Greg's Corner Bakery purchased a lot in Bozeman six years ago at a cost of $98,700. Today, that lot has a market value of $128,900. At the time of the purchase, the company spent $6,500 to level the lot and another $12,000 to install storm drains. The company now wants to build a new facility on the site at an estimated cost of $494,200 ($400,000 for the property and $94,200 for ovens, mixers, and other equipment). What amount should be used as the initial cash flow for the net fixed assets of this project

Answers

Answer 1

Answer:

Ye

Explanation:


Related Questions

What can a government do to best redistribute wealth?

A. Put tariffs and duties in place to collect revenue.

B. Offer government-owned lands for sale to the public.

C. Encourage the creation of small businesses by means of grants.

D. Adopt of a progressive tax system.

Answers

I got the answers A it was on the o internet

A stock has no dividends. The last period's FCFF is $4.98 and it has an estimated annual free cash flow growth rate of 8%. The WACC for this stock is 8.3% and its long term growth rate is 2.46%. It also has an ROE of 12.4%. You also found out that the firm has debt per share of $25.61. What it the estimated intrinsic value using the constant state FCFF method

Answers

Answer:

The estimated intrinsic value is $92.10

Explanation:

As per given data

FCFF = $4.98

Annual Free cash flow growth = 8%

WACC = Required rate od return = 8.3%

Long term growth rate = 2.46%

ROE = 12.4%

Use following formula to calculate the Intrinsic value

Intrinsic value = FCFF x ( 1 + Annual Free cash flow growth ) / ( WACC - Long term growth rate )

Placing values in the formula

Intrinsic value = $4.98 x ( 1 + 8% ) / ( 8.3% - 2.46% )

Intrinsic value = $92.10

I’ll give you 100 points

What is the discount offered on the AirPod pros “thank you” screen

25%

40%

50%

Answers

Answer: 40%

Explanation:

The discount offered on a product refers to the percentage value given off on the original cost of the product. In some cases, discount may also involve giving off a fixed amount on the original price.

The percentage discount offered on a product may differ depending on the marketing strategy or competition being faced from rival products.

The discount percent which is being circulated on various websites and stores on the sale of Airpod pros is about 40%.

Therefore, the percentage discount on sale being offered on the sale of Airpod pros is approximately 40%.

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Which of the following is not a travel, hospitality, and tourism career?
A. Chef
B. Pilot
C. Curator
D. Truck driver

Answers

Answer:

I think its cyan because a chef is hospitality, pilot is tourism, and truck driver is travel

Answer:

I think its chef

Explanation:

Camille Keegan sells lamps for $92.10 that cost her $62.00. What is Camille's percent markup based on the selling price? (Round to nearest hundredth percent.)

Answers

Answer:

Mark-up= 0.4859 = 48.59%

Explanation:

Giving the following information:

Camille Keegan sells lamps for $92.10 that cost her $62.00.

To calculate the mark-up, we need to use the following formula:

Mark-up= (selling price/unitary cost) - 1

Mark-up= (92.1/62) - 1

Mark-up= 0.4859 = 48.59%

In the spirit of a SWOT analysis, a company’s strengths are defined somewhat relative to:_______

a. behavior of non-buyers.
b. competitors’ misfortunes.
c. other providers in the marketplace.
d. customer satisfaction levels.

Answers

Answer:

c. other providers in the marketplace.

Explanation:

SWOT analysis can be defined as a strategic technique which is used by organizations to plan through the identification of its strength, weakness, opportunities and threats in relation to its business.

The internal environment of an organization such as employees, policies, management and culture offers an organization strength.

In the spirit of a SWOT analysis, a company’s strengths are defined somewhat relative to other providers in the marketplace. This ultimately implies that, when its close rivals in the same industry or market are not coordinated, organized, effective and efficient in their provisions of goods and services, it gives the organization a competitive advantage (strength) over them. Thus, an organization should always ensure that it uses the weakness of other providers in the marketplace as its own strength to achieve excellence.

31.Robin Company uses a periodic inventory system. Use the following details to calculate the cost of goods sold. Beginning merchandise inventory $2,000 Ending merchandise inventory 2,300 Purchases 22,000 Purchase Discounts 700 Purchase Returns and Allowances 1,500 Freight In 4,200

Answers

Answer:

$23,700

Explanation:

First, we need to calculate the cost of goods purchased

Cost of goods purchase = Purchases - Returns and allowances - Discounts + Freights in

= $22,000 - $1,500 - $700 + $4,200

= $24,000

Cost of goods sold using periodic inventory system

Cost of goods sold = Beginning inventory + Cost of goods purchased - Ending inventory

= $2,000 + $24,000 - $2,300

= $23,700

Bob inspires his employees to follow a vision, facilitate change, and create a strongly positive climate. Bob is a(n) _______ leader.

Answers

Answer:

Authoritative leader.

Explanation:

This is explained to be an effective leadership pattern that dictates certain forms and policies to everyone who finds himself under the said leader. Its usefulness is well seen in certain industries and organizations where decisions have to be made urgently and efficiently, and where it is important that certain tasks are performed during a specific way and there's little room for mistakes, like in construction, manufacturing and also the military. Using this sort of leadership prevents the possibilities of projects getting sidelined by an absence of organization or solid deadlines, and allows team members to target particular tasks without having to participate within the complex decision-making process.

The real risk-free rate is 3.05%, inflation is expected to be 3.60% this year, and the maturity risk premium is zero. Ignoring any cross-product terms, i.e., if averaging is required, use the arithmetic average, what is the equilibrium rate of return on a 1-year Treasury bond? - Google Search

Answers

Answer:

6.65%

Explanation:

Real risk-free rate = 3.05% (r*)

Expected inflation = 3.60% (IP)

Maturity risk premium = zero

1-year bond yield = r* + IP

1-year bond yield = 3.05% + 3.60%

1-year bond yield = 6.65%

Hence, the equilibrium rate of return on a 1-year Treasury bond is 6.65%

O'Donnell Company makes computer chips. Sam is manager of the company's maintenance department. Because his maintenance technicians are so well trained in maintaining expensive and sensitive circuit board stamping equipment, Sam has been authorized to contract to perform maintenance for outside customers. In this company, the maintenance department is likely organized as

Answers

Answer:

Profit center

Explanation:

Proft center is simply a type or form of programs or services that is given (offered) within organization or a club operations that gives an additional revenue and profits to their bottom line product/services. It is also referred to as a type of strategic business unit.

Profit Centers are set up to Increase Revenue and Profitability by/usually offered for additional fee and less dependence on monthly dues

Insurance offers consumers

A. protection from the costs of unplanned events.
B. a guarantee that a business will succeed.
C. income to help start a new business venture.
D. full reimbursement after business setbacks.

Answers

I think answer it’s A umm I was confused by c but I think the right one it’s A

Insurance is a means of protection that offers financial, medical and many sorts of supports at the time of need. The insurance can range from car to loan to many multiple things.

Hence its  a sort of protection for the unknown costs and protects us from unknown events.

Hence the option A is correct.

Learn more about the insurance offers consumers.

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Which of these are examples of securities? Check all that apply.
a certificate representing ownership of a corn harvest
a bar of gold stored in an investor's home
a stack of lumber stored at an investor's warehouse
a stock
a bond

Answers

Answer:

a certificate representing ownership of a corn harvest

a stock

a bond

Explanation:

did it on edg

A certificate representing ownership of a corn harvest, a stock, or a bond. is this correct according to the question.  

What is Corn Harvesting?

Because freshly picked corn is a delight and tastes far better than corn from the grocery store, gardeners are ready to invest their time and garden space in cultivating it. When the corn is at its absolute best, harvest it. If left alone for too long, the kernels get hard and starchy.

One of the most crucial aspects of a quality crop is knowing when to harvest the corn. About 20 days after the silk first develops, corn is ready for harvest. The husks are still green during harvest time while the silk goes brown.

Early in the morning is the finest time to harvest corn. Pull down while holding the ear firmly, then twist and pull. Usually, it is simple to remove from the stalk. For the first few days, only harvest what you can consume in a day, but be careful to gather the entire crop while it is still in the milky stage.

To learn more about Corn Harvesting follow the link.

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Which type of work would include providing advice to managers on how to reduce the organization's costs?
OA public relations manager
B. management analyst
OC. marketing researcher
OD
H.R. manager

Answers

Answer:

B. management analyst

Explanation:

A management analyst helps an organization by seeking ways to increase revenue, reduce costs, and become more profitable. They study an organization's design, systems, and procedures and advise management on improving efficiency. Management analysts or management consultants work as private consultants. However, some large organizations employ them. Management analysts regularly work in the business field.

Answer:

B. management analyst

Explanation:

Consider the following information: Portfolio Expected Return Standard Deviation Risk-free 6 % 0 % Market 10.8 24 A 8.8 13 a. Calculate the Sharpe ratios for the market portfolio and portfolio

Answers

Answer:

Sharpe ratio of market portfolio = 0.2

Sharpe ratio of market portfolio = 0.2154

Explanation:

Calculation for the Sharpe ratios for the market portfolio and portfolio A

Market portfolio

Using this formula

Sharpe ratio of market portfolio = (Expected return of portfolio - Risk free return on portfolio)/ Standard deviation

Let plug in the formula

Sharpe ratio of market portfolio= (10.8 - 6)/24

Sharpe ratio of market portfolio=4.8/24

Sharpe ratio of market portfolio = 0.2

Portfolio A

Using this formula

Sharpe ratio of portfolio A = (Expected return of portfolio - Risk free return on portfolio)/ Standard deviation

Let plug in the formula

Sharpe ratio of portfolio A= (8.8 - 6)/13

Sharpe ratio of portfolio A=2.8/14

Sharpe ratio of portfolio A= 0.2154

Therefore the Sharpe ratios for the market portfolio is 0.2 and portfolio A is 0.2154

An account is governed by compound interest. The interest for three years on $480 is $52. Find the amount of discount for two years on $1000.

Answers

Answer:

$66.27

Explanation:

using the present value formula:

($480 + $52) = $480 / (1 + r)³

$532 = $480 / (1 + r)³

(1 + r)³ = $532 / $480 = 1.108333

∛(1 + r)³ = ∛1.108333

1 + r = 1.0349

r = 0.0349 = 3.48%

if you are going to discount $1,000 by 3.48% during 2 years:

PV = $1,000/1.0348² = $933.73

the discount = $1,000 - $933.73 = $66.27

ABC's current dividend is $5 and has an annual growth rate of 6%. What would be the current price of a share of ABC stock if investors require 20% rate of return

Answers

Answer:

$37.86

Explanation:

Calculation for the current price of the share

Using this formula

Current price=D1/(Required return-Growth rate)

Let plug in the formula

Current price=(5*1.06)/(0.2-0.06)

Current price=5.3/0.14

Current price=$37.86

Therefore the current price of the share will be

$37.86

what does ip address mean??

Answers

Answer:

It is where you live and more stuff I forgot

For fixed costs of $2,000, revenue per unit of $2, and variable cost per unit of $1.60, the break-even quantity is:

Answers

Answer:

Break even in units = 5000 units

Explanation:

Break even quantity or break even in units is the quantity of units that must be sold in order for the company to break even. Break even is a situation where the total revenue of the business equals its total costs and there is a situation of no profit and no loss.

The formula to calculate break even quantity is,

Break even in units = Fixed costs / Contribution margin per unit

Where,

Contribution margin per unit = Selling price per unit - Variable cost per unit

Contribution margin per unit = 2 - 1.6  =  $0.4

Break even in units = 2000 / 0.4

Break even in units = 5000 units

A substantial percentage of the companies listed on the NYSE and the NASDAQ don’t pay dividends, but investors are nonetheless willing to buy shares in them. How is this possible given your answer to the previous question?

Answers

Answer:

There are several ways in which corporations are valued, one of them is the dividend discount model, and the most common is the discounted cash flow model. When a corporation doesn't pay dividends, it can invest that money in future or existing projects, which will eventually increase the corporation's net income. Remember that $1 distributed to shareholders is $1 less that can be invested.

Of course stockholders love dividends, but a firm that pays a really high dividend payout ratio will not grow. Sooner or later that will ultimately hurt the corporation and jeopardize its future. The higher the dividend payout ratio, the lower a corporations sustainable growth rate.

In the kinked demand curve theory, price elasticity of demand is __________ at prices above the kink than below the kink. It follows that a price hike above the kink will reduce quantity demanded by __________ than a price cut below the kink will __________ quantity demanded.

Answers

Answer:

In the kinked demand curve theory, price elasticity of demand is GREATER at prices above the kink than below the kink.

It follows that a price hike above the kink will reduce quantity demanded by A PROPORTIONALLY HIGHER AMOUNT than a price cut below the kink will REDUCE IN A LESS THAN PROPORTIONAL AMOUNT THE quantity demanded.

Explanation:

A kinked demand curve refers to a demand curve that is not a straight line, and the price elasticity of demand varies depending on the price of the goods or services. The kinked demand curve model is generally used when trying to explain how oligopolies exist and why their prices tend to be sticky or rigid above the kink of the curve (due to higher price elasticity).

5.A 15-year corporate bond has a par value of $100,000 and a 4.5% annual coupon rate. Assume that your required rate of return is 8% and that you plan to hold onto this bond for 10 years. You and the market have expectations that in 10 years the yield-to-maturity for this bond (or another bond with similar risk and maturity) will be 10%. How much are you willing to pay for this bond today

Answers

Answer:

$66,857.55

Explanation:

The price of the bond in 10 years will be:

PV of face value = $100,000 / (1 + 10%)⁵ = $62,092.13

PV of coupon payments = $4,500 x 3.7908 (PV annuity factor, 10%, 5 periods) = $17,058.60

market value in 10 years = $79,150.73

In order to determine the price that you are willing to pay for the bond:

PV of market value in 10 years = $79,150.73 / (1 + 8%)¹⁰ = $36,662.10

PV of coupon payments = $4,500 x 6.7101 (PV annuity factor, 8%, 20 periods) = $30,195.45

Price you should be willing to pay = $66,857.55

In 2020, a company receives advance payments from its customers. The company will deliver the products in 2021. At the end of 2020, the company will __________ related to this transaction (enter 1, 2, 3, or 4 that represents the correct answer).

1. record a deferred tax asset

2. record a deferred tax liability

3. have a permanent difference

4. report no difference between financial income and taxable income for 2020.

Answers

Answer:

In 2020, a company receives advance payments from its customers. The company will deliver the products in 2021. At the end of 2020, the company will ____1______ related to this transaction (enter 1, 2, 3, or 4 that represents the correct answer).

1. record a deferred tax asset

Explanation:

For having paid income tax in 2020 on the cash received for deferred revenue, the company will record a deferred tax asset.  This deferred tax asset will then be offset in 2021 when the sales revenue will be recorded according to the financial income accounting.  Deferred tax asset arises from the overpayment or advance payment of taxes.  The opposite of a deferred tax asset is called a deferred tax liability, representing income tax owed, which will be settled in the coming years.

You manage an equity fund with an expected risk premium of 11.4% and a standard deviation of 28%. The rate on Treasury bills is 5.2%. Your client chooses to invest $50,000 of her portfolio in your equity fund and $150,000 in a T-bill money market fund. What is the expected return and standard deviation of return on your client’s portfolio? (Round your answers to 2 decimal places.)

Answers

Answer:

The Expected return of the Portfolio is 8.05% and the standard deviation is 7%

Explanation:

The computation is shown below:

Given that

T-bill rate or risk-free rate = 5.20%

The Expected Risk premium of fund = 11.40%

As we know that

Expected Return of Equity = Risk premium + Risk free rate

= 11.4%+5.2%

= 16.60%

Now  

Weight of equity fund is

= $50,000 ÷ ($50,000 + $150,000)

= 0.25

And,  

Weight of T-bills is

= $150,000 ÷ ($50,000 + $150,000)

= 0.75

Also the correlation between risk free and the fund would always be zero  

The Standard deviation of Equity fund= 28%

ANd, the Standard deviation of T-bills= 0

Now

Expected return Portfolio = (weight of fund × expected return) + (weight of risk free × rate of return)

= (0.25 × 16.60%) + (0.75 × 5.2%)

= 8.05%

And,

The standard deviation of the portfolio (σp) is

= √(wA × standard deviation of A )^2 + (wB × standard deviation of B ) ^2 + (2 × wA × wB × standard deviation of A  ×standard deviation of A ×  rBM)

= √((0.25 × 28%)^2 + (0.75 × 0%)^2 + (2 × 0.25 × 0.75 × 28% × 0% × 0))

= 7.00%

Hence, the Expected return of the Portfolio is 8.05% and the standard deviation is 7%

A company called and redeemed a $500,000, 7% bond issue at 98. If the unamortized discount is $4,000, the entry will include a:________

a. Debit to loss on bond retirement for $6,000
b. Credit to gain on bond retirement for $6,000
c. Debit to loss on bond retirement for $4,000
d. Credit to gain on bond retirement for $4,000

Answers

Answer:

Option B

Explanation:

Bonds payable will be debited because it was a liability to be paid when we issue bonds we debit the cash and credit the bonds payable. gain on redemption, discount and cash will be credited.

B. Credit to gain on bond retirement for $6,000  

Dr Bonds Payable                           500,000

Cr Gain on retirement                                     6,000

Cr Discount on Bonds Payable                     4,000

Cr Cash                                                             490,000

Marcie's has sales of $179,600,depreciation of $14,900, costs of goods sold of $138,200, and other costs of $28,400. The tax rate is 35 percent. What is the net income

Answers

Answer:

-$1,235

Explanation:

Marcie's has a sales of $179,600

Depreciation is $14,900

Cost of goods sold is $138,200

Other costs is $28,400

Tax rate is 35%

Therefore the net income can be calculated as follows

= (sales - other costs-cost of goods sold-depreciation)(1-tax rate)

= (179,600-28,400-138,200-14,900)(1-35/100)

= -1,900 × 1-0.35

= -1,900 × 0.65

= -$1,235

Hence the net income is -$1,235

A company offers bonds at a discount price of $800 for a 4% $1,000 bond that matures in 20 years with a dividend payable semi annually. What is the closest effective interest rate per year, compounded semiannually

Answers

Answer:

5.69 %

Explanation:

The Interest rate on this Bond is its Yield to Maturity (YTM) and is calculated as  :

PV = - $800

PMT = ($1,000 × 4%) ÷  2 = $20

N = 20 × 2 = 40

P / Yr = 2

FV = $1,000

YTM = ?

Using a financial calculator to input the data as above, the Yield to Maturity on this Bond is 5.6870% or 5.69 %

Phoenix Financial Ltd. has suffered losses in recent years, and its stock currently sells for only $0.50 per share. Management wants to use a reverse split to get the price up to a more "reasonable" level, which it thinks is $25 per share. How many of the old shares must be given up for one new share to achieve the $25 price? Assume this transaction has no effect on total market value.

Answers

Answer:

Phoenix Financial Ltd.

For one new share to achieve the $25 price, 50 of the old shares must be given up.

Explanation:

a) Data and Calculations:

Current stock price = $0.50

Reverse stock split to get the price up to a more "reasonable" level = $25 per share

To calculate the number of shares to be give up $25/$0.50 = 50 shares

b) Reverse stock split takes place when the company wants to shore up the per unit stock price. It consolidates the number of existing shares of stock into fewer, proportionally more valuable and reasonable, share price per unit. There are many reasons for reducing the outstanding shares.  It may be that the company is facing some financial distress.  Or in this case, management may want "to get the price up to a more reasonable level."

Bendel Incorporated has an operating leverage of 5.8. If the company's sales increase by 12%, its net operating income should increase by about:_________

Answers

Answer:

69.60 %

Explanation:

Degree of Operating Leverage shows the times Earnings Before Interest and Tax (EBIT) will change as a result of a change in sales contribution. Increases of sales of 12% will lead to increase in EBITof 69.60 % (12% × 5.8).

On April 1, 2013, Maggie bought a new delivery truck for her business. The purchase price of the truck was $34,000. Maggie wrote a check for a 20% down payment. The interest rate on the loan is 8% and the loan period is nine months. How much interest must Maggie record when she pays off the loan on December 31st

Answers

Answer:

interest expense = $1,632

Explanation:

the original journal entry to record the purchase is:

April 1, 2013, truck purchased

Dr Truck 34,000

    Cr Cash 6,800

    Cr Notes payable 27,200

the interest expense = $27,000 x 8% x 9/12 = $1,632

the journal entry to record the payment of the note payable is:

December 31, 2013, payment of note payable

Dr Notes payable 27,200

Dr Interest expense 1,632

    Cr Cash 28,832

The new interactive technologies are not enough to cement a relationship, because companies need to change their behavior toward a customer and not just their communication. Explain what this statement means. Do you agree or disagree?

Answers

Explanation:

I agree with this statement, due to the fact that new interactive technologies are a communication channel between company and consumer, but it is the organization itself that should use the new interactive communication technologies in order to change its behavior that will assist in engagement and building customer relationships.

Relationship marketing can help companies to engage consumers through the development of product advertising campaigns that generate value and increase brand awareness, in addition to the ease that interactive technological tools have to enable greater interaction between consumer and company, decrease response time, answer questions, etc.

A company with strong customer relationships gains significant competitive advantages, such as strong market positioning and consumer loyalty.

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