autotether, inc. sells 1,200 units of a product that has a one-year warranty on parts. the average cost of honoring one warranty contract is $60. during the year 60 contracts are honored at a cost of $3,600. it is estimated that 120 contracts will be honored in the following year. the adjusting entry at the end of the current year will include a

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Answer 1

When answering questions on Brainly, one should always be factually accurate, professional, and friendly. Answers should be concise and not provide extraneous amounts of detail, and any typos or irrelevant parts of the question should be ignored. In the given scenario, Autotether, Inc. sells 1,200 units of a product that has a one-year warranty on parts. The average cost of honoring one warranty contract is $60.

During the year, 60 contracts are honored at a cost of $3,600. It is estimated that 120 contracts will be honored in the following year. The adjusting entry at the end of the current year will include a debit to Warranty Expense for $6,600 and a credit to Warranty Liability for $6,600. Here's why:Firstly, let us determine the total number of units sold with the warranty that the company will have to fulfill in the future. The total number of units sold is 1,200, and each unit comes with a one-year warranty. This means that the company will have to fulfill 1,200 warranty contracts in total over the next year. In the current year, 60 warranty contracts were honored, and it is estimated that 120 contracts will be honored in the following year. This means that there will be a total of 180 warranty contracts that will be honored in the next year (60 contracts honored in the current year + 120 contracts estimated to be honored in the following year).The total cost of honoring the warranty contracts in the next year can be calculated by multiplying the estimated number of contracts (120) by the average cost of honoring one contract ($60). Thus, the estimated cost of honoring warranty contracts in the next year will be $7,200 (120 x $60).To account for the estimated cost of honoring warranty contracts in the next year, the company needs to make an adjusting entry at the end of the current year. The adjusting entry will debit the Warranty Expense account for $6,600 (60 contracts honored in the current year x $60 average cost) and credit the Warranty Liability account for $6,600 (to recognize the liability that the company has for warranty claims that have not yet been fulfilled). This adjusting entry will ensure that the estimated cost of honoring warranty contracts in the next year is recorded in the company's financial statements for the current year.

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in nov, 2015, jacob borrowed $1000 from josh. he agreed to pay back real return of 2% in nov, 2016. they expected that the inflation would be 3% they made contract according to the above information. now it's nov 2016. it turn out the inflation is 4% how much is the rate of real return that josh get?

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So the rate of real return that Josh gets is 1.92%. This means that after accounting for inflation of 4%, the value of the $1000 loan has increased by only 1.92% in real terms, rather than the nominal 2%.

What are lending and borrowing?

Giving something to someone to use for a while and then return is referred to as lending. To "borrow" is to take something that belongs to someone else, use it for a while, and then give it back.

To calculate the real return, we need to adjust the nominal return (2%) for inflation. The formula for real return is:

Real return = (1 + nominal return) / (1 + inflation rate) - 1

Plugging in the numbers given in the question, we get:

Real return = (1 + 0.02) / (1 + 0.04) - 1

Real return = 1.02 / 1.04 - 1

Real return = 0.0192 or 1.92%

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what was the gdp deflator for the year 2021? that is the value that would go to cell h) in the table. 106 116 125 100

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The GDP deflator for the year 2021 is 106. GDP calculates the monetary value of the final goods and services—those purchased by the consumer—produced in a nation during a specific time period.

GDP deflator = (Nominal GDP / Real GDP) * 100

Nominal GDP = (price of product 1 in current year * quantity of product 1 in current year) + (price of product 2 in current year * quantity of product 2 in current year)

Nominal GDP (2021) = (3.5*300) + (8*200) = 2650

Real GDP = (price of product 1 in base year * quantity of product 1 in current year) + (price of product 2 in base year * quantity of product 2 in current year)

Real GDP (2021) = (3*300) + (8*200) = 2500

GDP deflator = (2650/2500)*100 = 106

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the return of earnest money in the event that the transaction is not going to take place requires that

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When a buyer provides a deposit to the seller to demonstrate their intent to purchase a property, the money is referred to as earnest money.

If the transaction fails to close, the earnest money may be returned to the buyer or forfeited to the seller. Earnest money is typically returned to the buyer if a contingency, such as financing or inspection, is not met. In such cases, the contingency release form, which outlines the terms and conditions of the contingency, must be completed by the parties involved.

If the buyer fails to comply with the terms of the contingency release, the earnest money may be forfeited. In other circumstances, if the transaction fails to close, the buyer may lose their earnest money. If the seller terminates the contract due to a breach on the part of the buyer, such as failure to pay or breach of the purchase agreement, the seller may retain the earnest money deposit as damages.

When the buyer breaches the purchase agreement, the seller may also have the option of suing for additional damages. A buyer's earnest money deposit may be protected in certain circumstances.

In some jurisdictions, the deposit must be placed in an escrow account, which ensures that the funds are not disbursed until the conditions specified in the contract are met. The terms of the escrow account may be detailed in the contract or in state law.

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ester hosts a radio talk show. every morning, he records his show and posts the audio file on the internet. his users can subscribe to have these recordings automatically delivered to their smartphones or computers daily. this helps him reach a larger audience of people who can listen to his radio show throughout the day, wherever they are. which form of digital media does this scenario best describe? multiple choice blogs wikis tweets viral marketing materials podcasts

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This scenario best describes podcasts. Podcasts are digital audio files that are distributed over the internet. They are usually downloaded by users and then listened to on their computer or mobile device.

Podcasts are a great way to reach a larger audience as they can be listened to anytime, anywhere. They are also a great way to keep content fresh and engaging as they can be updated regularly.

Podcasts can also be used to generate interest in a radio show, as they provide a way for people to listen to a show even if they are not able to tune in at the time of broadcast.

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cyber company reported deferred tax assets and deferred tax liabilities at the end of 2009 and at the end of 2010. for the year ended 2010, cyber should report deferred income tax expense or benefit equal to the

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Deferred income tax expense or benefit for the year ended 2010 should be equal to the difference between the deferred tax assets and deferred tax liabilities reported at the end of 2009 and the end of 2010.

Deferred income tax expense or benefit occurs when an entity's actual reported tax liability for a period is different from what it would have been if the taxable income reported in the current period had been taxed in the same manner as it was in the preceding period.

The main difference in the calculation of deferred tax expense or benefit is that taxes are calculated based on the differences in the financial statement items between the two years, instead of the actual taxable income reported in the current year.

This ensures that the entity's reported taxes are based on the same accounting treatments that were used in the previous year.

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this means of depreciation breaks down a property into various components and then determines the depreciation on each component separately...?

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The depreciation that is broken down into various components of a property and then determining the depreciation on each component separately is called component depreciation.

When a component depreciates, it means that its usefulness has been reduced over time. This loss of usefulness is caused by wear and tear or a change in the business's operational needs.

The component depreciation method involves identifying and assessing each component's value and useful life, then calculating the depreciation for each component. The total depreciation is calculated by summing the depreciation of all components of the asset. This approach recognizes that different components of an asset have different useful life.

Component depreciation provides a more precise way of calculating an asset's depreciation than straight-line or accelerated depreciation methods. This is due to the fact that the useful life of various components of an asset may vary. As a result, utilizing this method may lead to increased accuracy in assessing an asset's value over time.

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a stock with a current market price of $15.70 has an associated call option priced at $4.30 and a strike price of $12.50. this call has an intrinsic value of and a time value of . a) $4.30; $0 b) $3.20; $1.10 c) $1.10; $3.20 d) $0; $4.30

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A stock with a current market price of $15.70 has an associated call option priced at $4.30 and a strike price of $12.50. this call has an intrinsic value of and a time value of $3.20 and $1.10. The correct option is B.

What is the intrinsic value?

The current market price of the stock = $15.70

The associated call option price = $4.30

Strike price = $12.50

Firstly, we need to find the intrinsic value of the call option which is the difference between the current market price of the stock and the strike price of the option.

The intrinsic value = (Current market price - Strike price) = ($15.70 - $12.50) = $3.20

Time value = Call option price - Intrinsic value = $4.30 - $3.20 = $1.10

Therefore, the intrinsic value of the call option is $3.20 and the time value of the call option is $1.10.

Therefore, the correct option is B.

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4
BU
Why do even the most successful events reach the decline stage?
Ο Α. There are tight budgeting restrictions.
O B.
Nothing tangible is being sold.
O C.
Entertainment always grows stale.
There's always an end date.
D.

Answers

There's always an end date  even the most successful events reach the decline stage.

What is the secret to an effective budget?

Having attainable, measurable, and quantifiable goals is the first step in creating a realistic budget. In this approach, both the forecast and the budget are transformed into useful tools for achieving success.

What makes event budgeting crucial?

Budgeting entails creating a properly thought-out strategy for how much money you can spend on a certain activity in any industry. Yet, one of the reasons it's so important for event planning is that it enables planners to establish a goal profit and determine the amount they must earn to break even.

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once trust funds have been deposited into a trust account, the funds can only be withdrawn upon the signature of:

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Once trust funds have been deposited into a trust account, the funds can only be withdrawn upon the signature of broker and other authorized persons by the broker.

Trust funds are legal agreements that let people put money in a specific account for the benefit of another person or organization. Despite online tools for the DIYer, trust funds can be complicated to set up and frequently need the help of an attorney.

Trust funds can be withdrawn by-

1) The broker who maintains the account in their name.

2) If the account is in the name of a corporate broker, the designated broker-officer.

3) If permitted to do so by the broker, a salesperson or affiliated broker.

4) A non-licensed broker employee who is protected by a fidelity bond and given permission to act by the broker.

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the political/legal segment of an environment represents: the political preferences of different ethnic groups in the society. the technological values of different political entities in society. how organizations and governments mutually try to influence each other. the system of regulations governments at all levels place on businesses.

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An environment's political and legal landscape reflects the efforts governments and organizations make to sway one another.

What does an environment's political and legal component entail?

The political/legal component of an environment depicts the ways in which institutions and governments compete for power.

What does the general environment arena's political legal sector entail?

Organizations and interest groups battle for attention, funding, and a voice in governing the body of rules and regulations governing international relations in the political/legal segment. The attitudes and cultural values of a society are the focus of the sociocultural sector.

What kind of environment indirectly influences every organization through developments in the economy, technology, society, culture, and politics and law?

The economy, along with technological, sociological, and political/legal changes that have an indirect impact on all organizations, make up the general environment. Most organizations eventually experience effects from changes in any area of the broader environment.

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Find the sales tax and total cost of a computer that costs $1900. The tax rate in the state of NJ is 7%.
Sales Tax = _____________
Total Cost = _____________

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Answer: Sales tax would be $133, making the total $2033

Explanation:

Tesla, Inc. is an American automotive company that specializes in electric car manufacturing. The company and Elon Musk, it’s current CEO, has been an innovator in the United States automobile industry. Tesla has used technology as one of it’s driving factors. They provide online software updates and have open source technology, to an extent. Tesla’s production efficiency and sales have increased the last few years. During 2018 & 2019, they were able to achieve some quarters profitability.
Despite of these improvements, the company has had to deal with a number of challenges. Among them:
- Elon Musk is a dynamic leader; however, he is also unpredictable. For example, in 2018 Musk reported that the company may be going private. The statements were deemed to be misleading for a publicly traded company. Musk and the company were fined a total of $40 million dollars and Musk was not allowed to serve as Director of the Tesla Board for at least three years.
- Although production has improved, it is still has not met expectations. The company has had many issues which include, assembly line issues, battery integration, and delivery logistics. During this time, Musk has made statements regarding production which has over promised to the market.
- Tesla had achieved quarterly profitability for some quarters during 2018 and 2019. They had losses for years. Obviously, this is a problem but not unusual for a manufacturing company that takes a number of years to develop a market. The issue is that with accumulating debt, the unpredictability of production and costs have caused major concerns in the investor market place.
Operating a company the size of Tesla is a major task. It takes many teams, with numbers of functions. Address the following questions as advice for the Tesla Board of Directors
1. The leader of the company, Elon Musk, has created issues on his own for the company. What structure could be put in place to minimize negative impacts?
2. Chapter 4 of the Group Dynamics for Teams text addresses group cohesion and team roles. What concepts could be utilized to improve the Board’s results?
3. Tesla was founded in 2003. What factors would you consider to be critical when forming the initial board?

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1. Tesla's Board of Directors could implement a stronger governance structure. 2. Concepts such as group cohesion and team roles should beused to improve its results. 3. Critical factors for forming the initial board for Tesla include diversity, alignment, and strategic guidance.

1. To minimize negative impacts from Elon Musk's unpredictable behavior, the Tesla Board of Directors could consider implementing a stronger governance structure that includes clear guidelines for communication and decision-making processes, as well as oversight mechanisms to ensure that Musk's actions align with the company's goals and values.

2. The Tesla Board of Directors could utilize concepts such as group cohesion and team roles to improve its results. Group cohesion refers to the degree to which group members are united and committed to achieving common goals.

The board could work on developing a shared vision and values to increase cohesion among members. Additionally, the board could assign specific roles to each member based on their strengths and expertise to ensure that all perspectives are considered during decision-making.

3. When forming the initial board for Tesla, critical factors to consider include the diversity of perspectives and expertise, alignment with the company's values and goals, and the ability to provide strategic guidance and oversight.

The board should include individuals with expertise in areas such as finance, technology, and manufacturing, as well as those with experience in entrepreneurship and innovation. It is also important to consider diversity in terms of race, gender, and background to ensure that all perspectives are represented.

Finally, the initial board members should be committed to the long-term success of the company and able to provide strategic guidance and oversight.

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4. using exhibit 5.7, calculate the one-, three-, and six-month forward premium or discount for the u.s. dollar versus the british pound using european term quotations. for simplicity, assume each month has 30 days. what is the interpretation of your results?

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To calculate the one-, three-, and six-month forward premium or discount for the U.S. dollar versus the British pound using European term quotations, Exhibit 5.7 will be used.

Each month will be assumed to have 30 days. What is a forward premium or discount? Forward premiums and discounts are interest-rate differentials between two countries. They can be used to forecast future currency values. An advantage of analyzing forward premiums and discounts is that they often reflect market expectations. When the forward rate is higher than the spot rate, a forward premium is said to exist.

When the forward rate is lower than the spot rate, a forward discount is said to exist. If the rates are equal, there is no premium or discount. The formula for calculating a forward premium or discount is as follows: Forward Premium/Discount = [(Forward Price - Spot Price)/Spot Price] x [(360/days of contract)]Using the formula above, the one-, three-, and six-month forward premiums or discounts for the U.S. dollar versus the British pound can be calculated as follows: One-month forward premium/discount = [(1.8789 - 1.8773)/1.8773] x [360/30] = 0.85%Three-month forward premium/discount = [(1.8869 - 1.8773)/1.8773] x [360/90] = 1.01%Six-month forward premium/discount = [(1.8966 - 1.8773)/1.8773] x [360/180] = 1.02%

These results imply that the U.S. dollar is selling at a premium in relation to the British pound in each case. In other words, the U.S. dollar is more valuable than the British pound.

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creating the forward-looking view of financial performance is a surprisingly effective way to transform the financial future of your company. it will: a. help you drive growth, profitability and cash flow higher. b. create confidence and clarity about where your business is going financially. c. provide the roadmap for turning your vision and strategy for your business into a crystal-clear view of what success should look like financially. d. all of the above.

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Creating the forward-looking view of financial performance is a surprisingly effective way to transform the financial future of your company. Hence, the correct option is (d) all of the above.

creating the forward-looking view of financial performance is a surprisingly effective way to transform the financial future of your company. it will: a. help you drive growth, profitability and cash flow higher. b. create confidence and clarity about where your business is going financially. c. provide the roadmap for turning your vision and strategy for your business into a crystal-clear view of what success should look like financially.

A forward-looking view of financial performance is a surprisingly effective way to transform the financial future of your company. It aids in driving growth, profitability, and cash flow upward, instilling trust and clarity about where your business is heading financially, and offering the roadmap for turning your vision and strategy for your business into a crystal-clear view of what success should look like financially.Therefore, option (d) is the correct answer.

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deductibles are a combination of risk assumption and risk shifting where the insured person pays the first part of the claim (deductible) and the rest of the claim is shifted to the insurance company. group startstrue or falsetrue, selectedfalse, unselected

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The given statement "deductibles are a combination of risk assumption and risk shifting where the insured person pays the first part of the claim (deductible) and the rest of the claim is shifted to the insurance company" is true.

What are deductibles?

Deductibles are the amount of money that an insured individual pays out of pocket before an insurance company takes over the costs of the remaining claims. Deductibles can be required in health, dental, car, and home insurance policies.

The objective of the deductible is to minimize the cost of insurance. In this manner, the deductibles encourage responsible driving and make claims less frequent, lowering insurance expenses.

A deductible is a portion of an insurance policy that the insured individual is responsible for paying before the insurance coverage begins.

When the insured files a claim, the insurance company deducts the agreed-upon deductible sum from the amount that the insurance company will pay. This amount is paid by the insured before the insurance policy begins paying.

The statement is true, as deductibles are a combination of risk assumption and risk shifting where the insured person pays the first part of the claim (deductible) and the rest of the claim is shifted to the insurance company.

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every point on a production possibilities frontier (ppf) represents: a. production efficiency b. allocative efficiency. c. production and allocative efficiency. d. x-efficiency.

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Every point on a production possibilities frontier (PPF) represents production efficiency.

What is a production possibilities frontier (PPF)?

A production possibilities frontier (PPF) is a graphical representation of the possible combinations of two commodities that an economy can produce with its limited resources and technology at any given moment. The PPF is a tool for illustrating scarcity, opportunity cost, and trade-offs.

The concept of PPF, which is also known as the production possibilities curve, is based on the law of increasing opportunity cost, which states that as the production of one commodity rises, the opportunity cost of producing the other commodity increases as well.

PPF represents production efficiency. It depicts the maximum output an economy can produce given the scarce resources and technology.

Any point outside the PPF, on the other hand, is unattainable and represents a higher level of output that the economy cannot produce using its current resources and technology.

Thus, every point on the PPF is an efficient level of production that represents the optimal combination of two commodities, given the scarcity of resources and technology. So, the correct answer is option A.

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What is the best paying jobs in computer software prepackaged software

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The best-paying jobs in computer software prepackaged software are software development manager, data scientist, software engineer, and cybersecurity analyst.

What is computer software? Computer software, or simply software, is a collection of data or computer instructions that tell the computer how to operate, in contrast to physical hardware, from which the system is created and run. The term "software" is often used in contrast to "hardware," which are the tangible components of a computer.

Prepackaged software is the software that comes preinstalled with the computer or any other device or software, such as an operating system, an application, or any other program that runs on a computer. Below are some of the best-paying jobs in computer software prepackaged software: Software Development Manager: A software development manager's job is to oversee the development of software programs,

ensuring that they meet technical specifications and are delivered on time and within budget. Data Scientist: A data scientist is a highly skilled individual who has a strong understanding of statistics, machine learning, and computer science. They use this expertise to analyze large datasets and extract valuable insights that can be used to make better decisions. Software Engineer:

A software engineer is a professional who designs, develops, tests and maintains computer software. They are responsible for ensuring that software applications are reliable, scalable, and perform well. Cybersecurity Analyst: A cybersecurity analyst is a professional who is responsible for protecting computer networks from cyberattacks. They monitor networks for signs of malicious activity and take steps to prevent attacks from occurring. They also investigate security breaches and recommend improvements to prevent future attacks. These are some of the highest paying jobs in computer software prepackaged software. However, the salaries may vary depending on the location, experience, and company.

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according to your textbook, stability strategies can be very useful in the short run, but they can be dangerous if followed for too long. question 25 options: true false

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The given statement "According to your textbook, stability strategies can be very useful in the short run, but they can be dangerous if followed for too long" is true because stability strategies are designed to maintain a company's current position and help it avoid risky investments.

According to many business textbooks, stability strategies can be very useful in the short run, as they help companies maintain their current market position and avoid risky investments. However, if these strategies are followed for too long, they can become dangerous because they can lead to stagnation and a lack of innovation. Companies that focus solely on maintaining the status quo may find themselves falling behind competitors who are more willing to take risks and innovate.

Therefore, it is important for companies to balance stability with the need for growth and innovation over the long term. While stability strategies can be useful in the short run, they should be complemented with strategies that promote innovation, growth, and adaptation to changing market conditions.

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over the course of a year the price of tvs has fallen from $800 to $700 and the number of tvs sold has increased by 6000. in terms of supply and demand, we can conclude that: group of answer choices we do not have enough information to say what happened. demand has decreased. supply has decreased. supply has increased. demand has increased.

Answers

The price of TVs has fallen from $800 to $700 and the number of TVs sold has increased by 6000.

In terms of supply and demand, we can conclude that the demand has increased.How the price of a good is related to its demand and supply

The demand curve is a graph that shows how much of a product is demanded at different prices.

The supply curve, on the other hand, indicates how much of a commodity producers are prepared to produce and sell at different price levels. Both curves can be used together to determine market prices.Supply and demand equilibrium is reached when both curves intersect.

At the equilibrium price, the amount of a commodity that consumers are willing to buy equals the amount that producers are willing to sell. There will be a surplus of goods if the price is above the equilibrium point. If the price is below the equilibrium point, there will be a shortage of goods.

When demand is high and supply is low, the price of the good will increase because the supply cannot keep up with the demand. When the demand is low and supply is high, the price of the commodity will decrease since there are more goods than people want.

Supply and demand relationships can also be influenced by external factors, such as government policies, income levels, and market competition. The price of TVs has decreased, and the number of TVs sold has increased by 6000. In terms of supply and demand, we can conclude that the demand has increased.

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shelly is running the color run in new mexico on the hottest day of the year. in exchange for admittance, she signs a contract. while running she suffers from a heat stroke due to the conditions. a provision in the contract states the race sponsors are not liable for her heat stroke would be referred as

Answers

The provision in the contract that states the race sponsors are not liable for Shelly's heat stroke would be referred to as an exculpatory clause.

An exculpatory clause is a provision in a contract that relieves one party from liability for damages or injuries caused to the other party. In this case, the exculpatory clause states that the race sponsors are not responsible for any harm caused to Shelly, even if it is due to their negligence or fault.

Exculpatory clauses are often used in contracts for activities that involve some level of risk, such as sports events or adventure activities. However, courts often scrutinize such clauses and may not enforce them if they are found to be unconscionable, against public policy, or ambiguous.

In Shelly's case, the enforceability of the exculpatory clause will depend on various factors, such as the wording of the clause, the nature of the activity, and the circumstances surrounding the injury.

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In some cases, tradable pollution permits may be better than a corrective tax because _____Group of answer choices
A. selling pollution permits creates a net increase in pollution.
B. corrective taxes distort incentives.
C. corrective taxes provide greater flexibility to firms that can reduce pollution at a low cost.
D. the government can set a maximum level of pollution using permits.

Answers

Tradable pollution permits may be better than a corrective tax because of their ability to provide greater flexibility to firms that can reduce pollution at a low cost. Pollution permits are like a form of currency, in that they can be traded amongst firms. This creates an incentive for firms to reduce their pollution levels and invest in cleaner technologies, as they can then sell their unused permits to other firms. Additionally, the government can set maximum levels of pollution by controlling the total number of permits issued, creating a cap on pollution levels.

Corrective taxes, on the other hand, impose a fixed cost on polluting activities, regardless of the firm's ability to reduce pollution. This may create an unnecessary burden on firms that have already invested in cleaner technologies. Tradable permits, however, provide flexibility to these firms, as they can use their unused permits to offset the cost of the corrective tax. This creates an incentive for firms to invest in cleaner technologies, while ensuring that the total level of pollution remains within the government's desired limits.

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On august 1, 2021, rocket retailers adopted a plan to discontinue its catalog sales division, which qualifies as a separate component of the business according to gaap regarding discontinued operations. the disposal of the division was expected to be concluded by june 30, 2022. on january 31, 2022, rocket's fiscal year-end, the following information relative to the discontinued division was accumulated: operating loss feb. 1, 2021-jan. 31, 2022 estimated operating losses, feb. 1-june 30, 2022 impairment of division assets at jan. 31, 2022 $129,000 86,000 22,000 in its income statement for the year ended january 31, 2022, rocket would report a before-tax loss on discontinued operations of multiple choice $(64,000). (0) $(64,000). o $(215,000). o $(129,000). $(151,000).

Answers

The correct answer is option C. In its income statement for the year ended January 31, 2022, Rocket would report a before-tax loss on discontinued operations of $(140,000).

In Rocket's income statement for the year ended January 31, 2022, the before-tax loss on ceased operations would be $. (140,000).

This is computed by multiplying the division assets' $17,000 impairment at January 31, 2022 by the operating loss of $123,000 from February 1, 2021 to January 31, 2022 and the expected operating loss of $90,000 from February 1 to June 30, 2022.

These three numbers added together equal $140,000, which Rocket would list as a before-tax loss on terminated operations in its income statement for the fiscal year that ended January 31, 2022.

Complete Question:

On August 1, 2021, Rocket Retailers adopted a plan to discontinue its catalog sales division, which qualifies as a separate component of the business according to GAAP regarding discontinued operations. The disposal of the division was expected to be concluded by June 30, 2022. On January 31, 2022, Rocket's fiscal year-end, the following information relative to the discontinued division was accumulated:

Operating loss Feb. 1, 2021–Jan. 31, 2022                       $ 123,000

Estimated operating losses, Feb. 1–June 30, 2022         90,000

Impairment of division assets at Jan. 31, 2022                 17,000

In its income statement for the year ended January 31, 2022, Rocket would report a before-tax loss on discontinued operations of:

Multiple Choice

A. $(123,000).

B. $(73,000).

C. $(140,000).

D. $(213,000).

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the stock of an issuer that reinvests most of its earnings back into the business is most likely classified as a(n)

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The stock of an issuer that reinvests most of its earnings back into the business and often has a high PE ratio is most likely classified as a(n)  A. Growth stock.

A growth stock is a share in a company that reinvests most of its earnings back into the business, rather than paying out dividends to shareholders. These companies are typically in a stage of rapid expansion, focusing on increasing their market share and developing new products or services. As a result, growth stocks often have high price-to-earnings (PE) ratios, indicating that investors are expecting substantial future earnings growth.

Growth stocks offer the potential for high returns due to their focus on expansion and reinvestment, but they can also be more volatile and riskier than other types of stocks. Investors are attracted to growth stocks because they have the potential to provide significant capital appreciation over time. However, it's essential to carefully research and analyze a company's financials, industry position, and growth potential before investing. Therefore the correct option is A

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The stock of an issuer that reinvests most of its earnings back into the business and often has a high PE ratio is most likely classified as a(n)

A) Growth stock

B) Cyclical stock

C) Income stock

D) Small cap stock

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if the expected return on an asset is greater than its required return given on the security market line, the stock is . select answer from the options below randomly priced overpriced fairly priced underpriced

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If the expected return on an asset is greater than its required return given on the security market line, the stock is overpriced.

What is the Security Market Line (SML)?

The Security Market Line (SML) is a graph that plots the required rate of return on the vertical axis versus the risk of a given security on the horizontal axis. It's a linear line that begins at the risk-free rate and represents the return investors anticipate on a given security as the risk associated with that security increases. The SML makes it simple to determine if a given security is properly priced for its risk by comparing its anticipated rate of return to its required rate of return.The Security Market Line (SML) formula is given as:Expected Return = Risk-Free Rate + Beta × (Market Return − Risk-Free Rate)Where,Beta = Risk of the SecurityMarket Return = Return of the MarketRisk-Free Rate = Rate at which the Investment is Risk-FreeExpected Return = Return Expected by the InvestorOn the basis of the given information, if the expected return on an asset is greater than its required return given on the security market line, the stock is overpriced.

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davis co. reported the following items for the year ending december 31: net income$140,500 preferred dividends39,800 common dividends20,100 shares of common stock outstanding62,000 shares of preferred stock outstanding13,000 what is the earnings per share on common stock (rounded to the nearest cent)? a.$2.27 b.$1.62 c.$1.27 d.$1.34

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The earnings per share on common stock is $1.62. (B)

The formula for calculating earnings per share (EPS) is net income minus preferred dividends divided by the number of shares of common stock outstanding. In this question, the net income is $140,500, and the preferred dividends are $39,800.

Therefore, the numerator is $100,700 ($140,500 - $39,800). The number of shares of common stock outstanding is 62,000.The earnings per share on common stock can be calculated as:EPS = ($100,700 / 62,000) = $1.62 (B)

The formula for EPS is a key metric in evaluating a company's financial health, as it represents the portion of a company's profit allocated to each share of common stock outstanding. EPS can be used to compare a company's performance over time and against competitors.

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our bank account pays a 12% nominal rate of interest. the interest is compounded monthly. which of the following statements is correct?the periodic rate of interest is 1% and the effective rate of interest is 12.5%.the periodic rate of interest is 1% and the effective rate of interest is 12%.the periodic rate of interest is 1% and the effective rate of interest is greater than 12.5%.the periodic rate of interest is 1% and the effective rate of interest is less than 12.5%.

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The correct statement is that the periodic rate of interest is 1% and the effective rate of interest is 12%. The nominal rate of interest is 12%, which refers to the rate that is quoted or advertised.

The periodic rate of interest is the rate of interest that is applied to the principal each period, which in this case is 1%. The effective rate of interest is the rate of interest taking into account the effect of compounding.

In this case, the effective rate of interest is 12%, which is calculated by taking the periodic rate of 1%, raising it to the power of the number of compounding periods in a year (12 in this case), and subtracting 1 from the result. Therefore, the effective rate of interest is 12%, rather than 12.5%.

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Suppose the Baseball Hall of Fame in Cooperstown, New York, has approached Collector - Cardz with a special order. The Hall of Fame wishes to purchase 56,000 baseball card packs for a special promotional campaign and offers $0.38 per pack, a total of $21,280. Collector - Cardz's total production cost is $0.58 per pack, as follows: (Click the icon to view the cost information.) Collector - Cardz has enough excess capacity to handle the special order. Read the requirements, Requirement 1. Prepare a differential analysis to determine whether Collector - Cardz should accept the special sales order.

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In the following question, among the various parts to solve, Cardz should not accept the special sales order since the differential income is negative.


The differential analysis to determine whether Collector - Cardz should accept the special sales order is as follows:

Requirement 1: Prepare a differential analysis to determine whether Collector - Cardz should accept the special sales order.

Costs for production of the baseball card packs for the special sales order

Total production cost = $0.58 per pack

Differential revenue = $21,280 ($0.38 x 56,000 packs)

Differential cost = $33,280 ($0.58 x 56,000 packs)

Differential income = Revenue - Cost = $21,280 - $33,280 = -$12,000

Therefore, Collector - Cardz should not accept the special sales order since the differential income is negative.

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if nominal gdp increases from one year to the next, _____ must have risen.O output or prices or both O prices O real GDP O prices and real GDP must have risen.

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If nominal GDP increases from one year to the next, either output or prices or both must have risen.

Nominal GDP is calculated by multiplying the quantity of goods and services produced by their current market prices. Therefore, an increase in nominal GDP could be due to either an increase in the quantity of goods and services produced, an increase in their prices, or both.

To determine whether the increase in nominal GDP was due to an increase in output or prices, economists use a measure called real GDP, which adjusts for changes in prices over time. If real GDP also increases, it means that output has increased. If real GDP remains the same or decreases, it means that prices must have increased.

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What is the importance of encoding in the communication process?

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In the communication process, encoding is critical. Encoding refers to the act of turning thoughts and feelings into a message that may be sent and interpreted.

The importance of encoding in the communication process is discussed below: Encoding aids in the creation of a message that is clear and easy to comprehend. Encoding is essential in effective communication because it ensures that the message is conveyed to the receiver accurately. Encoded messages enable effective communication between people. Encoding enables individuals to convey their ideas and feelings in a clear, concise, and meaningful manner. When encoding is done properly, it ensures that the message is correctly conveyed to the receiver.The quality of communication is improved by encoding. Encoding aids in the removal of any ambiguity in the message. When the message is clearly encoded, the receiver can better understand the message, leading to improved communication.In conclusion, encoding is critical in the communication process as it enables effective communication between people. It ensures that the message is conveyed accurately and that the receiver understands the message clearly. The quality of communication is improved by proper encoding.

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the purpose of defining media strategy falls under which media-planning activity? translate media goals into general guidelines that will control the planner's selection and use of media determine which broad class of media best fulfills the criteria determine what to communicate through ads translate marketing and advertising objectives and strategies into goals that media can accomplish compare and select the best media within broad classes, using predetermined criteria

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The purpose of defining media strategy falls under the activity of "Translate marketing and advertising objectives and strategies into goals that media can accomplish" in media planning.

Defining media strategy involves setting specific goals and objectives for media usage that align with the overall marketing and advertising objectives and strategies. These goals then guide the planner's selection and use of media, as well as the determination of what to communicate through ads. Therefore, defining media strategy is an important step in ensuring that media planning is aligned with the overall marketing and advertising goals and objectives.

Media planning is the process of developing a media plan that details how advertising messages will be delivered to the target audience using different media channels such as print, broadcast, outdoor, and digital media. Media planning activity involves various steps such as setting advertising objectives, identifying the target audience, choosing the media platform, setting the media budget, and monitoring the results achieved by advertising.

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