on august 1, harris co. determines that it cannot collect $200 from its customer, l. dash. harris co. uses the direct write-off method, so they will record the write-off of this account by debiting: multiple choice question. bad debt expense. accounts receivable - l. dash. cash. sales.

Answers

Answer 1

The direct write-off method of recording bad debts requires that companies record a bad debt expense as soon as they determine that a customer is unable to pay. The correct answer is bad debts requires.

In this case, Harris Co. determines that it cannot collect $200 from its customer, L. Dash, so they will record the write-off of this account by debiting Bad Debt Expense for the amount of $200. This will decrease their net income for the period. In addition, they will also record a credit to Accounts Receivable - L. Dash for the same amount of $200, as this will reduce the Accounts Receivable balance and reflect that the company is no longer owed money by this customer.

The company will not debit Cash or Sales, as they are not receiving money from the customer and the transaction has not been recorded as a sale. This will not affect their Cash balance, nor will it affect their Sales. The correct answer is bad debts requires.

In conclusion, Harris Co. will record the write-off of this account by debiting Bad Debt Expense for the amount of $200 and crediting Accounts Receivable - L. Dash for the same amount. This will decrease their net income and reduce the Accounts Receivable balance.

To learn more about bad debt expense here:

https://brainly.com/question/31191868#

#SPJ11


Related Questions

james, an employee at a hospital, has different duties for each day of the week. on mondays, he reviews and files patient charts. on tuesdays and thursdays, he collects lab specimens from patients. on wednesdays, he enters lab results into the computer database. on fridays, he is in charge of paperwork. this scenario most likely exemplifies a motivational approach to redesign of work called . group of answer choices employee offshoring job outsourcing onboarding job rotation

Answers

This scenario exemplifies a motivational approach to redesign of work called job rotation.

Job rotation is a method of job design in which employees are moved between different tasks or jobs at regular intervals to provide variety and stimulate interest. In this scenario, James has different duties for each day of the week, which provides him with a diverse range of tasks and helps prevent boredom or burnout.

By rotating tasks, employees can learn new skills, gain experience in different areas, and develop a better understanding of the organization as a whole. This approach can also increase motivation and job satisfaction, as employees feel that their work is more meaningful and they have more control over their work environment.

Additionally, job rotation can help reduce absenteeism and turnover, as employees are less likely to become dissatisfied with their work or feel stuck in a rut.

To learn more about motivational approach, refer below:

https://brainly.com/question/10552575#

#SPJ11

according to the gasb definition, which of the following represents an inflow of resources? group of answer choices revenues. assets. deferred inflows. expenditures.

Answers

According to the GASB definition, revenues represent an inflow of resources. Option A is correct.

Revenues are defined by the GASB as "inflows or other enhancements of assets of an entity or settlements of its liabilities (or a combination of both) from delivering or producing goods, rendering services, or other activities that constitute the entity's ongoing major or central operations." In other words, revenues represent the resources that a government or other entity receives from providing goods or services, selling assets, or other activities.

Assets, on the other hand, represent resources that a government or other entity controls or owns, such as cash, investments, property, or equipment. Deferred inflows are a type of resource that represents resources that have been received but have not yet been earned or used, such as advance payments or prepaid expenses.

Expenditures, on the other hand, represent the outflow of resources from a government or other entity as a result of providing goods or services, purchasing assets, or other activities. Expenditures are the opposite of revenues and represent a reduction in the resources available to a government or other entity. Option A is correct.

To know more about the GASB, here

https://brainly.com/question/29454887

#SPJ4

Find the sales tax and total cost of a computer that costs $499.99. The tax rate in the state of NJ is 7%.
Sales Tax = _____________
Total Cost = ____________

Show your work please.

Answers

The sales tax is $34.99, and the total cost would be $534.98.

What is the sales tax?

Note, a sales tax is a consumption tax imposed on the sale of goods and services. It is usually a percentage of the purchase price, collected by the seller and remitted to the government.

Since we are told sales tax is 7%; the sales tax value in dollars ($) =

[tex]\frac{7}{100} * 499.99 = 34.99[/tex]

Total cost = Sales tax + cost of computer

Therefore,

Total cost = $34.99 + $499.99 = $534.99.

You can learn more about sales tax here https://brainly.com/question/9437038

#SPJ1

the firm's capital structure refers to the: group of answer choices mix of current and fixed assets a firm holds. amount of capital invested in the firm. amount of dividends a firm pays. mix of debt and equity used to finance the firm's assets. amount of cash versus receivables the firm holds.

Answers

The firm's capital structure refers to the mix of debt and equity used to finance the firm's assets. Option D is the correct answer.

Capital structure is the mixture of the company's long-term funding. It consists of equity, short-term funding, and long-term debt. It provides the foundation of the company's financial framework, defining how much money is required to finance the firm's assets and how much is financed through debt and equity. It also allows the firm to decide which debt-to-equity ratio is most suitable for its goals and operations.

Capital structure is crucial since it affects the company's financial flexibility, risk, and operational efficiency. It influences the firm's cost of funds and the risk assumed by investors. Investors determine the company's risk by analyzing the debt-to-equity ratio. As a result, the company's capital structure has an impact on its long-term financial success.

You can learn more about capital structure at

https://brainly.com/question/29343626

#SPJ11

Classify each statement according to whether or not it describes a monopoly. If a statement does not describe a monopoly. leave it unplaced. - There is only one firm in the industry - Only a few time exist in the industry, and these firms share total market power. - There are many firms in the industry - There are low barriers to entry into the market.
- Firms are price makers - No close substitutes are available - Firms are price takers
- There are significant barriers to cntry into the market

Answers

features of monopolies A. One corporation controls the majority of the market. The majority of the market is controlled by a small number of enterprises in the sector.

Sort each remark into a category based on whether or not it refers to a monopoly. If a claim does not adequately characterize a monopoly?

A monopoly is a company that dominates the market even when there are other companies operating there, according to a looser definition. One seller dominates the market in a pure monopoly. Hence, the entire industry is one company. The whole market share belongs to one company in this industry.

A monopoly, on the other hand, is the dominating company in the market according to a more flexible definition. Hence, the company effectively controls the entire market.

To know more about monopoly visit:-

https://brainly.com/question/14230494

#SPJ1

the traditional operations management definition of throughput is: question 23 options: the average number of goods or services completed per time period by a process. anything in an organization that limits it from moving toward its goal. associated with the capacity of a resource such as a machine, employee, or workstation. a physical activity in which idle capacity exists.

Answers

The traditional operations management definition of throughput is the average number of goods or services completed per time period by a process.

What is operations management?

The planning, structuring, and control of corporate processes necessary to turn inputs like raw materials, labor, and energy into outputs like goods and services are referred to as operations management. In order to meet client requests, it entails planning and effectively managing the production and delivery of goods and services. This entails making the most of available resources, raising standards, cutting expenses, and ensuring prompt delivery. In order to boost output, quality, and profitability, processes must also be examined and improved during the operations management process. Businesses need effective operations management to be competitive in the global market, and this calls for a thorough grasp of the entire production and supply chain.

To know more about operations management, visit:

https://brainly.com/question/30415374

#SPJ1

luke invests $800 into an account with a 2.9% interest rate that is compounded semiannually. how much money will he have in this account if he keeps it for 5 years?

Answers

Luke will have $917.54 in his account after 5 years.

Luke will have $917.54 in his account after 5 years if he invests $800 with an interest rate of 2.9% compounded semiannually. This can be calculated using the formula

A = P(1 + r/n)nt, where A is the amount at the end of the time period, P is the principal (the amount he originally invested), r is the interest rate, n is the number of times the interest is compounded per year, and t is the time period in years.

In this case, P is $800, r is 0.029 (2.9%), n is 2 (since it's compounded semiannually), and t is 5. Plugging these values into the formula, we get A = 800(1 + 0.029/2)2*5 = $917.54.

Therefore, Luke will have $917.54 in his account after 5 years.

For such more questions on account

https://brainly.com/question/28326305

#SPJ11

you are a project manager at your company, and you must choose the last member of your team. which person statistically would be predicted to be the least likely to engage in social loafing?

Answers

The person who is confident to do work alone as well as in group, who put same effort to do work as he is doing it alone would be predicted to be the least likely to engage in social loafing.

In social psychology, social loafing is the phenomenon of a person exerting less effort to achieve a goal when they work in a group than when working alone. It is seen as one of the main reasons groups are sometimes less productive than the combined performance of their members working as individuals. Research on social loafing began with rope pulling experiments by Ringelmann, who found that members of a group tended to exert less effort in pulling a rope than did individuals alone. In more recent research, studies involving modern technology, such as online and distributed groups, have also shown clear evidence of social loafing. Many of the causes of social loafing stem from individual members' feeling their individual effort will not matter to the group.

Visit here to learn more about social loafing: https://brainly.com/question/29750055

#SPJ4

Excess capacity will not be visually recognizable to consumers, only to firms.
false True

Answers

The statement is true, excess capacity will not be visually recognizable to consumers, only to firms.

What does the term "excess capacity" mean?

When there is less demand for a company's products and services than there is production capacity, the situation is referred to as having excess capacity. When demand is at its lowest in a seasonal sector, capacity may nevertheless be kept up to match the season's peak.

How do you recognise overcapacity?

Excess capacity happens when a company produces more than the market needs. Excess capacity can result in an imbalance between revenue and expenses, even if it may indicate good expansion. You may calculate excess capacity by subtracting actual production from total capacity.

To know more about consumers visit:-

https://brainly.com/question/30132393

#SPJ1

which of the following manufacturing cost components are incurred in a process cost system? question 27 options: all of these direct materials manufacturing overhead direct labor

Answers

In a process cost system, all of the following manufacturing cost components are incurred: Direct materials, manufacturing overhead, and direct labor. Thus, the correct option is "all of these."

What is a Process Cost System?

The process cost system is a type of inventory management technique that is used to account for goods that are produced in large quantities and are similar in nature. This method divides the cost of goods produced into two major categories: direct costs and indirect costs.

The direct costs, which include materials, labor, and direct overheads, are allocated to each product based on the production volume. Indirect costs, on the other hand, include costs that are not directly tied to the production process but are necessary to complete the production process, such as utilities, rent, and depreciation.

The following are the manufacturing cost components incurred in a process cost system:

Direct materialsManufacturing overheadDirect laborConclusion

In summary, in a process cost system, all of the following manufacturing cost components are incurred: Direct materials, manufacturing overhead, and direct labor. The process cost system is a type of inventory management technique that is used to account for goods that are produced in large quantities and are similar in nature.

to know more about costing system refer here:

https://brainly.com/question/30727491#

#SPJ11

a competitive price-taker firm would be willing to remain in the industry in the long run at zero economic profit because a. it would find it too difficult to exit from the industry in the long run. b. accounting profit would be negative. c. it is covering all costs, including the opportunity cost of capital and labor, and could not do better elsewhere. d. its sunk costs would prevent it from leaving the industry.

Answers

A competitive price-taker firm would be willing to remain in the industry in the long run at zero economic profit because it is covering all costs, including the opportunity cost of capital and labor, and could not do better elsewhere. (A)

A competitive price-taker firm would be willing to remain in the industry in the long run at zero economic profit because it can cover all its costs, including the opportunity costs of capital and labor. This means that the firm is making a normal rate of return and is unable to do better elsewhere.

Since the firm is making a normal rate of return, it will remain in the industry in the long run, even if its accounting profit is zero or even negative. This is because the accounting profit does not take into account the opportunity cost of capital and labor, whereas the economic profit does. (A)

As long as the firm is covering all its costs and not making any economic losses, it will remain in the industry in the long run.

To know more about economic profit click on below link:

https://brainly.com/question/15699405#

#SPJ11

jl.12 which components would be good candidates for point-of-use inventory stocking in a computer manufacturing environment?

Answers

In a computer manufacturing environment, the following components would be good candidates for point-of-use inventory stocking:Motherboards, Processors, Graphics Cards, RAMHard Drives, SSD drives, Power Supplies,Fans and Cooling systems,Optical DrivesCases and Enclosures.

There are a variety of components that are used in the manufacturing of computers. As a result, determining the appropriate ones for point-of-use inventory stocking may be a difficult task. However, certain components are more essential than others, and they should be stocked more frequently to ensure that manufacturing operations can proceed smoothly.For instance, motherboards, processors, and graphics cards are all critical components that must be in stock at all times. Since they are the building blocks of a computer, it's crucial that manufacturers have them on hand. RAM, hard drives, and SSDs, as well as power supplies and fans, are also critical components to consider.Cases and enclosures, as well as optical drives, are less critical and may not need to be stocked as frequently. The amount of each component stocked will be determined by a variety of variables, including the size of the manufacturing plant, the type of computers being produced, and the volume of orders being received by the manufacturer.

To know more about inventorystocking click on below link :

https://brainly.com/question/14306135#

#SPJ11

marjorie has evidence that her identity has been stolen. which of the following should marjorie do first to deal with this issue? group of answer choices call the company where she knows the fraud occurred to report the fraud and freeze her accounts withdraw her money from her current account and open a new, secure banking account email the consumer financial protection bureau contact the local police

Answers

As Marjorie has evidence that her identity has been stolen, the first that to deal with this issue will be to call the company where she knows the fraud occurred. The Option B is correct.

What is the case of an Identity theft?

Identity theft is the crime of obtaining another person's personal or financial information in order to commit fraud, such as making unauthorized transactions or purchases. Identity theft occurs in a variety of ways, leaving victims with damage to their credit, finances, and reputation.

If your identity has been stolen, the first step is to report it to the Federal Trade Commission (FTC). One can also put the credit reports on hold, file a police report, and change all of your login and password information. Here, the first that to deal with this issue will be to call the company where she knows the fraud occurred.

Read more about Identity theft

brainly.com/question/17122077

#SPJ1

this week we have learned that many countries of the world are transitioning to a market-based economy. this economic change has been fueled by political changes in these various countries. with that said, do you feel that these circumstances have lead to the spread of globalization?

Answers

Many countries are transitioning to a market-based economy due to political changes. Yes, the circumstances have led to the spread of globalization.

Globalization refers to the increasing interconnectedness of the world's economies, societies, and cultures. The transition of many countries to a market-based economy has contributed to the spread of globalization in various ways.

The market-based economy focuses on supply and demand, making it easier for goods, services, and capital to flow across borders.

Another way in which this transition has contributed to the spread of globalization is by removing trade barriers, including tariffs and quotas, and liberalizing trade policies.

This has made it easier for countries to engage in international trade and investment, thereby contributing to the growth of global trade and investment.

To learn more about globalization, refer below:

https://brainly.com/question/15283031

#SPJ11

what are 2 ways you can start building strong credit practices as a teenager?

Answers

Two ways we can start building strong credit practices as a teenager Get a secured credit card and . Become an authorized user on a parent’s account.

As a teenager, there are two ways you can start building strong credit practices.One of the best ways to start building your credit score is by getting a secured credit card. As a teenager, you might not have a credit history, which can make it hard for you to get approved for traditional credit cards. A secured credit card works like this: You put down a deposit, which acts as your credit limit. You can then use the card to make purchases and pay off the balance each month, just like you would with a traditional credit card. Your payments are reported to the credit bureaus, which helps establish your credit history.

Another way to start building your credit score is by becoming an authorized user on a parent’s account. This means that you’ll have a credit card with your name on it, but you won’t be responsible for the payments. Instead, the parent will be responsible for making the payments on time.As an authorized user, you can benefit from the positive credit history of the account owner. This can help boost your credit score, as long as the account owner has a good credit history. It’s important to note that if the account owner misses payments or carries a high balance, it could negatively affect your credit score.

Know more about credit card here:

https://brainly.com/question/26857829

#SPJ11

assume the nominal rate was 11.50% and the inflation rate was 3%. using the fisher effect, what was the real rate? multiple choice 8.1% 8.25% 9.10% 9.90% 11.50%

Answers

Real Interest Rate is  8.25%. Therefore option B is correct.


Convert the nominal interest rate and inflation rate to decimals: 11.50% = 0.115, and 3% = 0.03. Apply the Fisher Effect formula: Real Interest Rate =  (1 + Nominal Interest Rate) / (1 + Inflation Rate) - 1.
Plug in the values: Real Interest Rate = (1 + 0.115) / (1 + 0.03) - 1. Calculate the result: Real Interest Rate = (1.115) / (1.03) - 1. Continue calculating: Real Interest Rate = 1.0825 - 1. Convert the result back to a percentage: Real Interest Rate = 0.0825 * 100 = 8.25%.
Based on the Fisher Effect, the real interest rate is 8.25%. So, the correct answer among the multiple-choice options is 8.25%.

for more such questions on Real Interest

https://brainly.com/question/25877453

#SPJ11

true or false: reporting comprehensive income can be done with a single, continuous statement or in two separate, but consecutive statements. true false question. true false

Answers

The given statement " reporting comprehensive income can be done with a single, continuous statement or in two separate, but consecutive statements" is True. Reporting comprehensive income can be done with a single, continuous statement or in two separate, but consecutive statements. Comprehensive income includes all changes in equity during a period, except those resulting from investments by owners and distributions to owners.



There are two methods to present comprehensive income: the single-statement approach and the two-statement approach. In the single-statement approach, a company combines net income and OCI in a single, continuous statement called the Statement of Comprehensive Income.


On the other hand, the two-statement approach involves presenting net income in the first statement, called the Income Statement, and OCI in a separate, but consecutive statement, called the Statement of Other Comprehensive Income. The total comprehensive income is then presented at the bottom of the second statement.  


Both presentation methods are acceptable under accounting standards, and a company can choose the method that best suits its needs and provides the most meaningful information to its stakeholders. The main objective is to ensure that users of financial statements have a clear understanding of the company's comprehensive income, including its components and overall impact on the company's financial position.

Know more about financial statements here:

https://brainly.com/question/14951563

#SPJ11

you have a habit of drinking a cup of starbucks coffee ($3.75 a cup) on the way to work every morning. if instead you put the money in the bank for 30 years, how much would you have at the end of that time, assuming that your account earns 5% interest compounded daily? assume also that you drink a cup of coffee every day, including weekends.

Answers

Assuming that my account earns 5% interest compounded daily, in 30 years $122,674 will be accumulated.

As per Given information

Daily Payments = $3.75

Interest Rate = 5% = 0.05 / 365 = 0.0001370 per day

Time = 30 Years = 30 * 365 = 10950 periods

The formula for future value of annuity is given as -

Future Value of Annuity = [tex]P * { ( 1 + r ) ^ n - 1 / r }[/tex]

Future Value of Annuity = 3.75 * { ( 1 + 0.0001370 ^ 10950) / 0.0001370 }

Future Value of Annuity = 3.75 * 32712.969

Future Value of Annuity = $122,673.64 or $122,674 { rounded off }

Therefore, In 30 Years, $122,674 will have accumulated.

Learn more about value of annuity at:

brainly.com/question/15056567

#SPJ4

g johnson's animations has net income of $42,500, depreciation expense of $1,800, interest expense of $900, taxes of $1,600, additions to net working capital of $2,300, and net capital spending of $11,700. what is the amount of the free cash flow

Answers

The amount of the free cash flow is $41,800.

We know that Net income = $42,500; Depreciation expense = $1,800; Interest expense = $900; Taxes = $1,600 Additions to net working capital = $2,300; Net capital spending = $11,700

Free cash flow is a measurement that represents the cash generated or that is available for distribution to investors and creditors after all expenses have been paid.

Free cash flow = (Net income + Depreciation expense - Capital expenditure - Increase in working capital) - Taxes- Interest expense

Where, Net income + Depreciation expense - Capital expenditure - Increase in working capital= Cash from operations

Net capital spending = Capital expenditure

Using the above information,

Free cash flow = (Net income + Depreciation expense - Capital expenditure - Increase in working capital) - Taxes- Interest expense

= [($42,500 + $1,800 - $11,700 - $2,300) - $1,600 - $900]

= [$44,300 - $2,500]

= $41,800

Therefore, the amount of free cash flow for Johnson's animation is $41,800.

Learn more about "Depreciation expense"; https://brainly.com/question/13652180

#SPJ11

Why is the marginal tax rate always higher than the effective tax rate?

Answers

The marginal tax rate is always higher than the effective tax rate because it is the rate that is applied to the next dollar earned, while the effective tax rate is the average tax rate paid on all income earned.

This means that as income increases, the marginal tax rate also increases, while the effective tax rate may not necessarily increase at the same rate. While the effective tax rate is the average tax rate applied to all income. Marginal tax rates increase as income increases because they are designed to be progressive, meaning that those who earn more income pay a higher percentage of that income in taxes. On the other hand, effective tax rates may not increase as income increases because they are influenced by various deductions, credits, and exemptions that taxpayers are eligible for.

Know more about The marginal tax here:

https://brainly.com/question/27961767

#SPJ11

on monday, rosa agreed to buy joey's car for $8,000 when she gets paid on friday. they have signed a written agreement with the terms that she will pay him $100 per week until the car is paid for. on thursday, the car is involved in an auto accident and is totaled. does rosa have to pay for the car?

Answers

No, Rosa doesn't have to pay for the car as she is no longer obligated to pay the full amount of the car to Joey because car is totaled now and the written agreement is nullified.

According to the problem statement, on Monday, Rosa agreed to buy Joey's car for $8,000 when she gets paid on Friday. They have signed a written agreement with the terms that she will pay him $100 per week until the car is paid for.

On Thursday, the car is involved in an auto accident and is totaled. Now, does Rosa have to pay for the car? The answer is No, Rosa doesn't have to pay for the car. As the car is involved in an auto accident and is totaled, Rosa is no longer obligated to pay the full amount of $8,000 for the car.

Instead, the agreement they had previously made for the car is now voided due to the accident. In simple terms, the car is now a total loss, and it is no longer available to Rosa. Therefore, the written agreement is now null and void. So, Rosa doesn't have to pay for the car.

To know more about agreement, refer here

https://brainly.com/question/24225827#

#SPJ11

kanha is a student at the university of tennessee who recently got his first f. now he has to make a decision about how to get his grades back up. having recently taken a class on decision making, kanha decides to follow the six-step process for deciding what to do. what problem is kanha most likely to face during the diagnosis and analysis of causes step in the decision-making pr

Answers

------_--------------

a discouraged worker is a(n) . multiple choice question. unemployed worker who drops out of the labor force and no longer seeks work actively part-time worker who actively looks for full-time work unemployed worker actively seeking work employed worker who is looking for a different type of work

Answers

A discouraged worker is an unemployed worker who drops out of the labor force and no longer seeks work actively.

What is a discouraged worker?

A discouraged worker is a person who is out of work and is not actively seeking employment due to a lack of job prospects or economic constraints, according to the Bureau of Labor Statistics (BLS).

The Bureau of Labor Statistics (BLS) considers them to be marginally attached to the labor force, which means they are not considered part of the labor force or unemployed.

This is because they have not looked for work in the past four weeks and are not currently available to start work immediately. The number of discouraged workers is used by the BLS to calculate the country's total underemployment rate, which includes both unemployed individuals and those who are marginally attached to the labor force.

To know more about discouraged worker refer here:

https://brainly.com/question/30972595

#SPJ11

when a company has a current obligation to make a future payment to their supplier due to a shipment of supplies that were received last week, the company would record this transaction with an increase to an asset account and a(n) account. multiple choice question. expense revenue dividend liability

Answers

When a company has a current obligation to make a future payment to their supplier due to a shipment of supplies that were received last week, the company would record this transaction with an increase to an asset account and a liability account. Option D is the correct answer.

Current liabilities are commitments and obligations that are due in the next year. Current liabilities are the company's current obligations and are found on the balance sheet's liabilities section. These obligations may include the following:

Accounts payable (amounts owed to suppliers for products and services acquired by the company) Loans or lines of credit with a maturity date of fewer than twelve months Accrued liabilities (wages, taxes, and other expenses that have been earned but not yet paid)

So, the transaction will be recorded with an increase to an asset account and a liability account. The liability account will be the account representing the current obligation to make a future payment. The asset account will be the account representing the supplies that the company received last week.

You can learn more about Current liabilities at

https://brainly.com/question/29341666

#SPJ11

scottie adams bird supplies issued 10% bonds, dated january 1, with a face amount of $240,000 on january 1, 2021. the bonds mature in 2031 (10 years). for bonds of similar risk and maturity the market yield is 12%. interest is paid semiannually on june 30 and december 31. what is the price of the bonds at january 1, 2021? some relevant and irrelevant present value factors: * pv of annuity due of $1: n

Answers

From the given data we find that The price of the bonds at January 1, 2021, is $192,746.40.

To calculate the price of the bonds, we need to determine the present value of the bond's future cash flows, which includes the semi-annual interest payments and the principal payment at maturity.

Step 1: Calculate the semi-annual coupon payment:

The annual coupon payment is 10% of the face amount, which is $240,000 x 10% = $24,000.

Since interest is paid semi-annually, the semi-annual coupon payment is $24,000 / 2 = $12,000.

Step 2: Determine the number of semi-annual periods:

The bonds mature in 10 years, which means there are 20 semi-annual periods (10 years x 2 semi-annual periods per year).

Step 3: Calculate the present value of the semi-annual coupon payments:

Using the present value of an annuity due of $1 table, with 20 periods and a 6% annual interest rate (half of the 12% market yield), we can find the present value factor for a semi-annual period to be 9.8182.

Therefore, the present value of the semi-annual coupon payments can be calculated as follows:

$12,000 x 9.8182 = $117,818.40

Step 4: Calculate the present value of the principal payment:

To calculate the present value of the principal payment, we use the present value of $1 table with 20 periods and a 6% annual interest rate (half of the 12% market yield). The present value factor is 0.3122.

Therefore, the present value of the principal payment can be calculated as follows:

$240,000 x 0.3122 = $74,928

Step 5: Calculate the price of the bonds:

To calculate the price of the bonds, we add the present value of the semi-annual coupon payments and the present value of the principal payment.

Price of bonds = Present value of semi-annual coupon payments + Present value of principal payment

Price of bonds = $117,818.40 + $74,928

Price of bonds = $192,746.40

To learn more about coupon payment click here

brainly.com/question/30367472

#SPJ4

a coworker asks you for advice on how to communicate a strict deadline in a request letter. what advice would you give? set an end date to take action and explain why. give an approximate date for the deadline. apologize for the need to set a deadline to soften the message.

Answers

If a coworker asks you for advice on how to communicate a strict deadline in a request letter, the advice that you would give are as follows:

Apologize for the need to set a deadline to soften the message.

Set an end date to take action and explain why.

Give an approximate date for the deadline.

The ways to communicate a strict deadline in a request letter are as follows:

Apologize for the need to set a deadline to soften the message. Be sure to start the letter by expressing gratitude and giving thanks for your coworker's work so far. You might also make a point of acknowledging the value of your coworker's contributions or the difficulty of the task they are undertaking.

You should then move on to state the reason why you are writing the letter.

Set an end date to take action and explain why. Your letter should include a specific deadline by which you expect the task to be completed.

This deadline should be reasonable, but it should also be firm enough that your coworker understands the importance of the task. In order to help your coworker meet this deadline, you should also provide any necessary resources or information, including instructions on how to proceed.

Give an approximate date for the deadline. Since deadlines can be difficult to predict, you might consider providing an approximate date for the deadline.

This could be useful if your coworker needs to coordinate with other team members or if there are any external factors that could impact the project.

An approximate deadline can also be helpful if you need to adjust the deadline later on, as it gives your coworker some flexibility to work around unforeseen circumstances.

To know more about strict deadline refer here

brainly.com/question/13458867#

#SPJ11

what is the source document for journalizing sales returns and allowances?

Answers

The source document for journalizing sales returns and allowances is a "debit note or credit note."

What are sales returns and allowances? Sales returns and allowances refer to products that are returned by a buyer to the seller, usually because the goods are damaged or not according to the order given by the buyer. A debit note or credit note is issued by the seller as a result of this transaction, which is then used as a source document for journalizing sales returns and allowances.

What is a debit note? A debit note is a document that a seller provides to a purchaser to inform them that they have been billed for more than the correct amount. A debit note is a method of reducing an invoice amount when the invoice is originally issued, making it more accurate. The seller acknowledges the decrease in the amount due to the purchaser in a debit note.

What is a credit note? A credit note is a document that a seller provides to a buyer to let them know that they have been billed for less than the correct amount. A credit note is a means of increasing an invoice amount when the invoice is originally issued, making it more accurate. The seller acknowledges the increase in the amount due from the purchaser in a credit note.

For more such questions on sales

https://brainly.com/question/25743891

#SPJ11

henley corporation has bonds on the market with 19.5 years to maturity, a ytm of 11.2 percent, a par value of $1,000, and a current price of $936. the bonds make semiannual payments. what must the coupon rate be on the bonds? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The bonds of Henley Corporation on the market have 19.5 years to maturity, a YTM of 11.2 per cent, a par value of $1,000, and a current price of $936. The coupon rate of Henley Corporation's bonds is 6.25%

To calculate the coupon rate of the bonds, we will use the following formula:

PV = PMT [(1 - (1 + r/n)-n*t)/(r/n)] + FV/(1+r/n)n*t

where PV = Present Value of the bonds

= $936

PMT = Semi-annual payment of the bonds

r = Yield to maturity/required

rate of return = 11.2%/2 = 0.056 per semi-annual period

n = Number of semiannual periods

= 19.5 years * 2 semi-annual periods per year

= 39 semi-annual periods

FV = Par value of the bond

= $1,000t

= Maturity of the bond = 19.5 years

Substituting the values in the above formula, we get;

936 = PMT [(1 - (1 + 0.056)-39)/(0.056)] + 1000/(1+0.056)-39/2

Now, we have to find the coupon rate of the bonds. So, we have to solve the above equation to determine the PMT, which is the coupon payment per period of the bond.

Using financial calculator or Excel sheet, we get the PMT as $62.51 (rounded to two decimal places).

Now, we will substitute the values of PMT, FV, and PV in the coupon rate formula to determine the coupon rate of the bond.

Coupon Rate Formula: Coupon rate = (PMT / FV) * 100

Coupon rate = (62.51 / 1,000) * 100

Coupon rate = 6.25 %

Therefore, the coupon rate of the Henley Corporation's bond is 6.25%.

Learn more about bonds  here: https://brainly.com/question/25596583

#SPJ11

which is a true statement about independent hotels? independent hotels are mostly luxury class hotels in urban locations with more than 150 rooms independent hotels are not affiliated with a specific chain chain hotels outnumber independent hotels in every country of the world independent hotels may never be managed by an outside entity

Answers

The true statement about independent hotels is that "independent hotels are not affiliated with a specific chain".

"What are independent hotels?

Independent hotels are defined as hotels that are not affiliated with any particular brand or chain. Independent hotels are normally owned by a single proprietor or a small group of partners or shareholders. These hotels may be located in virtually any location and offer a variety of facilities and services. The hotels are usually smaller in size, with fewer than 150 rooms. The operators of independent hotels may opt to take part in joint marketing initiatives or offer their services through online travel booking portals such as Booking.com or Expedia.

Independent hotels, unlike chain hotels, are not constrained by franchise regulations, marketing restrictions, or other constraints placed on them by a parent corporation. Independent hotels, on the other hand, may be more challenging to manage and market than chain hotels, which benefit from greater brand recognition and economies of scale.

Why is it important to choose independent hotels?

Because independent hotels have the freedom to create a unique, personalized experience for each visitor, they may provide a more intimate and distinctive experience. Independent hotels often provide unique or boutique experiences that are tailored to the specific preferences and requirements of the visitor, resulting in a more personalized stay. This, along with the fact that independent hotels are not affiliated with a specific chain, makes them a common choice for travelers who want a more personalized and unique experience.

To know more about independent hotels, refer here:

https://brainly.com/question/3739850

#SPJ11

which of the following is an outcome of incivility at the workplace? check all that apply. loss of customers increased helpfulness more focus on the work better health lack of effort on the job

Answers

Incivility in the workplace can lead to a variety of negative outcomes, such as loss of customers, decreased helpfulness, lower focus on the job, poorer health, and lack of effort on the job.

First, incivility can lead to a loss of customers, as customers will be less likely to patronize a business with an unpleasant atmosphere. Employees who are the target of incivility may be less likely to provide good customer service, which can lead to customers taking their business elsewhere.


Second, incivility can decrease helpfulness in the workplace, as employees who have experienced incivility may be less willing to help their colleagues. This can lead to a decrease in team morale and efficiency, as employees are unwilling to help each other out.

Third, incivility can lead to lower focus on the job, as employees may be more preoccupied with their feelings of anger and resentment rather than performing their job to the best of their ability. This can lead to mistakes and lower productivity.

Fourth, incivility can lead to poorer health, as employees who are the target of incivility can experience physical and psychological health issues such as stress, anxiety, and depression.


Finally, incivility can lead to lack of effort on the job, as employees may be less motivated to work hard and less willing to put in extra effort. This can lead to lower productivity and quality of work.


In conclusion, incivility in the workplace can lead to a variety of negative outcomes, such as loss of customers, decreased helpfulness, lower focus on the job, poorer health, and lack of effort on the job.

For more about workplace:

https://brainly.com/question/19965171

#SPJ11

Other Questions
your clients are purchasing a $160,000 home. if they have a down payment of 25% and the bank charges two points at closing, how much are they paying in points? Why do you think Louis XIV believed he needed such a large and luxuriouspalace? Explain what practical and symbolic purposes Versailles might haveserved. I need help because this is due in 2 hours and 21 minutes which of the following is a way that emotion can help us reason better? group of answer choices emotion can help us resolve problems emotion can move us to resolve problems emotion can help us to consider problems from the perspective of others all of the above PLEASE HELP! also ik how to write it i just am in a rush and need to get this doneWrite an essay about an event you're looking forward to attending in the coming weeks or months. Focus on varying your sentence structure by using the types of phrases and clauses taught in this lesson. You should include at least one example of each of the following: a. a participial phrase b. a prepositional phrase c. a sentence with two independent clauses joined by a conjunction d. a noun clause e. a relative, or adjective, clause f. an adverbial clause Your essay should be at least 150 words long. When you have finished your essay, find one of each of the types of phrases and clauses you have used, place brackets around it, and put a letter next to it. (You only need to mark one of each type of phrase or clause, even if you have used the form several times.) An airplane flies 55" east of north from City A to City B, a distance of 470 miles. Another airplane flies 7" north of east from City A to City C, a distance of 890 miles. What is thedistance between Cities B and C? Round to the nearest tenth of a mile.The distance between City B and City C is about miles Suppose you are working with a data set that is normally distributed, with a mean of 250 and a standard deviation of 44. Determine the value of x from the following information. (Round your answers and z values to 2 decimal places, e. G. 1. 25. ) (a) 70% of the values are greater than x. (b) x is less than 14% of the values. (c) 22% of the values are less than x. (d) x is greater than 57% of the values True/False by 1946, the main focus of popular attention had shifted from celebrity vocalists to a younger generation of instrumentalists/bandleaders. the liquid portion of blood is called and makes up about (percentage) of the total blood volume: I need help for number 12 What does content filtering has been enabled on this line mean? there are six professors teaching the introductory discrete structure class at fiu. the same fnal exam is given by all six professors. if the lowest possible score on the fnal is 0 and the highest possible score is 100, how many students must there be to guaranteethat there are two students with the same professor who earned the same fnal examination score? "The horizontal surface on which the block slides is frictionless. The speed of the block before it touches the spring is 6. 0 m/s. How fast is the block moving at the instant the spring has been compressed 15 cm? (Assume k = 2. 0 kN/m. )" this excerpt opens with a clue to the authors purpose. what is it how does she use details of setting to achieve her purpose? cite evidence from notes you took as you read the text what did conservationists do to solve the problem of sea turtle disorientation? who ended the 3-year covid-19 state of emergency in california? Listed below are student evaluation ratings of courses, where a rating of 5 is for "excellent." The ratings were obtained at one university in a state. Construct a confidence interval using a 98% confidence level. What does the confidence interval tell about the population of all college students in the state?3.9, 2.9, 3.9, 4.8, 3.0, 4.2, 3.4, 4.5, 4.5, 4.2, 4.3, 3.9, 3.3, 3.9, 3.7 Please help for this too. But please try to make it a little shortImagine you are on vacation to beach Island. One - night while strolling on the beach, you come across patch, like water is glistening, like diamonds scattered over it. Describe the experience of what you saw and how you felt. Name 4 of the 5 nba teams that are in the eastern conference, Atlantic division what caused the wire to electrocute Pax?