schager company purchased a computer system at a cash cost of 25,000 how much is the 2020 depcreciation expense

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Answer 1

For 2020, Schager Company will incur depreciation costs of C. $4,000.

How is the double declining-balance method used to calculate depreciation expense?

One can calculate the depreciation expense using the double-declining-balance technique by multiplying and dividing 100% by the projected useful life.

The asset is then depreciated annually based on the decreased balance using the rate achieved.

Data and calculations: $25,000 is the cost of the computer equipment.

10 years is the estimated usable life.

$3000 is the estimated residual value.

Depreciation approach equals the twofold declining-balance method

20% (100/10 x 2) is the depreciation expenditure rate.

($25,000 x 20%) = $5,000 in depreciation costs for 2019.

As of January 1, 2020, the declined balance was $20,000 ($25,000 - $5,000).

For 2020, depreciation costs will be $4,000 ($20,000 x 20%).

Thus, C. $4,000 will be Schager Company's depreciation expense for 2020.

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the actual question is :

Schager Company purchased a computer system on January 1, 2020, at a cash cost of $25,000. The estimated useful life is 10 years, and the estimated residual value is $3,000. The company will use the double declining-balance depreciation method. How much is the 2020 depreciation expense? $5,000. $4,120. $4,000. $3,520.


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two parents are trying to figure out how tall their child might be by using a formula that was created based on studying large amounts of parents and children. this formula takes into account the heights of the parents along with other key factors. this is an example of what kind of analytics

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This is an example of predictive analytics, which uses historical data, statistical algorithms, and machine learning to forecast future outcomes.

Predictive analytics can be used to make predictions about people's behavior, health, and other characteristics. In this example, the parents are using a predictive analytics model to forecast the height of their child based on the parents' heights and other key factors. This model uses historical data of the parents' and their children's heights, as well as other factors, to generate a prediction.

Predictive analytics can be used in a variety of fields, including healthcare, finance, education, and marketing. For example, in healthcare, predictive analytics can be used to forecast the probability of a patient developing a certain disease or suffering an adverse event. In finance, predictive analytics can be used to forecast stock prices and investment opportunities. In education, predictive analytics can be used to predict students' performance in courses and to tailor educational interventions. In marketing, predictive analytics can be used to forecast customer behavior and optimize product offerings.

Overall, predictive analytics is a powerful tool for forecasting future outcomes. By studying historical data and leveraging statistical algorithms and machine learning techniques, it is possible to make accurate predictions about people, products, and services.

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which of the following would be used as an input for an information system? year to date sales of products xproduct id, and price marketing costs report for each product sales for stores in a region sales by region report

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An information system would use the following as an input: Year-to-date sales of products, product ID and price, marketing costs report for each product, sales for stores in a region, and sales by region report.

What is an information system? An information system is a type of computer-based tool used by a company to manage and organize data. Information systems are designed to assist the decision-making process by processing, organizing, and summarizing vast amounts of data in a structured manner, thereby increasing the quality of decision-making.

Information systems gather data, transform it into information, and communicate it to decision-makers. Organizations use information systems to control and handle information to be able to make decisions. The information system combines information technology, people, and processes to enhance company operations and management.Why does an information system require input?An information system is designed to take raw data from various sources, process it into meaningful information, and then generate outputs that help businesses in making informed decisions.

As a result, an information system necessitates input data that is useful, up-to-date, and of high quality. Companies use an information system to collect, store, process, and transmit data across departments, and it is critical that these inputs are accurate, well-organized, and consistent.

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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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you are considering purchasing a cnc machine which costs $150,000. this machine will have an estimated service life of 10 years with a net after-tax salvage value of $15,000. its annual after tax operating and maintenance costs are estimated to be $50,000. to expect an 18% rate of return on investment, what would be the required minimum annual after-tax revenues?

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For the CNC machine, $77,861.19 in minimum yearly after-tax income is necessary in order to get an 18% rate of return on investment.

How much is the interest rate post-tax?

The actual financial benefit of an investment is its after-tax real rate of return, which takes inflation and tax implications into account. After paying income taxes and accounting for the rate of inflation, it is a more accurate indicator of an investor's net earnings.

We need to apply the net present value (NPV) approach to calculate the minimal yearly after-tax earnings needed to get the CNC machine to pay for itself at an 18% rate of return on investment.

The NPV calculation formula is:

NPV = -C0 + (C1 / (1 + r)) + (C2 / (1 + r)²) + ... + (Cn / (1 + r)ⁿ)

Where:

C0 = initial cash outflow (cost of investment)

C1, C2, ..., Cn = net cash inflows or outflows in each period (after-tax revenues - after-tax operating and maintenance costs)

r = discount rate (required rate of return)

Using the given information, we can calculate the annual net cash inflows as follows:

Annual net cash inflows = after-tax revenues - after-tax operating and maintenance costs - annual depreciation

Annual depreciation = (initial cost - salvage value) / service life

Annual depreciation = ($150,000 - $15,000) / 10 = $13,500

Annual net cash inflows = X - $50,000 - $13,500

Annual net cash inflows = X - $63,500

Where X is the required minimum annual after-tax revenues.

Using the NPV formula, we can set the NPV equal to zero and solve for X:

0 = -$150,000 + (X - $63,500) / (1 + 0.18) + (X - $63,500) / (1 + 0.18)² + ... + (X - $63,500) / (1 + 0.18)¹⁰

Simplifying the equation, we get:

0 = -$150,000 + (X - $63,500) x (7.787)

X - $63,500 = $150,000 / 7.787

X = $77,861.19

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How do you use a scoped rifle to take out the target with a bulldozer?

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It is not recommended to use a scoped rifle to take out a bulldozer as it is unlikely to be effective and could cause harm to innocent bystanders or property.

Using a scoped rifle to take out a bulldozer is not a recommended or effective course of action. The rifle is not powerful enough to stop a large and heavy machine like a bulldozer, and attempting to shoot at it could cause harm to innocent bystanders or nearby property. Additionally, engaging in such an action could be illegal and result in serious consequences for the shooter.

It is important to seek alternative solutions in situations where a bulldozer is being used in a dangerous or harmful manner.

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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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bill, who is unmarried, is selling his rental home and plans to put off buying another home for five years. he earns $325,000 annually, putting him in the highest tax bracket at 23.8 percent. if he nets $200,000 on the transaction, how much will his tax liability be for the capital gain portion of his return only?

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Bill's tax liability for the capital gain portion of his return only, having earned $325,000 annually and netting $200,000 on the transaction and putting him in the highest tax bracket of 23.8% is $47,600.

What are capital gains?

Capital gains refer to the income that one earns from selling a non-inventory asset. The difference between the cost of the asset and the amount you sold it for, as well as any transaction costs, is referred to as a capital gain. You'll need to know how long you kept the asset before selling it to figure out your capital gains tax liability. This is because assets are categorized as either long-term or short-term depending on how long they are kept.

The taxes that one is liable to pay is dependent on one's income bracket, and the percentage is also dependent on that income bracket. Because Bill nets $200,000 on the transaction and is in the highest tax bracket at 23.8%, his tax liability for the capital gain portion of his return only will be $47,600.

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drew contracts to sell a residential duplex to evan. the contract provides that if drew does not close the deal by september 15, he must pay evan one-half of the contract price. this provision is not enforceable because it is

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The contract provision is not enforceable because it is a penalty clause.

A penalty clause in a contract is a clause that specifies the remedy payable by one party to another in the event of a breach. If a specific provision in a contract seems punitive in nature, it will be considered a penalty clause. In the situation where a penalty clause is included in the agreement, the aggrieved party may sue for damages or compel enforcement of the contract's performance.

Penalty clauses in a contract are unenforceable since they are deemed punitive and unfair. However, in order to be viewed as a penalty, the clause must meet certain requirements. The clause must be deemed to be a penalty if it is a predetermined sum intended to penalize the defaulting party in the event of a breach that does not match the actual loss incurred by the non-defaulting party. It is also worth noting that a penalty clause is not the same as a liquidated damages provision, which is enforceable.

A liquidated damages provision specifies the amount of compensation that a defaulting party must pay to the non-defaulting party in the event of a breach. It is based on a reasonable estimate of the actual damages that may be incurred by the non-defaulting party as a result of the breach.

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a leftward shift in the demand curve for tennis balls could be caused by group of answer choices a rise in the price of tennis balls. a fall in the price of tennis rackets. a rise in the price of tennis lessons. an increase in income, assuming tennis balls are a normal good.

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A leftward shift in the demand curve for tennis balls could be caused by a rise in the price of tennis balls and a fall in income. The answer to the given question is option A and option D.

How was leftward shift in the demand curve occurs

A leftward shift in the demand curve occurs when the quantity demanded for a good at any given price level falls due to a change in any factor that affects demand in general.

Here, there are a few factors that may shift the demand curve for tennis balls to the left:

An increase in the price of tennis balls: If the price of tennis balls rises, people will purchase fewer tennis balls at any given price level. Consequently, there will be a leftward shift in the demand curve for tennis balls.

A fall in income: Tennis balls are considered to be a normal good. A normal good is a good whose demand rises when consumers' income rises. Therefore, if the income of consumers falls, they will not be able to purchase as many tennis balls as before. Therefore, this will cause a leftward shift in the demand curve for tennis balls.Thus, option A and option D are correct.

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nu yu announced today that it will begin paying annual dividends. the first dividend will be paid next year in the amount of $.63 a share. the following dividends will be $.68, $.83, and $1.13 a share annually for the following three years, respectively. after that, dividends are projected to increase by 4.1 percent per year. how much are you willing to pay today to buy one share of this stock if your desired rate of return is 15 percent?

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To calculate the amount I am willing to pay for one share of the stock, I used the dividend discount model. This model uses the current dividend, the rate of return desired, and the growth rate of the dividend to determine the value of the stock.

In this case, the current dividend is $.63 a share, the desired rate of return is 15%, and the growth rate is 4.1%. Using this information, I was able to determine that the value of one share of the stock is $3.77. This means that I am willing to pay $3.77 today to purchase one share of the stock, with the expectation that the dividends will increase and provide me with a 15% rate of return.

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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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investment banks are institutions that . a) perform all activities of commercial banks and retail banks b) are exempted from securities and exchange commission regulations c) engage in trading and market making activities d) are only limited to capital market activities

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Investment banks are institutions that engage in trading and market making activities. Option (c) is the correct answer.

What are investment banks?

Investment banks are financial institutions that help companies and governments issue securities. These banks play a critical role in enabling new firms to raise funds to establish themselves or for existing firms to grow. They help with the underwriting of securities and the sale of new securities. The investment bank can acquire the securities from the issuer and resell them to the public. The bank also provides advisory services and research into securities and other financial markets for the customers. Investment banks can deal with institutional clients or large corporations, whereas retail customers typically use commercial banks. 

In addition, investment banks help manage companies’ stock and debt offerings, assist with mergers and acquisitions, and provide investment research and analysis. They also offer proprietary trading and market-making services, as well as advisory services for individuals and institutions. They use their proprietary knowledge to trade stocks, bonds, and other financial instruments. These banks may use their assets or clients' assets to trade with other banks or to facilitate transactions between buyers and sellers in the financial markets. They use their networks and resources to gather data, analyze market trends, and offer advice to clients.

In conclusion, Option (c) is the correct answer because investment banks engage in trading and market making activities. Investment banks are institutions that enable firms to raise funds, provide advisory services, underwrite securities and offer proprietary trading, and market-making services.

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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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which georgia activist worked closely with dr. martin luther king, jr., eventually becoming an executive director of the southern christian leadership conference?

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The Georgia activist who worked closely with Dr. Martin Luther King Jr. and eventually became an executive director of the Southern Christian Leadership Conference (SCLC) is Ralph Abernathy.

Abernathy was born in Linden, Alabama, in 1926 and met King in Montgomery, Alabama, in 1955 during the Montgomery bus boycott. From then on, Abernathy worked alongside King, serving as a trusted advisor and a key figure in the civil rights movement.

He played a vital role in organizing the Selma to Montgomery marches in 1965, which helped secure the Voting Rights Act of 1965. After King's assassination in 1968, Abernathy became the SCLC's president and continued to work towards racial justice and equality until his death in 1990. Abernathy's legacy continues to inspire and influence social justice movements today.

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What is an example of marketing through sports?
Free Bobbleheads being given out in a stadium
Gatorade advertising athletes drinking their product
tora
A team selling its own jerseys on a website
The NFL selling season tickets for a certain team

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One illustration of sports marketing is Gatorade's advertisement for athletes to drink their product, tora. Option B is correct .

What is Sports Marketing ?

Sports marketing is a subfield of marketing that focuses on both promoting other products and services through sports teams and events that are geared toward customers and fans and promoting sports events. It is a service in which a tangible product or a brand name can be promoted. The objective is to furnish the client with systems to elevate sports or to advance another item, administration, business or cause through sports. Through exchange processes, sports marketing is also designed to satisfy consumers' requirements and preferences.

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in which buying situation is the buyer most likely to proceed through all six steps in the buying process?multiple choicestraight rebuygeneric buynew buymodified rebuyadapted buy

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the correct option is. new buy. The new buy circumstance is probably going to include every one of the six stages in the buying process.

A new buy happens when a buyer buys an item or administration interestingly and has no experience or information about it. A new buy requires more data search and assessment of options than other buying circumstances.

A few potential instances of new buy products or services are:

A new programming framework that the organization needs to execute to work on its operations or client care.

A new sort of hardware or gear that the organization needs to deliver a new item or increment its proficiency.

A new provider or merchant that the organization needs to source its unrefined substances or parts from

The distinctions between straight rebuy, modified rebuy, and generic buy circumstances are as per the following:

Straight rebuy: This is a buying circumstance where the buyer regularly reorders similar items or administrations from a similar provider with no changes or changes. This is a low-inclusion buy that requires practically zero data search or assessment of choices.

Modified rebuy: This is a buying circumstance where the buyer needs to change a few parts of the ongoing item or administration, like the determinations, costs, terms, or providers. This is a medium-inclusion buy that requires some data search and assessment of options.

Generic buy: This is a buying circumstance where the buyer buys an item or administration interestingly and has no experience or information about it. This is a high-inclusion buy that requires a broad data search and assessment of options.

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the complete question is:

In which buying situation is the buyer most likely to proceed through all six steps in the buying process?

A.new buy

B.modified rebuy

C.straight rebuy

D.generic buy

E.adapted buy

it is very important that managers monitor the costs of a company and how it is performing on a basis. weekly weekly hourly hourly never never monthly monthly

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it is very essential that managers monitor the prices of a organisation and how it is performing on a hourly basis.

n which organizational shape a chain of command is created primarily based on worker positions within the business?

Hierarchical org structure

It's the most common type of organizational structure—the chain of command goes from the top (e.g., the CEO or manager) down (e.g., entry-level and low-level employees), and every employee has a supervisor.

Planning: is the characteristic of administration that entails placing goals and identifying a path of motion for attaining these objectives.

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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 much depreciation expense exists in a firm that has a break-even level of revenues of $2 million, fixed costs of $400,000 and a 60% ratio of variable costs to sales? enter your answer rounded to zero decimal places in whole dollars (not millions or thousands of dollars).

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$1,000,000 is the break-even point (in dollars). This means that in order for the company to break even, $1 million in revenue is required.

How much depreciation expense is there in a business with $2 million in break-even revenues, $400,000 in fixed costs, and a 60% variable cost to sales ratio?

We must apply the formula for determining the break-even point in order to determine the amount of depreciation expense that exists in a company with a break-even level of revenues:

Fixed costs / Fixed costs = Break-even point (in dollars) (1 - Variable cost ratio)

In this instance, the variable cost ratio is 60%, or 0.6, and the fixed costs total $400,000. With these values entered into the formula, we obtain:

$400,000 / (1 - 0.6) = $1,000,000 is the break-even point (in dollars).

This means that in order for the company to break even, $1 million in revenue is required. We cannot determine the amount of depreciation expense that exists in the firm because no information about the firm's depreciation expenses is provided. Depreciation expense is a non-cash expense that lowers a company's taxable income but has no impact on the company's cash flows. The firm's accounting procedures and the types of assets it owns will determine how much depreciation expense is incurred.

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high income countries with primarily market based economies, large stocks of technologically advanced industrial capital, and a highly educated and skilled workforce (such as the united states, norway, australia, germany, and japan) are referred to as

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High income countries with primarily market-based economies, large stocks of technologically advanced industrial capital, and a highly educated and skilled workforce (such as the United States, Norway, Australia, Germany, and Japan) are referred to as developed countries.

A developed country is a sovereign state characterized by high levels of economic growth and security, as well as other factors like a well-developed social infrastructure, education system, and healthcare facilities. These countries, such as the United States, Canada, the United Kingdom, Japan, and Germany, are typically defined as "advanced economies" because of their high levels of industrialization and widespread wealth.The United Nations Development Programme (UNDP) considers a developed country to be one in which citizens have access to a decent standard of living, including a healthy life, access to knowledge, and a reasonable standard of living. In a developed country, residents can expect a high level of security, whether it comes from the government or from each other. The economy is usually service-oriented, and the manufacturing industry, if it exists, is highly specialized and produces high-end goods.

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An economy has no imports and no taxes. The marginal propensity to save is 0.2.
A​ ______ increase in autonomous expenditure increases equilibrium expenditure by​ $60 billion.
The multiplier is​ ______.
A. $12 ​billion; 5.00
B. $300 billion; 5.00
C. $48 billion; 1.25
D. $75 ​billion; 12

Answers

The right response is C. $1.25; $48 billion. The spending multiplier in this situation has the following formula: Multiplier = 1 / (1 - Marginal Propensity to Consume)

The Marginal Propensity to Consume (MPC) is equal to 1 - Marginal Propensity to Save, which is 1 - 0.2 = 0.8 because there are no imports and no taxes in the economy.

The multiplier is therefore 1 / (1 - MPC) = 1 / (1 - 0.8) = 5

The equilibrium spending will rise by: if autonomous expenditure rises by $10 billion.

Increase in Autonomous Expenditure = Increase in Equilibrium Expenditure x Multiplier = 5 x $10 billion = $50 billion

Hence, an increase in autonomous spending of $60 billion will lead to an increase in equilibrium spending of $60 billion / $10 billion x $50 billion = $300 billion.

Yet, the query requests the multiplier's value for this economy, which is 5, which is 1. The right response is C, which is $48 billion; 1.25.

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The correct answer is option B: $300 billion increase in equilibrium expenditure and a multiplier of 5. We can find it in the following manner.

The formula for the spending multiplier in an economy with no taxes and no imports is:

Multiplier = 1 / (1 - MPC)

where MPC is the marginal propensity to consume, which is equal to 1 - MPS (marginal propensity to save).

Given that MPS = 0.2, we have:

MPC = 1 - MPS = 1 - 0.2 = 0.8

Therefore, the multiplier is:

Multiplier = 1 / (1 - MPC) = 1 / (1 - 0.8) = 5

Now, we can use the multiplier to calculate the increase in equilibrium expenditure resulting from an increase in autonomous expenditure. The formula for this is:

Change in equilibrium expenditure = Multiplier x Change in autonomous expenditure

We are given that an increase in autonomous expenditure leads to a $60 billion increase in equilibrium expenditure. Therefore, we have:

Change in autonomous expenditure = $60 billion

Change in equilibrium expenditure = Multiplier x Change in autonomous expenditure

= 5 x $60 billion

= $300 billion

So the correct answer is option B: $300 billion increase in equilibrium expenditure and a multiplier of 5.

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job enrichment is increasing the degree of responsibility a worker has over a job by all except:

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Enhancing a worker's employment is not about raising their compensation or perks. A technique to make employees' employment better is to give them greater autonomy and control over their work.

Giving employees more freedom and influence over their work is a way to improve their jobs. This might entail giving them more responsibility, giving them control over how they carry out their jobs, and giving them chances to advance and develop. Although work enrichment can enhance motivation and job satisfaction, it is not often linked to increases in compensation or benefits. Instead, job enrichment focuses on enhancing the work itself and increasing the worker's sense of challenge and significance. Organizations may use this to enhance staff engagement and retention, which will boost general performance and productivity.

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what job would be best suited for someone with a high need for affiliation? a. engineer b. accounting c. teacher d. entrepreneur

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Option (d), An individual with a strong desire for attachment would be most suited for the position of entrepreneur.

What is required of an entrepreneur to achieve significant success?

Entrepreneurs have a strong desire to see their companies flourish. People are driven by this great sense of accomplishment to conquer obstacles, suppress fears, correct errors, find solutions, and create and manage lucrative businesses (McClelland 1961).

What do those who have a high need for connection want?

The need for human connection; people with a high need for attachment often want comfort and approval from others and are frequently genuinely concerned about others' feelings. People with strong attachment desires usually work in fields that need a lot of social connection.

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you have just finished analyzing data for a marketing project. before moving forward, you share your results with members of the marketing team to see if they might have additional insights into the business problem. what process does this support?

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The process that supports the sharing of results with members of the marketing team to see if they might have additional insights into the business problem is Collaboration.

Collaboration is a process where individuals or groups work together to achieve shared goals. Collaboration is where individuals or groups work together to achieve a shared goal. Collaboration allows people to come together and pool their resources to achieve something that they couldn't do on their own. Collaboration can have both advantages and disadvantages, as well as different types of collaboration.

The following are the most prevalent advantages and disadvantages of collaboration:

Advantages of Collaboration

Collaboration is beneficial in a variety of ways. Some of the advantages are:

Collaboration allows people with different expertise to come together and work on a problem. As a result, individuals are not constrained by their own knowledge and expertise. Collaboration can result in the creation of better solutions or outcomes than working alone. This is because each person brings their unique perspective and ideas to the table. Collaboration can lead to greater employee satisfaction and motivation.

Disadvantages of Collaboration

Collaboration also has some disadvantages, such as: Collaboration may take longer than working alone. Collaboration may result in conflicts or disagreements between team members. Collaboration can lead to groupthink, which occurs when people are too concerned with conforming to the group's ideas rather than speaking up with their own ideas.

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the statistical quality measures such as process capability and process control focus mostly on which dimension of quality?

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Statistical quality measures such as process capability and process control focus mainly on the dimensional aspect of quality.

Process capability evaluates a process's ability to meet customer requirements. It measures the degree to which the output from a process varies from the customer's specification. Process control ensures that the process remains within the limits set by customer requirements. Process control monitors the process over time and can detect any changes that occur, allowing for corrective action to be taken.

Process capability and process control are both important statistical quality measures because they help to ensure that a product meets customer requirements. They help to ensure that the output of a process meets customer specifications and is consistent over time. By monitoring the process over time, process control can detect any changes that may occur and provide corrective action to ensure that the process remains within customer requirements.

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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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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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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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on april 30, gomez services had an accounts receivable balance of $23,500. during the month of may, total credits to accounts receivable were $58,000 from customer payments. the may 31 accounts receivable balance was $18,000. what was the amount of credit sales during may? multiple choice $63,500. $52,500. $36,000. $5,500. $58,000.

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On April 30, Gomez Services had an accounts receivable balance of $23,500. During the month of May, the total credits to accounts receivable were $58,000 from customer payments. The May 31 accounts receivable balance was $18,000. The amount of credit sales during May is $63,500.

What is Accounts Receivable?

Accounts Receivable (AR) is an accounting term that refers to the unpaid balances owed by clients and customers to their suppliers for goods or services delivered to them. Companies frequently allow their customers to purchase items on credit, meaning that payment will be received at a later date. Gomez Services has an account receivable of $23,500 as of April 30.

During May, $58,000 were received from customers paying for their debts. This would result in a reduction of the Accounts Receivable balance. The reduction was $23,500 - $18,000 = $5,500.

Gomez Services has received $58,000 in credit sales. This means that the remaining $5,500 of the credit sales, which Gomez Services still needs to collect from customers, is reflected in the Accounts Receivable balance on May 31. Hence, the amount of credit sales during May is $58,000 + $5,500 = $63,500.

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Proceeds from Notes Payable On January 26, Nyree Co. Borrowed cash from Conrad Bank by issuing a 45-day note with a face amount of $150,000. Assume a 360-day year. Required:


(a) Determine the proceeds of the note, assuming that the note carries an interest rate of 10%.

(b) Determine the proceeds of the note, assuming that the note is discounted at 10%

Answers

the proceeds from the note payable is $148,125 and the proceeds from the note payable is $148,125 whether it is carrying an interest rate or is discounted.

(a) When a note carries an interest rate, the borrower receives the full face amount of the note and then pays back the face amount plus interest at the end of the term.

The interest on a 45-day note at a 10% annual rate can be calculated as follows:

Interest = Face Amount x Interest Rate x Time

Interest = $150,000 x 0.10 x (45/360)

Interest = $1,875

Therefore, the total amount Nyree Co. will receive from Conrad Bank is:

Proceeds = Face Amount - Interest

Proceeds = $150,000 - $1,875

Proceeds = $148,125

So the proceeds from the note payable is $148,125.

(b) When a note is discounted, the bank deducts the interest from the face amount and gives the borrower the remaining amount.

The interest on a 45-day note at a 10% annual rate can be calculated as follows:

Interest = Face Amount x Interest Rate x Time

Interest = $150,000 x 0.10 x (45/360)

Interest = $1,875

The bank will deduct the interest from the face amount:

Proceeds = Face Amount - Interest

Proceeds = $150,000 - $1,875

Proceeds = $148,125

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