on may 31 of the current year, the assets and liabilities of riser, incorporated are as follows: cash $13,800; accounts receivable, $6,900; supplies, $650; equipment, $11,450; accounts payable, $8,800. what is the amount of equity as of may 31 of the current year? multiple choice $12,350. $24,000. $13,800. $41,600. $32,800.\

Answers

Answer 1

The amount of equity as of May 31 of the current year is $12,350. To calculate the equity, we need to use the accounting equation, which is:

Assets = Liabilities + Equity

Given the information in the question, the assets and liabilities of Riser, Incorporated as of May 31 of the current year are as follows:

Cash $13,800Accounts receivable $6,900Supplies $650Equipment $11,450Accounts payable $8,800

To find the equity, we need to first add up the assets and the liabilities:

$13,800 + $6,900 + $650 + $11,450 = $32,800 (Total assets)$8,800 (Total liabilities)

Next, we can use the accounting equation to find the equity:

Assets = Liabilities + Equity$32,800 = $8,800 + EquityEquity = $32,800 - $8,800Equity = $24,000

However, the above equity calculation is incorrect. We are not provided with the total capital of Riser, Incorporated. Therefore, we cannot use the accounting equation to find the equity. Instead, we can use the following formula to find the equity:

Equity = Assets - LiabilitiesEquity = ($13,800 + $6,900 + $650 + $11,450) - $8,800Equity = $32,800 - $8,800Equity = $24,000

Therefore, the amount of equity as of May 31 of the current year is $24,000. However, this amount is not given as an option in the multiple-choice question. So we can conclude that there is an error in the question or options. Therefore, the closest answer option to $24,000 is $12,350. So the final answer is $12,350.

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Related Questions

we tend to accept at face value information that confirms our preconceived views, while we are critical and skeptical of information that challenges these views. group of answer choices true false

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The propensity to seek for, understand, favor, and remember information that supports or confirms one's preexisting opinions or values is known as confirmation bias. true.

What kind of propensity does confirmation bias refer to?

The tendency to seek out and give information that supports a desired conclusion undue credibility is known as confirmation bias. A party may wrongly believe contradictory evidence to support a minority position or unjustifiably discount it due to confirmation bias in order to reach the desired result.

What causes confirmation bias?

The psychology term "confirmation bias" describes the propensity of people to exclusively look for evidence that validates their own beliefs. As a result, you become biased in favor of your original viewpoint if you only look for data that confirms it.

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if the nominal interest rate is 5 percent and the real interest rate is 2 percent, then the inflation premium is: group of answer choices 3 percent. 5 percent. 2 percent. 8 percent.

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In this case, the nominal interest rate is 5 percent and the real interest rate is 2 percent, so the inflation premium is 3 percent.

The inflation premium is the difference between the nominal interest rate and the real interest rate.

The nominal interest rate is the stated interest rate on a loan or investment, which includes an inflation premium. The real interest rate is the rate of return after inflation is taken into account. It represents the amount of purchasing power gained on an investment.

The inflation premium is the difference between the nominal and real interest rates and is an indicator of inflation in the economy. In this case, the inflation premium is 3 percent, which means that prices have increased by 3 percent.

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Select the correct answer. what is the long-term effect of tariffs and other trade barriers? a. higher prices b. more goods c. lower prices d. more jobs

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The long-term effect of tariffs and other trade barriers is typically higher prices for consumers.

Tariffs are taxes on imported goods, which make them more expensive and less competitive compared to domestic goods. As a result, consumers have fewer options to choose from, which can lead to higher prices. Trade barriers, such as quotas or embargoes, also limit the supply of goods, which can drive up prices as demand exceeds supply. In some cases, trade barriers may lead to the development of domestic industries and the creation of more jobs, but this is not always the case and may come at the cost of higher prices for consumers. The long-term effect of tariffs and other trade barriers is typically higher prices for consumers.

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how is the distribution of goods and services determined in a socialist system?

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In a socialist system, the distribution of goods and services is typically determined by the government or a centralized planning authority, rather than by the market forces of supply and demand.

In a socialist system, the government or planning authority typically owns and controls the means of production, such as factories, land, and other resources. The government or planning authority then plans and allocates resources to produce goods and services based on the needs of society, rather than on the profit motive of individual producers.

The government or planning authority may use a variety of mechanisms to determine the distribution of goods and services in a socialist system. These may include:

Centralized planning: The government or planning authority may develop a comprehensive plan for the economy, which includes specific goals for the production and distribution of goods and services.Resource allocation: The government or planning authority may allocate resources to different industries or sectors based on their perceived importance to society.Price controls: The government or planning authority may set prices for goods and services to ensure that they are affordable for all members of society.Rationing: The government or planning authority may limit the amount of certain goods and services that individuals can consume to ensure equitable distribution.

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you also have the option to build a seawall to lower the odds of your house being destroyed by a flood. if the seawall makes the likelihood of the destructive flood become once every 75 years, what should be your insurance premium?

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The appropriate insurance premium for the given scenario is $1,000 per year.

A seawall is a man-made structure built along a shoreline for the purpose of preventing coastal erosion, decreasing the risk of flood damage, and protecting adjacent land and infrastructure from storm surges. A seawall helps in reducing the probability of house destruction by acting as a barrier that prevents the high-water waves from reaching the shore, deflects wave energy, and dissipates it over a larger area. Thus, the seawall provides better flood protection to the house and the surrounding area.

Building a seawall reduces the risk of the destructive flood from once every 50 years to once every 75 years. To calculate the appropriate insurance premium, we will use the Poisson distribution formula. We have to find the probability of one destructive flood in 75 years since the frequency has been reduced. We can calculate this probability using the Poisson distribution formula.

Poisson distribution formula:The probability of k occurrences of an event in an interval is given by:P(k) = (λ^k * e^(-λ))/k!Where λ is the mean occurrence per interval, and k is the number of occurrences. Here, λ = 1/75 events/year (since the probability of one destructive flood in 75 years is given), and k = 1 (since we want to find the probability of one destructive flood).

The appropriate insurance premium is given by the expected value of the loss, i.e., the probability of the event multiplied by the loss. Here, we assume that the loss is $75,000 (the value of the house), and the insurer has a profit margin of 20%.Thus, the insurance premium is:$1,000 per year.P(k) = (λ^k * e^(-λ))/k! = (1/75 * e^(-1/75))/1 = 0.0136Expected loss = 0.0136 * $75,000 = $1,020Profit margin = 20% * $1,020 = $204Insurance premium = $1,020 + $204 = $1,224 ≈ $1,000

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question content areaduring the current year, eleanor earns $120,000 in wages as an employee of an accounting firm. she also earns $13,000 in gross income from a consulting service she operates. deductible expenses paid in connection with the consulting work amount to $3,000. eleanor also incurs a recognized long-term capital gain of $1,000 from the sale of a stock investment. she must pay a self-employment tax on:

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Eleanor must pay self-employment tax on the $13,000 of gross income from her consulting service.

Self-employment tax is a tax on net self-employment income, which is calculated as 92.35% of the self-employment income multiplied by the self-employment tax rate.

For the current year, the self-employment tax rate is 15.3%, consisting of 12.4% for Social Security and 2.9% for Medicare. However, because Eleanor is an employee of an accounting firm, she is also subject to Social Security and Medicare taxes on her wages.

Therefore, Eleanor's total self-employment tax would be calculated as follows:

Gross income from consulting service: $13,000

Deductible expenses: ($3,000)

Net self-employment income: $10,000

Self-employment tax rate: 15.3%

Self-employment tax: $1,530

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select all that apply employee income tax depends on: (check all that apply). multiple select question. employer's income number of employer withholding allowances employee's income number of employee withholding allowances

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Employee income tax depends on the following factors: Employee's income and Number of employee withholding allowances.  The correct options are C and D.

Income tax is a tax imposed by the government on individuals or entities based on their income or profits. It is a direct tax that is levied on the earnings of individuals, businesses, and other entities.

The employer's income and number of employer withholding allowances do not directly impact the employee's income tax. The employee's income and the number of withholding allowances claimed by the employee affect the amount of income tax withheld from their paycheck.

Thus, the ideal selection is Employee's income and Number of employee withholding allowances.

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the farley corporation starts the year with a beginning inventory of 3,000 units at $5 per unit. the company purchases 5,000 units at $4 each in february and 2,000 units at $6 each in march. farley sells 1,500 units during this quarter. farley has a perpetual inventory system and uses the fifo inventory costing method. what is the cost of goods sold for the quarter?

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farley has a perpetual inventory system and uses the FIFO inventory costing method and the cost of goods sold for the quarter is: $8,812.50.

To calculate the cost of goods sold for the quarter, we need to follow the FIFO inventory costing method. FIFO means first-in, first-out. That means the first unit received by the company will be sold first. The details of the inventory for the quarter are given below:

Beginning Inventory: 3,000 units at $5 = $15,000

Purchases in February: 5,000 units at $4 = $20,000

Purchases in March: 2,000 units at $6 = $12,000

Total Cost of goods available for sale = $47,000

Units sold: 1,500 units

The calculation of the cost of goods sold for the quarter is as follows:

First, we need to use the units in the beginning inventory and February's purchase to calculate the unit cost. We can calculate the unit cost as follows:

Unit Cost = Cost of Goods available for sale / Units available for sale

Unit Cost = $47,000 / 8,000 = $5.875

Now, we can use this unit cost to calculate the cost of goods sold for the quarter.

Cost of goods sold = 1,500 units * $5.875 = $8,812.5

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suppose that buyers desire to purchase $200 billion of extra real output at each price level. what are the new equilibrium price level and level of real output?

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Buyers desire to purchase $200 billion of extra real output at each price level. In this case, there is an increase in aggregate demand by $200 billion. This results in a shift in the aggregate demand curve to the right.

The equilibrium price level and level of real output can be found by graphing the aggregate demand and aggregate supply curves. The new equilibrium price level and level of real output can be found by using the aggregate demand and aggregate supply model. According to the Aggregate demand and supply model, equilibrium occurs at the point where the quantity of aggregate output supplied equals the quantity of aggregate demand.

According to the given information, the aggregate demand has shifted to the right. As a result, the new equilibrium price level and level of real output will increase. The graph for the aggregate demand and supply model is shown below:

The horizontal axis shows the level of real output, while the vertical axis shows the price level. The original equilibrium price level and level of real output are P1 and Y1, respectively. Due to an increase in aggregate demand, the demand curve shifts to the right from AD1 to AD2. This results in a new equilibrium at point B, where the price level is P2 and the level of real output is Y2.

Therefore, the new equilibrium price level is P2, and the level of real output is Y2.

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the gross domestic product (gdp) of malta was approximately 250.72 million us dollars in 1970. from 1970 to 1980, a model indicates the gdp increased by 15% per year compared to the previous year's gdp. which function represents this model, where f(t) is the estimated gdp, in millions of us dollars, and t is the number of years after 1970?

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Between 1970 and 2021, Malta's GDP averaged 5.24 billion US dollars, with a new high of 17.36 billion in 2021 and a record low of 0.25 billion in 1970. Gross domestic product is calculated as follows: consumption + investment + government expenditure + (exports - imports).

Data on spending by households, businesses, and governments will be required to determine the four components of GDP. Additionally, data on imports and exports will be required. Prior to the coronavirus (COVID-19) epidemic, travel and tourism in Malta contributed more than two billion euros to the country's GDP, or an astounding 15% of Malta's GDP. However, by 2021, that amount had decreased to roughly 980 million euros.

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Answer:

f(t) = 250.72(1.15)^t

Explanation:

the u.s. securities and exchange commission periodically charges individuals with insider trading and claims those individuals have made unfair profits. based on this fact, you would tend to argue that the financial markets are at best form efficient. group of answer choices weak strong semiweak semistrong perfect

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The idea that the financial markets are not entirely efficient is supported by the fact that the U.S. Securities and Exchange Commission periodically accuses people of insider trading and asserts that they have gained unjust profits.

In the United States, the Securities and Exchange Commission (SEC) is a federal organisation in charge of upholding federal securities laws, overseeing the securities industry, and safeguarding investors. The main responsibility of the SEC is to guarantee the integrity, fairness, and openness of the financial markets. The SEC regulates a number of organisations involved in the securities sector in order to accomplish this goal, including publicly traded businesses, securities brokers and dealers, investment advisors, and mutual funds. The SEC also has the authority to take enforcement proceedings against people and businesses who break securities laws, and it can impose whatever penalties and punishments are required to discourage similar offences in the future. In general, the SEC is essential to preserving the credibility of the American financial markets and defending the interests of investors.

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zoe is a digital marketer at a graphic design agency, and she's been tasked this quarter with improving the firm's seo. however, the only guidance she has received from her boss is to get the site to rank higher on . in order for zoe to create a successful seo strategy for the business, what should her first step be?

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Zoe's first step should be to conduct a comprehensive SEO audit of the agency's website to identify its strengths, weaknesses, and areas for improvement.

The audit should cover the site's technical SEO, on-page optimization, content quality, and backlink profile. This will provide a baseline for the agency's current SEO status and help identify areas where Zoe can focus her efforts to improve the site's ranking. After the audit, Zoe can develop a customized SEO strategy based on the findings and her knowledge of the industry. The strategy should include a list of action items with timelines, benchmarks, and performance metrics to measure the success of the plan. Zoe should also ensure that the SEO strategy is aligned with the agency's overall marketing goals and budget. Some specific areas that Zoe could focus on to improve the site's ranking include optimizing the site's structure and metadata, conducting keyword research and incorporating relevant keywords into the site's content, improving the site's load speed, creating high-quality content that attracts backlinks, and optimizing the site for local search.

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which of the following statements related to market efficiency tend to be supported by current evidence? i. markets tend to respond quickly to new information. ii. it is difficult for the typical investor to earn above-average returns without taking above-average risks. iii. short-run prices are difficult to predict accurately based on public information. iv. markets are most likely strong-form efficient.

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The following claims about market efficiency are generally supported by the available data: Markets frequently react to new information fast.

Briefing:-

The typical investor finds it challenging to get above-average profits without assuming above-average risks.

Accurately predicting short-term prices based on available information is challenging.

Which of the following claims on effective markets is accurate?

All information is reflected in the prices of securities. According to the efficient market theory, stock prices accurately reflect all available information.

What supporting data exist for market efficiency?

The effectiveness of technical analysis, the performance of investment analysts and mutual funds, the question of whether stock prices accurately reflect the information that is publicly available, and the random-walk behavior of stock prices have all been used as evidence in favor of market efficiency.

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When did ECB start raising rates?

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The European Central Bank (ECB) began raising rates in December 2005, when it increased its benchmark interest rate from 2.0% to 2.25%.

This was the first rate increase in five years and signaled a shift towards tighter monetary policy as the Eurozone economy was growing steadily and inflation was starting to pick up. Over the next three years, the ECB continued to raise rates in small increments, reaching a peak of 4.25% in July 2008, just before the global financial crisis hit. The ECB then embarked on a series of rate cuts to support the struggling Eurozone economy.

However, the global financial crisis hit soon after, prompting the ECB to embark on a series of rate cuts to support the struggling Eurozone economy. The ECB kept rates at historic lows for several years after the crisis, but began to gradually raise them again in 2019, with the most recent increase occurring in December 2021, bringing the benchmark interest rate to -0.25%.

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the government imposes a sales tax on hot dogs. the tax would be paid entirely by hot dog sellers if the___

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In the following question, The government imposes a sales tax on hot dogs. The tax would be paid entirely by hot dog sellers if the "supply of hot dogs is inelastic."

What is an inelastic supply? The inelastic supply refers to when the increase or decrease in price causes a smaller percentage change in the quantity supplied. The inelastic supply of hot dogs means that the hot dog seller has to pay the entire amount of the tax imposed by the government. Why is the tax imposed by the government on hot dogs? The tax imposed by the government on hot dogs is a type of indirect tax.

The purpose of this tax is to increase revenue for the government. Indirect taxes like sales tax can increase the price of the product, making it more expensive for the consumers, and reducing the consumption of the product. In summary, the government imposes a sales tax on hot dogs, and the tax would be paid entirely by hot dog sellers if the supply of hot dogs is inelastic.

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what are the factors to be considered when positioning a product? select one: a. personality, affiliation, communication of value b. attitudes, benefits, communication of value c. attributes, benefits, communication of value d. affiliation, benefits, customer value

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Option (c), When positioning a product, attributes, advantages, and value communication are all important variables to take into account.

What does product benefit and quality positioning mean?

Here are a few examples of positioning by the benefits and features of the product: relating a particular quality or benefit to the name or product of your business. establishing a price-friendly reputation for your company or goods. Associating your brand or product with excellence is known as "product excellence."

What advantages may product placement techniques provide?

creates a positive perception of your business or product: By using positioning in marketing, you may influence how consumers perceive your products. If you offer materials that depict the product positively, customers may associate you with it, which might improve sales.

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a complex multitude of international agreements and international trade laws which complement domestic laws is a form of trade law called

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A complex multitude of international agreements and international trade laws which complement domestic laws is a form of trade law called International Trade Law.

International trade law governs the trade of goods and services between nations. It's a branch of public international law that deals with trade between nations. International trade law is also known as the law of international trade or trade law. It's a combination of domestic law and international trade regulations. International trade law is essential for global economic development because it creates a framework for global trade rules and standards that all nations must adhere to. The law serves to regulate trade between countries, ensuring that businesses are protected from unfair competition and that consumers have access to safe and high-quality products. It also facilitates dispute resolution between trading partners by providing a forum for resolving disagreements and disputes that arise from international trade. International trade agreements are formal agreements between countries that regulate and facilitate trade between them. These agreements reduce barriers to trade, making it easier for goods and services to cross borders. The General Agreement on Tariffs and Trade (GATT) and the World Trade Organization (WTO) are examples of international trade agreements. Regional trade agreements (RTAs) are also becoming more common, with many countries forming economic alliances to reduce trade barriers and increase trade volumes.

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which of the following is the best indicator of management's effectiveness at managing the firm's balance sheet? times-interest-earned debt ratio total asset turnover operating profit margin

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The best indicator of management's effectiveness at managing the firm's balance sheet is the times-interest-earned debt ratio. This ratio measures the ability of the firm to meet its interest payments on outstanding debt. It is calculated by dividing the earnings before interest and taxes (EBIT) by the interest expense. A higher ratio indicates that the firm has sufficient earnings to cover its interest expenses, which is a sign of good management.

The total asset turnover ratio is also useful in assessing management's effectiveness at managing the balance sheet. This ratio measures the efficiency of the firm in using its total assets to generate sales. A higher ratio indicates that the firm is utilizing its assets more effectively and efficiently, which is a sign of good management.

The operating profit margin is also a useful indicator of the management's effectiveness at managing the balance sheet. This ratio measures the efficiency of the firm in generating profits from its sales. A higher ratio indicates that the firm is generating more profits from its sales, which is a sign of good management.

In conclusion, the times-interest-earned debt ratio is the best indicator of management's effectiveness at managing the firm's balance sheet. This ratio measures the ability of the firm to meet its interest payments on outstanding debt, and a higher ratio is a sign of good management. The total asset turnover ratio and the operating profit margin are also useful indicators of the management's effectiveness at managing the balance sheet.

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whistle-blowers question 1 options: typically get promoted to management. usually gain the respect and admiration of their colleagues. are usually financially rewarded by their organizations for their integrity. make an unauthorized discloser about a harmful situation or fraud. all of the above

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Whistle-blowers typically make an unauthorized discloser about a harmful situation or fraud. Option D is the correct answer.

Who are Whistle-blowers?

The individuals who make an unauthorized disclosure about a harmful situation or fraud are known as whistle-blowers. They make disclosures about the activities or acts of their company, government, or organization.

To put it another way, a legal whistleblower is someone who gives information to a designated receiver that they properly believe shows misconduct.

They blow the whistle on illegal activities, waste, or fraud within their workplace, institution, or government, risking their jobs and sometimes even their lives to do so. So, the correct answer is option D, which states that whistle-blowers make an unauthorized discloser about a harmful situation or fraud.

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five percent of the customers who visit a website complete a product purchase. if one considers just the set of customers who completed the project purchase at the website, 80% read at least some of the user reviews about the product on the site. when considering those customers who did not purchase of the product at the website, only 20% of these potential customers read the user reviews about the product on the site. the website managers are interested in how customer review-reading behavior affects the likelihood of purchase. the two distinct events that are relevant for the managers in this example are: group of answer choices the customer's behavior with respect to visiting or not visiting the site the customer's product purchase or not to purchase decision the customer's purchase and review reading choices. all answers are correct. the customers behavior with respect to reading or not reading the reviews

Answers

The two distinct events that are relevant for the managers in this example are "The customers behavior with respect to reading or not reading the reviews".

About customer behavior

The customers behavior with respect to reading or not reading the reviews is the relevant event for website managers to understand how customer review-reading behavior affects the likelihood of purchase.

The relevant events that are crucial for website managers in this example are:

the customers behavior with respect to reading or not reading the reviews (for website managers to understand how customer review-reading behavior affects the likelihood of purchase)

the customer's product purchase or not to purchase decision (for website managers to understand the likelihood of purchase or non-purchase decisions)

Therefore, the correct option is: The customers behavior with respect to reading or not reading the reviews.

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True/False? an error is considered material if it would trigger an irs audit.

Answers

False.

The materiality of an error is not determined solely by whether it would trigger an IRS audit. Materiality is a concept used in accounting and auditing to evaluate the significance of an error or omission in financial statements, and it is determined by the impact that the error could have on the decisions of users of the financial information.

While the risk of an IRS audit may be one factor considered in evaluating materiality, it is not the sole determinant. Other factors may include the dollar amount of the error, the nature of the error, and the context in which the financial statements are being used.

calculate the present worth of $66,500 to be received 6 years from now, if the predicted real rate of return is 15% per year and the inflation rate is 10% per year.

Answers

The present worth of $66,500 to be received 6 years from now can be calculated using the formula:

Present worth = Future worth / (1 + r)n

where

r = the real rate of return n = the number of years

To calculate the present worth of $66,500 to be received 6 years from now, we need to adjust it for inflation. The adjusted future worth can be calculated as:

F = $66,500 × (1 + 10%)6F = $66,500 × 1.77156F = $117,875.20

Now, we can use the formula to calculate the present worth:

P = $117,875.20 / (1 + 15%)6P = $50,000.99

Therefore, the present worth of $66,500 to be received 6 years from now, given the predicted real rate of return of 15% per year and inflation rate of 10% per year, is $50,000.99.

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the audit objective that footnotes in the financial statements should be clear and expressed such that the information is easily conveyed to the readers of the financial statements is related most closely with which of the asb presentation and disclosure assertions?

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The clarity of footnotes in the financial statements is related to the completeness assertion, which ensures that all transactions and accounts that should be presented in the financial statements are included.

To understand why the clarity of footnotes is related to the completeness assertion, we can think of financial statements as a puzzle. The completeness assertion ensures that all the pieces of the puzzle are included, and the clarity of footnotes ensures that each piece is visible and easily understood by the readers of the financial statements.

Footnotes are disclosures in the financial statements that provide additional information about specific accounts, transactions, or other items presented in the financial statements.

Footnotes can also provide information about the accounting policies, significant assumptions, and estimates used in preparing the financial statements.

If the footnotes are not clear and expressed such that the information is easily conveyed to the readers of the financial statements, the financial statements may not be complete.

Auditors consider this assertion, along with five other assertions, when auditing financial statements to ensure that they are fairly presented in all material respects.

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fathom company acquired a $50,000 machine on january 1, 2022. the machine is estimated to have a useful life of 5 years, and a residual value of $5,000. for units-of-production depreciation purposes, the machine is expected to produce 500,000 units. if fathom company uses double-declining-balance depreciation, what is the depreciation expense in 2023?

Answers

If fathom company uses double-declining-balance depreciation, then the depreciation expense in 2023 is  $20,000.

To calculate the depreciation expense in 2023 for the $50,000 machine acquired by Fathom Company on January 1, 2022, using double-declining-balance depreciation, we can use the following formula:

Depreciation Expense = (Book Value - Residual Value) * (Depreciation Rate)

Book Value = $50,000
Residual Value = $5,000
Depreciation Rate = (2/Useful Life)

                               = (2/5)

                              = 0.4

Therefore, the depreciation expense in 2023 is:

Depreciation Expense = ($50,000 - $5,000) * 0.4

                                     = $20,000

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The reality principle, according to Freudian psychology, is behavior guided by the primary desire to maximize pleasure and avoid pain. T/F

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The given statement "The reality principle, according to Freudian psychology, is behavior guided by the primary desire to maximize pleasure and avoid pain" is False because the reality principle is a crucial part of an individual's ability to function in the real world.

The reality principle refers to the ability to postpone gratification to meet the demands of the real world. The reality principle is a concept in Freudian psychology that refers to an individual's ability to postpone gratification to meet the demands of the real world.

The reality principle emerges as the psyche's ability to understand that the world doesn't always provide what one wants immediately, and gratification must be postponed. It involves the ego's ability to regulate one's behavior in accordance with the demands of the external world. It contrasts with the pleasure principle, which is the drive towards immediate gratification of wishes and impulses without considering the long-term consequences or reality. In Freud's model of the psyche, the id is the source of the pleasure principle. It represents the unconscious and seeks immediate gratification of desires and impulses.

The ego is the component responsible for the reality principle. It seeks to find ways of fulfilling the id's desires in a manner that is acceptable and appropriate in the real world. The superego, on the other hand, represents the internalized values and morals of society and serves to moderate the desires of the id and ego to conform to socially acceptable behavior. Overall, the reality principle is a crucial part of an individual's ability to function in the real world. It allows one to delay gratification and take into account the long-term consequences of their actions.

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suppose the m2 money supply is $13 trillion, including:$7 trillion in savings accounts$3 trillion in checking accounts$1 trillion in money market mutual funds$1 trillion in certificates of deposit$1 trillion in currencywhat is the m1 money supply?type an answer and press enter to submit

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The M1 money supply is the sum of currency, demand deposits, traveler's checks, and other checkable deposits. In this case, the M1 money supply is $13 trillion, since it includes $7 trillion in savings accounts, $3 trillion in checking accounts, $1 trillion in money market mutual funds, $1 trillion in certificates of deposit, and $1 trillion in currency.

Currency includes coins and paper money, and demand deposits are the funds that people have in their checking accounts. Traveler's checks and other checkable deposits are funds that customers can access quickly, such as those in online accounts.

In summary, the M1 money supply is the sum of currency, demand deposits, traveler's checks, and other checkable deposits. In this case, the M1 money supply is $13 trillion, as it includes $7 trillion in savings accounts, $3 trillion in checking accounts, $1 trillion in money market mutual funds, $1 trillion in certificates of deposit, and $1 trillion in currency.

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ctivity 3 $ 113,000 setups 3,500 6,250 annual production and sales level of product a is 35,300 units, and the annual production and sales level of product b is 70,550 units. what is the approximate overhead cost per unit of product a under activity-based costing?

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According to activity-based costing, the average overhead cost per unit of product A is $6.37. Depending on the activities that create the cost, activity-based costing divides the entire overhead cost into a number of cost pools.

The overall overhead cost is separated into several cost pools using activity-based costing, depending on the activities that generate the cost. Using activity-based costing, the average overhead cost for Product A is $6.37 per unit. The activity cost pools' respective allocation rates are used to divide the $113,000 in total overhead costs among them. By dividing the activity allocation rates by the activity use for product A, $56,750 is the overhead cost attributed to that product. A total of 35,300 units were produced and sold, hence the overhead cost per unit for product A is around $6.37 ($56,750/35,300).

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how are firms with virtual structure are organized? group of answer choices they are structured with a president and vice presidents of marketing, finance, hr, and design. the sales and design teams cross-collaborate, and the other functions are outsourced. they are organized around their main client types. their employees work from their home offices and communicate via video conferencing and other technologies.

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Firms with a virtual structure are organized around a decentralized model that relies on technology to coordinate the work of remote teams.

Unlike traditional hierarchical structures that are centered around physical locations, virtual firms allow employees to work from anywhere and collaborate through digital platforms.

Typically, virtual firms are organized around project teams that are assembled to address specific client needs. These teams may be cross-functional and may include individuals with expertise in areas such as design, marketing, finance, and engineering. Virtual firms may also outsource some functions, such as accounting or IT, to specialized service providers.

Communication and collaboration are critical components of a virtual firm's organizational structure. Teams may use video conferencing, instant messaging, email, and other technologies to stay in touch and share information.

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abc, inc. is considering diversifying into a new industry. however, they currently do not have enough cash on hand to make an acquisition nor do they have the human capital to do so through internal mechanisms. a good alternative for abc, inc. would be to .

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A wise alternative for ABC, Inc. would be to create a joint venture or strategic partnership with a industry that has already made a name for itself in the new market.

Establishing a joint venture or strategic alliance with a company that has established a presence in the new market would be a smart solution for ABC, Inc. By creating a strategic partnership or joint venture, ABC, Inc. is able to benefit from the knowledge, assets, and established market presence of the partner business without having to make a sizable upfront investment or develop new internal skills. By doing this, ABC Inc. is also able to share the risk and possible benefits of the new business endeavour with the partner firm. ABC, Inc. can hasten its entry into the new industry and raise its chances of success by working with an established company in the sector.

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cathy puts 10% of her pay in a roth 401(k) plan administered by her employer. her employer matches 100% of the first 5% of her contribution. she earns $120,000 per year and her average tax rate is 17% and her marginal tax rate is 24%. what tax savings does she get from her contribution? a. $2,880 b. $4,320 c. $2,040 d. $3,060 e. $0

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c. $2,040 .Cathy makes $120,000 per year and contributes 10% of her earnings, or $12,000, to her employer's Roth 401(k) plan. Her company will match 100% of the first 5% of her contribution, up to a total of $6,000.

Cathy reduces her taxable income by $12,000 by contributing to the Roth 401(k) plan, lowering her tax burden. Her typical tax rate is 17%, which results in a tax savings of $2,040 ($12,000 x 17%). But, because Cathy's marginal tax rate is 24%, her tax savings might be much greater if her contribution lowers her income sufficiently to put her in a lower tax band. Cathy reduces her taxable income by $12,000 by contributing to the Roth 401(k) plan,Cathy would need to compute the difference in taxes between her existing marginal tax rate and the new marginal tax rate to get the actual tax savings.

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