the note and mortgage for a re-finance on his principal residence on Thursday, Dec. 31. What is the earliest day the funds for this loan could be disbursed (assuming no bona fide financial hardship)?
Answer: The earliest the funds could be disbursed would be Wednesday the 6th.
Explanation:
Federal holidays and Sundays are not counted when considering the 3business days rescission period for loans principal residences. The borrower has the opportunity till midnight on these 3 business days after landing papers are signed, the days are Saturday, Monday and Tuesday. With this consideration's, the earliest the funds could be disbursed would be Wednesday the 6th.
Determine the internal rate of return for a project that costs $167,000 and would yield after-tax cash flows of $22,000 per year for the first 5 years, $30,000 per year for the next 5 years, and $43,000 per year for the following 5 years. a) 14.94% b) 11.97% c) 13.38% d) 11.51% e) 14.19%
Answer:
e) 14.19%
Explanation:
Let IRR be x% . At IRR, Present value of inflows = Present value of outflows.
167,000 = 22000/1.0x + 22000/1.0x^2 + 22000/1.0x^3 + 22000/1.0x^4 + 22000/1.0x^5 + 30,000/1.0x^6 + 30,000/1.0x^7 + 30,000/1.0x^8 + 30,000/1.0x^9 + 30,000/1.0x^10 + 43000/1.0x^11 + 43000/1.0x^12 + 43000/1.0x^13 + 43000/1.0x^14 + 43000/1.0x^15
x = 0.1419
x = 14.19%
Hence, the internal rate of return for the project is 14.19%
Assume you joined as a Professor to a department. The tale of Professor John Smith and his grade book filled with Fs was told by one generation of faculty to the next with a mix of envy, awe and delight. If there was one thing you could be sure of, there was no grade inflation your new department, whose culture was formed primarily by: *
Answer:
Bruh
Explanation:
Oslo Company prepared the following contribution format income statement based on a sales volume of 1,000 units (the relevant range of production is 500 units to 1,500 units):Sales $ 80,000Variable expenses 52,000Contribution margin 28,000Fixed expenses 21,840Net operating income $6,1601. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, what would be the net operating income?2. If the variable cost per unit increases by $1, spending on advertising increases by $1,700, and unit sales increase by 240 units, what would be the net operating income?3. What is the break-even point in unit sales?4. What is the break-even point in dollar sales?5. How many units must be sold to achieve a target profit of $16,800?
Answer:
1. If the selling price increases by $2 per unit and the sales volume decreases by 100 units, what would be the net operating income?
net operating income = $73,800 - $46,800 - $21,840 = $5,160
2. If the variable cost per unit increases by $1, spending on advertising increases by $1,700, and unit sales increase by 240 units, what would be the net operating income?
net operating income = $99,200 - $65,720 - $23,540 = $9,940
3. What is the break-even point in unit sales?
780 units
4. What is the break-even point in dollar sales?
$62,400
5. How many units must be sold to achieve a target profit of $16,800?
1,380 units
Explanation:
contribution margin per unit = $28,000 / 1,000 = $28
fixed expenses = $21,840
break even point = $21,840 / $28 = 780 units
($21,840 + $16,800) / $28 = 1,380 units
Here is a attached photo to my problem needing a answer
Answer:
That is a good photo that is a problem that needs an answer.
Explanation:
It doesn't have a photo :))
Lollipop, Inc., is expected to grow at a constant rate of 9 percent. The company will pay a dividend of $2.75 next year and the current price of the stock is $37.35. If investors require a return of 18% on similar stocks, how much is the stock worth and is it a good buy?
a . No, it is not a good buy because the stock is worth $30.56
b. Yes, it is a good buy because the stock is worth 37.35
c. No, it is not a good buy because the stock is worth $9.50
d. None of the above
Answer:
a . No, it is not a good buy because the stock is worth $30.56
Explanation:
Calculation for how much is the stock worth and is it a good buy
Using this formula
Stock worth=D1/(Required return-Growth rate)
Let plug in the formula
Stock worth=2.75/(0.18-0.09)
Stock worth=2.75/0.09
Stock worth=$30.55
Stock worth=$30.56(Approximately)
Based on the above calculation we can see that the current price of the stock of the amount of $37.35 is higher than the current worth amount of the stock of the amount of $30.56 which indicates that " No, it is not a good buy because the stock is worth $30.56"
A job was budgeted to require 4 hours of labor per unit at $11.00 per hour. The job consisted of 7,000 units and was completed in 24,000 hours at a total labor cost of $312,900. What is the direct labor rate variance?
Answer:
$48,900 Adverse
Explanation:
The direct labor rate variance seeks to establish the difference in the wage rate that was budgeted for and the one actually incurred on the quantities used.
direct labor rate variance = Aq × Ap - Aq × Sp
= (24,000 hrs × $13.04) - (24,000 hrs × $11.00)
= $312,900 - $264,000
= $48,900 Adverse
A tax may be used as a corrective device in the case of a negative externality because it will __________ marginal private costs and __________ supply.
Answer:
b. increase; increase
Explanation:
As if there is taxes so it increased the marginal private cost and reduce the supply. If the tax is imposed so it rise the production cost i.e. the raw material prices are more that ultimately increased the final cost
So here the marginal private cost would be increased
In the case when there is a rise in the cost so the producer would have lower money so that he or she is able to decreased the suppply on the other hand the demand of the consumer would be decreased due to rise in prices.
So, the supply would also be increased
Hence, the correct option is b.
A worker wants to set aside some money for retirement, hoping to live off the interest income. If the interest rate is 10% and the worker wishes to draw interest of $50,000 per year, how much should the worker save before retirement? a) 50,000,000 b) 1,000,000 c) 10,000,000 d) 500,000
Answer:
d) 500,000
Explanation:
The amount that the worker is expected to save before retirement is the present value of the expected annual withdrawal using the interest rate of 10% as the discount rate:
savings balance at retirement=yearly cash withdrawal/interest rate
yearly cash withdrawal=$50,000
interest rate=10%
savings balance at retirement=$50,000/10%
savings balance at retirement$500,000
Federal facilities, and the security measures they require, are divided into five levels. A ________ facility has more than 450 employees, 80,000 to 250,000 square feet of office space, and a high volume of public contact.
Answer:
Level IV
Explanation:
Security levels of United States Federal buildings are used to allocate safety measures such as glazing to reduce injury from broken glass, distance for traffick to the building, and prevention of building collapse.
There are levels one to five.
Level IV facilities has more than 450 employees, 80,000 to 250,000 square feet of office space, and a high volume of public contact.
Usually used by law enforcement or ntelligence agencies such as ATF, FBI, DEA, and Federal courts
What analysis considers both the impact on the cot and availability outcomes in determining at what level each maintainenance action will be performed, contributing to a cost-effective preventative maintainence program?
Answer:
Level of repair analysis (LORA)
Explanation:
Level of repair analysis (LORA) is used by businesses to determine the optimal time for repair, replacement, or discarding of an aseet.
It takes into consideration cost of the proposed activity and operational readiness or availability outcomes of the business.
For example when a production process contains many assemblies LORA is a great way to provide prompt replacement or disposal of parts that could adversely affect performance.
Since optimal performance is being attained in production process, it will result in a cost-effective preventative maintainence program
A fruit juice company decides to focus on its specialty of creating fruit juice and to rely on other business partners to fill in the supply chain gaps. Which strategy is this juice company creating? a. a pricing strategy b. a marketing strategy c. a channel strategy
Answer:
The correct answer is the option B: a marketing strategy.
Explanation:
To begin with, when it comes to the term of deciding whether how to operate the primary business of the company and how to explode it as much as it can be exploded then we are talking about a marketing strategy that it has to be defined by the managers of the organization and that is due to the fact that in that strategy they will see how to communicate that the product is in sale, to whom the product should be sold, which is the price at what the price should be sold and where and when the product should be sold. So basicaly the marketing campaign will focus on how the product should be taken care in order to sell more and increase the profits and by deciding that the rest of the supply chain should be taken care by other business partners then the decision will be taken from the marketing strategy.
In this scenario, the juice company is creating a channel strategy by relying on other business partners to fill in the supply chain gaps
A channel strategy means a company's plan to move its product through a distribution chain to the final consumers
Here, the fruit juice company does not want to distribute the product to the end user itself, rather, its wishes to rely on the business partners to fill in the supply chain gaps.
Therefore, the strategy been created by the fruit juice company is known as channel strategy.
In conclusion, the Option C is correct.
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Among us how can u play on a school iPad
Answer:
pretty sure you canttttttttttttttttttttttttt